@phdthesis{Nikaj2019, author = {Nikaj, Adriatik}, title = {Restful choreographies}, doi = {10.25932/publishup-43890}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-438903}, school = {Universit{\"a}t Potsdam}, pages = {xix, 146}, year = {2019}, abstract = {Business process management has become a key instrument to organize work as many companies represent their operations in business process models. Recently, business process choreography diagrams have been introduced as part of the Business Process Model and Notation standard to represent interactions between business processes, run by different partners. When it comes to the interactions between services on the Web, Representational State Transfer (REST) is one of the primary architectural styles employed by web services today. Ideally, the RESTful interactions between participants should implement the interactions defined at the business choreography level. The problem, however, is the conceptual gap between the business process choreography diagrams and RESTful interactions. Choreography diagrams, on the one hand, are modeled from business domain experts with the purpose of capturing, communicating and, ideally, driving the business interactions. RESTful interactions, on the other hand, depend on RESTful interfaces that are designed by web engineers with the purpose of facilitating the interaction between participants on the internet. In most cases however, business domain experts are unaware of the technology behind web service interfaces and web engineers tend to overlook the overall business goals of web services. While there is considerable work on using process models during process implementation, there is little work on using choreography models to implement interactions between business processes. This thesis addresses this research gap by raising the following research question: How to close the conceptual gap between business process choreographies and RESTful interactions? This thesis offers several research contributions that jointly answer the research question. The main research contribution is the design of a language that captures RESTful interactions between participants---RESTful choreography modeling language. Formal completeness properties (with respect to REST) are introduced to validate its instances, called RESTful choreographies. A systematic semi-automatic method for deriving RESTful choreographies from business process choreographies is proposed. The method employs natural language processing techniques to translate business interactions into RESTful interactions. The effectiveness of the approach is shown by developing a prototypical tool that evaluates the derivation method over a large number of choreography models. In addition, the thesis proposes solutions towards implementing RESTful choreographies. In particular, two RESTful service specifications are introduced for aiding, respectively, the execution of choreographies' exclusive gateways and the guidance of RESTful interactions.}, language = {en} } @phdthesis{BarqueroPipin2019, author = {Barquero Pip{\´i}n, Antonio Carlos}, title = {Lengua, cultura, interculturalidad}, publisher = {Universit{\"a}tsverlag Potsdam}, address = {Potsdam}, isbn = {978-3-86956-480-7}, doi = {10.25932/publishup-43902}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-439023}, school = {Universit{\"a}t Potsdam}, pages = {429}, year = {2019}, abstract = {Ohne Pragmatik w{\"a}re Kommunikation nicht m{\"o}glich, da wir sprachliche Aussagen nicht interpretieren k{\"o}nnten. F{\"u}r jeden Lernenden einer Sprache, die er nicht beherrscht, reicht es nicht aus, sprachlich kompetent zu sein, da der Zweck der Kommunikation darin besteht, mit anderen Menschen und in bestimmten Kontexten zu kommunizieren. Nur eine Lehre, die es erm{\"o}glicht, Aussagen zur Durchf{\"u}hrung von Sprachhandlungen zu erstellen und zu verstehen und die f{\"u}r einen bestimmten Kontext am besten geeigneten auszuw{\"a}hlen, kann sich als effizient erweisen. Die hier vorgestellte Arbeit zielt darauf ab, der wissenschaftlichen Gemeinschaft und insbesondere denjenigen, die direkt und indirekt am Unterrichtsprozess beteiligt sind, das Konzept der verbalen Pragmatik bekannt zu machen und es anderen wie Grammatik, Kultur oder Interkulturalit{\"a}t gegen{\"u}ber zu stellen. Ferner wendet sie sich der Frage zu, wie man auf die Bedeutung und die dringende Notwendigkeit aufmerksam macht, Pragmatik als relevante Disziplin im Kommunikationsprozess zu etablieren; dabei wird insbesondere auf ihre systematische Einbeziehung in Lehrb{\"u}chern f{\"u}r Spanisch als Fremdsprache, die f{\"u}r den schulischen Kontext konzipiert wurden, abgestellt. Dazu werden das Vorhandensein pragmatischer Elemente und die F{\"o}rderung pragmatischer Kompetenz in Lehrb{\"u}chern f{\"u}r Anf{\"a}nger sowie ihre Relevanz bei der Festlegung von Inhalten, Fortschrittsart und Methodik untersucht.}, language = {es} } @phdthesis{Jakobs2019, author = {Jakobs, Friedrich}, title = {Dubrovin-rings and their connection to Hughes-free skew fields of fractions}, doi = {10.25932/publishup-43556}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-435561}, school = {Universit{\"a}t Potsdam}, pages = {ix, 62}, year = {2019}, abstract = {One method of embedding groups into skew fields was introduced by A. I. Mal'tsev and B. H. Neumann (cf. [18, 19]). If G is an ordered group and F is a skew field, the set F((G)) of formal power series over F in G with well-ordered support forms a skew field into which the group ring F[G] can be embedded. Unfortunately it is not suficient that G is left-ordered since F((G)) is only an F-vector space in this case as there is no natural way to define a multiplication on F((G)). One way to extend the original idea onto left-ordered groups is to examine the endomorphism ring of F((G)) as explored by N. I. Dubrovin (cf. [5, 6]). It is possible to embed any crossed product ring F[G; η, σ] into the endomorphism ring of F((G)) such that each non-zero element of F[G; η, σ] defines an automorphism of F((G)) (cf. [5, 10]). Thus, the rational closure of F[G; η, σ] in the endomorphism ring of F((G)), which we will call the Dubrovin-ring of F[G; η, σ], is a potential candidate for a skew field of fractions of F[G; η, σ]. The methods of N. I. Dubrovin allowed to show that specific classes of groups can be embedded into a skew field. For example, N. I. Dubrovin contrived some special criteria, which are applicable on the universal covering group of SL(2, R). These methods have also been explored by J. Gr{\"a}ter and R. P. Sperner (cf. [10]) as well as N.H. Halimi and T. Ito (cf. [11]). Furthermore, it is of interest to know if skew fields of fractions are unique. For example, left and right Ore domains have unique skew fields of fractions (cf. [2]). This is not the general case as for example the free group with 2 generators can be embedded into non-isomorphic skew fields of fractions (cf. [12]). It seems likely that Ore domains are the most general case for which unique skew fields of fractions exist. One approach to gain uniqueness is to restrict the search to skew fields of fractions with additional properties. I. Hughes has defined skew fields of fractions of crossed product rings F[G; η, σ] with locally indicable G which fulfill a special condition. These are called Hughes-free skew fields of fractions and I. Hughes has proven that they are unique if they exist [13, 14]. This thesis will connect the ideas of N. I. Dubrovin and I. Hughes. The first chapter contains the basic terminology and concepts used in this thesis. We present methods provided by N. I. Dubrovin such as the complexity of elements in rational closures and special properties of endomorphisms of the vector space of formal power series F((G)). To combine the ideas of N.I. Dubrovin and I. Hughes we introduce Conradian left-ordered groups of maximal rank and examine their connection to locally indicable groups. Furthermore we provide notations for crossed product rings, skew fields of fractions as well as Dubrovin-rings and prove some technical statements which are used in later parts. The second chapter focuses on Hughes-free skew fields of fractions and their connection to Dubrovin-rings. For that purpose we introduce series representations to interpret elements of Hughes-free skew fields of fractions as skew formal Laurent series. This 1 Introduction allows us to prove that for Conradian left-ordered groups G of maximal rank the statement "F[G; η, σ] has a Hughes-free skew field of fractions" implies "The Dubrovin ring of F [G; η, σ] is a skew field". We will also prove the reverse and apply the results to give a new prove of Theorem 1 in [13]. Furthermore we will show how to extend injective ring homomorphisms of some crossed product rings onto their Hughes-free skew fields of fractions. At last we will be able to answer the open question whether Hughes--free skew fields are strongly Hughes-free (cf. [17, page 53]).}, language = {en} } @phdthesis{Rector2019, author = {Rector, Michael V.}, title = {The acute effect of exercise on flow-mediated dilation in young people with cystic fibrosis}, doi = {10.25932/publishup-43893}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-438938}, school = {Universit{\"a}t Potsdam}, pages = {121}, year = {2019}, abstract = {Introduction: Cystic fibrosis (CF) is a genetic disease which disrupts the function of an epithelial surface anion channel, CFTR (cystic fibrosis transmembrane conductance regulator). Impairment to this channel leads to inflammation and infection in the lung causing the majority of morbidity and mortality. However, CF is a multiorgan disease affecting many tissues, including vascular smooth muscle. Studies have revealed young people with cystic fibrosis lacking inflammation and infection still demonstrate vascular endothelial dysfunction, measured per flow-mediated dilation (FMD). In other disease cohorts, i.e. diabetic and obese, endurance exercise interventions have been shown improve or taper this impairment. However, long-term exercise interventions are risky, as well as costly in terms of time and resources. Nevertheless, emerging research has correlated the acute effects of exercise with its long-term benefits and advocates the study of acute exercise effects on FMD prior to longitudinal studies. The acute effects of exercise on FMD have previously not been examined in young people with CF, but could yield insights on the potential benefits of long-term exercise interventions. The aims of these studies were to 1) develop and test the reliability of the FMD method and its applicability to study acute exercise effects; 2) compare baseline FMD and the acute exercise effect on FMD between young people with and without CF; and 3) explore associations between the acute effects of exercise on FMD and demographic characteristics, physical activity levels, lung function, maximal exercise capacity or inflammatory hsCRP levels. Methods: Thirty young volunteers (10 people with CF, 10 non-CF and 10 non-CF active matched controls) between the ages of 10 and 30 years old completed blood draws, pulmonary function tests, maximal exercise capacity tests and baseline FMD measurements, before returning approximately 1 week later and performing a 30-min constant load training at 75\% HRmax. FMD measurements were taken prior, immediately after, 30 minutes after and 1 hour after constant load training. ANOVAs and repeated measures ANOVAs were employed to explore differences between groups and timepoints, respectively. Linear regression was implemented and evaluated to assess correlations between FMD and demographic characteristics, physical activity levels, lung function, maximal exercise capacity or inflammatory hsCRP levels. For all comparisons, statistical significance was set at a p-value of α < 0.05. Results: Young people with CF presented with decreased lung function and maximal exercise capacity compared to matched controls. Baseline FMD was also significantly decreased in the CF group (CF: 5.23\% v non-CF: 8.27\% v non-CF active: 9.12\%). Immediately post-training, FMD was significantly attenuated (approximately 40\%) in all groups with CF still demonstrating the most minimal FMD. Follow-up measurements of FMD revealed a slow recovery towards baseline values 30 min post-training and improvements in the CF and non-CF active groups 60 min post-training. Linear regression exposed significant correlations between maximal exercise capacity (VO2 peak), BMI and FMD immediately post-training. Conclusion: These new findings confirm that CF vascular endothelial dysfunction can be acutely modified by exercise and will aid in underlining the importance of exercise in CF populations. The potential benefits of long-term exercise interventions on vascular endothelial dysfunction in young people with CF warrants further investigation.}, language = {en} } @phdthesis{Gabriel2019, author = {Gabriel, Christina}, title = {Entwicklung neuer St{\"a}rkederivate f{\"u}r die Anwendung als wasserbasierte Filmbildner in Farben und Lacken}, doi = {10.25932/publishup-43294}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-432942}, school = {Universit{\"a}t Potsdam}, pages = {XVIII, 160, xxxix, x1}, year = {2019}, abstract = {In den letzten Jahrzehnten fand auch in der Beschichtungsindustrie ein Umdenken hin zu umweltfreundlicheren Farben und Lacken statt. Allerdings basieren auch neue L{\"o}sungen meist nicht auf Biopolymeren und in einem noch geringeren Anteil auf wasserbasierten Beschichtungssystemen aus nachwachsenden Rohstoffen. Dies stellt den Ankn{\"u}pfungspunkt dieser Arbeit dar, in der untersucht wurde, ob das Biopolymer St{\"a}rke das Potenzial zum wasserbasierten Filmbildner f{\"u}r Farben und Lacke besitzt. Dabei m{\"u}ssen angelehnt an etablierte synthetische Marktprodukte die folgenden Kriterien erf{\"u}llt werden: Die w{\"a}ssrige Dispersion muss mindestens einen 30\%igen Feststoffgehalt haben, bei Raumtemperatur verarbeitet werden k{\"o}nnen und Viskosit{\"a}ten zwischen 10^2-10^3 mPa·s aufweisen. Die finale Beschichtung muss einen geschlossenen Film bilden und sehr gute Haftfestigkeiten zu einer spezifischen Oberfl{\"a}che, in dieser Arbeit Glas, besitzen. Als Grundlage f{\"u}r die Modifizierung der St{\"a}rke wurde eine Kombination von molekularem Abbau und chemischer Funktionalisierung ausgew{\"a}hlt. Da nicht bekannt war, welchen Einfluss die St{\"a}rkeart, die gew{\"a}hlte Abbaureaktion als auch verschiedene Substituenten auf die Dispersionsherstellung und deren Eigenschaften sowie die Beschichtungseigenschaften aus{\"u}ben k{\"o}nnten, wurden die strukturellen Parameter getrennt voneinander untersucht. Das erste Themengebiet beinhaltete den oxidativen Abbau von Kartoffel- und Palerbsenst{\"a}rke mittels des Hypochlorit-Abbaus (OCl-) und des ManOx-Abbaus (H2O2, KMnO4). Mit beiden Abbaureaktionen konnten vergleichbare gewichtsmittlere Molmassen (Mw) von 2·10^5-10^6 g/mol (GPC-MALS) hergestellt werden. Allerdings f{\"u}hrten die gew{\"a}hlten Reaktionsbedingungen beim ManOx-Abbau zur Bildung von Gelpartikeln. Diese lagen im µm-Bereich (DLS und Kryo-REM-Messungen) und hatten zur Folge, dass die ManOx-Proben deutlich erh{\"o}hte Viskosit{\"a}ten (c: 7,5 \%; 9-260 mPa·s) im Vergleich zu den OCl--Proben (4-10 mPa·s) bei scherverd{\"u}nnendem Verhalten besaßen und die Eigenschaften von viskoelastischen Gelen (G' > G'') zeigten. Des Weiteren wiesen sie reduzierte Heißwasserl{\"o}slichkeiten (95 °C, vorrangig: 70-99 \%) auf. Der OCl--Abbau f{\"u}hrte zu hydrophileren (Carboxylgruppengehalt bis zu 6,1 \%; ManOx: bis zu 3,1 \%), nach 95 °C-Behandlung vollst{\"a}ndig wasserl{\"o}slichen abgebauten St{\"a}rken, die ein Newtonsches Fließverhalten mit Eigenschaften einer viskoelastischen Fl{\"u}ssigkeit (G'' > G') hatten. Die OCl--Proben konnten im Vergleich zu den ManOx-Produkten (10-20 \%) zu konzentrierteren Dispersionen (20-40 \%) verarbeitet werden, die gleichzeitig die Einschr{\"a}nkung von anwendungsrelevanten Mw auf < 7·10^5 g/mol zuließen (Konzentration sollte > 30 \% sein). Außerdem f{\"u}hrten nur die OCl--Proben der Kartoffelst{\"a}rke zu transparenten (alle anderen waren opak) geschlossenen Beschichtungsfilmen. Somit hebt sich die Kombination von OCl--Abbau und Kartoffelst{\"a}rke mit Hinblick auf die Endanwendung ab. Das zweite Themengebiet umfasste Untersuchungen zum Einfluss von Ester- und Hydroxyalkylether-Substituenten auf Basis einer industriell abgebauten Kartoffelst{\"a}rke (Mw: 1,2·10^5 g/mol) vor allem auf die Dispersionsherstellung, die rheologischen Eigenschaften der Dispersionen und die Beschichtungseigenschaften in Kombination mit Glassubstraten. Dazu wurden Ester und Ether mit DS/MS-Werten von 0,07-0,91 synthetisiert. Die Derivate konnten zu wasserbasierten Dispersionen mit Konzentrationen von 30-45 \% verarbeitet werden, wobei bei hydrophoberen Modifikaten ein Co-L{\"o}semittel, Diethylenglycolmonobutylether (DEGBE), eingesetzt werden musste. Die Feststoffgehalte sanken dabei f{\"u}r beide Derivatklassen vor allem mit zunehmender Alkylkettenl{\"a}nge. Die anwendungsrelevanten Viskosit{\"a}ten (323-1240 mPa·s) stiegen auf Grund von Wechselwirkungen tendenziell mit DS/MS und Alkylkettenl{\"a}nge an. Hinsichtlich der Beschichtungseigenschaften erwiesen sich die Ester vergleichend zu den Ethern als die bevorzugte Substituentenklasse, da nur die Ester geschlossene, defektfreie und mehrheitlich transparente Beschichtungsfilme bildeten, die exzellente bis sehr gute Haftfestigkeiten (ISO Klasse: 0 und 1) auf Glas besaßen. Die Ether bildeten mehrheitlich br{\"u}chige Filme. Basierend auf der Kombination der Ergebnisse aus L{\"o}semittelaustausch, den rheologischen Untersuchungen und zus{\"a}tzlichen Oberfl{\"a}chenspannungsmessungen (30-61 mN/m) konnte geschlossen werden, dass wahrscheinlich fehlende oder schlechte Haftfestigkeiten vorrangig akkumuliertem Wasser in den Beschichtungsfilmen (visuell: tr{\"u}b oder weiß) geschuldet sind, w{\"a}hrend die Br{\"u}chigkeit vermutlich auf Wechselwirkungen (H-Br{\"u}cken Wechselwirkungen, hydrophobe Wechselwirkungen) zwischen den Polymeren zur{\"u}ckgef{\"u}hrt werden kann. Insgesamt scheint die Kombination aus Kartoffelst{\"a}rke basierend auf dem OCl--Abbau mit Mw < 7·10^5 g/mol und einem Estersubstituenten eine gute Wahl f{\"u}r wasserbasierte Dispersionen mit hohen Feststoffkonzentrationen (> 30 \%), guter Filmbildung und exzellenten Haftungen auf Glas zu sein.}, language = {de} } @phdthesis{RomeroMujalli2019, author = {Romero Mujalli, Daniel}, title = {Ecological modeling of adaptive evolutionary responses to rapid climate change}, doi = {10.25932/publishup-43062}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-430627}, school = {Universit{\"a}t Potsdam}, pages = {167}, year = {2019}, abstract = {A contemporary challenge in Ecology and Evolutionary Biology is to anticipate the fate of populations of organisms in the context of a changing world. Climate change and landscape changes due to anthropic activities have been of major concern in the contemporary history. Organisms facing these threats are expected to respond by local adaptation (i.e., genetic changes or phenotypic plasticity) or by shifting their distributional range (migration). However, there are limits to their responses. For example, isolated populations will have more difficulties in developing adaptive innovations by means of genetic changes than interconnected metapopulations. Similarly, the topography of the environment can limit dispersal opportunities for crawling organisms as compared to those that rely on wind. Thus, populations of species with different life history strategy may differ in their ability to cope with changing environmental conditions. However, depending on the taxon, empirical studies investigating organisms' responses to environmental change may become too complex, long and expensive; plus, complications arising from dealing with endangered species. In consequence, eco-evolutionary modeling offers an opportunity to overcome these limitations and complement empirical studies, understand the action and limitations of underlying mechanisms, and project into possible future scenarios. In this work I take a modeling approach and investigate the effect and relative importance of evolutionary mechanisms (including phenotypic plasticity) on the ability for local adaptation of populations with different life strategy experiencing climate change scenarios. For this, I performed a review on the state of the art of eco-evolutionary Individual-Based Models (IBMs) and identify gaps for future research. Then, I used the results from the review to develop an eco-evolutionary individual-based modeling tool to study the role of genetic and plastic mechanisms in promoting local adaption of populations of organisms with different life strategies experiencing scenarios of climate change and environmental stochasticity. The environment was simulated through a climate variable (e.g., temperature) defining a phenotypic optimum moving at a given rate of change. The rate of change was changed to simulate different scenarios of climate change (no change, slow, medium, rapid climate change). Several scenarios of stochastic noise color resembling different climatic conditions were explored. Results show that populations of sexual species will rely mainly on standing genetic variation and phenotypic plasticity for local adaptation. Population of species with relatively slow growth rate (e.g., large mammals) - especially those of small size - are the most vulnerable, particularly if their plasticity is limited (i.e., specialist species). In addition, whenever organisms from these populations are capable of adaptive plasticity, they can buffer fitness losses in reddish climatic conditions. Likewise, whenever they can adjust their plastic response (e.g., bed-hedging strategy) they will cope with bluish environmental conditions as well. In contrast, life strategies of high fecundity can rely on non-adaptive plasticity for their local adaptation to novel environmental conditions, unless the rate of change is too rapid. A recommended management measure is to guarantee interconnection of isolated populations into metapopulations, such that the supply of useful genetic variation can be increased, and, at the same time, provide them with movement opportunities to follow their preferred niche, when local adaptation becomes problematic. This is particularly important for bluish and reddish climatic conditions, when the rate of change is slow, or for any climatic condition when the level of stress (rate of change) is relatively high.}, language = {en} } @phdthesis{AbdelwahabHusseinAbdelwahabElsayed2019, author = {Abdelwahab Hussein Abdelwahab Elsayed, Ahmed}, title = {Probabilistic, deep, and metric learning for biometric identification from eye movements}, doi = {10.25932/publishup-46798}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-467980}, school = {Universit{\"a}t Potsdam}, pages = {vi, 65}, year = {2019}, abstract = {A central insight from psychological studies on human eye movements is that eye movement patterns are highly individually characteristic. They can, therefore, be used as a biometric feature, that is, subjects can be identified based on their eye movements. This thesis introduces new machine learning methods to identify subjects based on their eye movements while viewing arbitrary content. The thesis focuses on probabilistic modeling of the problem, which has yielded the best results in the most recent literature. The thesis studies the problem in three phases by proposing a purely probabilistic, probabilistic deep learning, and probabilistic deep metric learning approach. In the first phase, the thesis studies models that rely on psychological concepts about eye movements. Recent literature illustrates that individual-specific distributions of gaze patterns can be used to accurately identify individuals. In these studies, models were based on a simple parametric family of distributions. Such simple parametric models can be robustly estimated from sparse data, but have limited flexibility to capture the differences between individuals. Therefore, this thesis proposes a semiparametric model of gaze patterns that is flexible yet robust for individual identification. These patterns can be understood as domain knowledge derived from psychological literature. Fixations and saccades are examples of simple gaze patterns. The proposed semiparametric densities are drawn under a Gaussian process prior centered at a simple parametric distribution. Thus, the model will stay close to the parametric class of densities if little data is available, but it can also deviate from this class if enough data is available, increasing the flexibility of the model. The proposed method is evaluated on a large-scale dataset, showing significant improvements over the state-of-the-art. Later, the thesis replaces the model based on gaze patterns derived from psychological concepts with a deep neural network that can learn more informative and complex patterns from raw eye movement data. As previous work has shown that the distribution of these patterns across a sequence is informative, a novel statistical aggregation layer called the quantile layer is introduced. It explicitly fits the distribution of deep patterns learned directly from the raw eye movement data. The proposed deep learning approach is end-to-end learnable, such that the deep model learns to extract informative, short local patterns while the quantile layer learns to approximate the distributions of these patterns. Quantile layers are a generic approach that can converge to standard pooling layers or have a more detailed description of the features being pooled, depending on the problem. The proposed model is evaluated in a large-scale study using the eye movements of subjects viewing arbitrary visual input. The model improves upon the standard pooling layers and other statistical aggregation layers proposed in the literature. It also improves upon the state-of-the-art eye movement biometrics by a wide margin. Finally, for the model to identify any subject — not just the set of subjects it is trained on — a metric learning approach is developed. Metric learning learns a distance function over instances. The metric learning model maps the instances into a metric space, where sequences of the same individual are close, and sequences of different individuals are further apart. This thesis introduces a deep metric learning approach with distributional embeddings. The approach represents sequences as a set of continuous distributions in a metric space; to achieve this, a new loss function based on Wasserstein distances is introduced. The proposed method is evaluated on multiple domains besides eye movement biometrics. This approach outperforms the state of the art in deep metric learning in several domains while also outperforming the state of the art in eye movement biometrics.}, language = {en} } @phdthesis{Guislain2019, author = {Guislain, Alexis}, title = {Eco-physiological consequences of fluctuating light on phytoplankton}, doi = {10.25932/publishup-46927}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-469272}, school = {Universit{\"a}t Potsdam}, pages = {161}, year = {2019}, abstract = {Phytoplankton growth depends not only on the mean intensity but also on the dynamics of the light supply. The nonlinear light-dependency of growth is characterized by a small number of basic parameters: the compensation light intensity PARcompμ, where production and losses are balanced, the growth efficiency at sub-saturating light αµ, and the maximum growth rate at saturating light µmax. In surface mixed layers, phytoplankton may rapidly move between high light intensities and almost darkness. Because of the different frequency distribution of light and/or acclimation processes, the light-dependency of growth may differ between constant and fluctuating light. Very few studies measured growth under fluctuating light at a sufficient number of mean light intensities to estimate the parameters of the growth-irradiance relationship. Hence, the influence of light dynamics on µmax, αµ and PARcompμ are still largely unknown. By extension, accurate modelling predictions of phytoplankton development under fluctuating light exposure remain difficult to make. This PhD thesis does not intend to directly extrapolate few experimental results to aquatic systems - but rather improving the mechanistic understanding of the variation of the light-dependency of growth under light fluctuations and effects on phytoplankton development. In Lake TaiHu and at the Three Gorges Reservoir (China), we incubated phytoplankton communities in bottles placed either at fixed depths or moved vertically through the water column to mimic vertical mixing. Phytoplankton at fixed depths received only the diurnal changes in light (defined as constant light regime), while phytoplankton received rapidly fluctuating light by superimposing the vertical light gradient on the natural sinusoidal diurnal sunlight. The vertically moved samples followed a circular movement with 20 min per revolution, replicating to some extent the full overturn of typical Langmuir cells. Growth, photosynthesis, oxygen production and respiration of communities (at Lake TaiHu) were measured. To complete these investigations, a physiological experiment was performed in the laboratory on a toxic strain of Microcystis aeruginosa (FACBH 1322) incubated under 20 min period fluctuating light. Here, we measured electron transport rates and net oxygen production at a much higher time resolution (single minute timescale). The present PhD thesis provides evidence for substantial effects of fluctuating light on the eco-physiology of phytoplankton. Both experiments performed under semi-natural conditions in Lake TaiHu and at the Three Gorges Reservoir gave similar results. The significant decline in community growth efficiencies αµ under fluctuating light was caused for a great share by different frequency distribution of light intensities that shortened the effective daylength for production. The remaining gap in community αµ was attributed to species-specific photoacclimation mechanisms and to light-dependent respiratory losses. In contrast, community maximal growth rates µmax were similar between incubations at constant and fluctuating light. At daily growth saturating light supply, differences in losses for biosynthesis between the two light regimes were observed. Phytoplankton experiencing constant light suffered photo-inhibition - leading to photosynthesis foregone and additional respiratory costs for photosystems repair. On the contrary, intermittent exposure to low and high light intensities prevented photo-inhibition of mixed algae but forced them to develop alternative light strategy. They better harvested and exploited surface irradiance by enhancing their photosynthesis. In the laboratory, we showed that Microcystis aeruginosa increased its oxygen consumption by dark respiration in the light few minutes only after exposure to increasing light intensities. More, we proved that within a simulated Langmuir cell, the net production at saturating light and the compensation light intensity for production at limiting light are positively related. These results are best explained by an accumulation of photosynthetic products at increasing irradiance and mobilization of these fresh resources by rapid enhancement of dark respiration for maintenance and biosynthesis at decreasing irradiance. At the daily timescale, we showed that the enhancement of photosynthesis at high irradiance for biosynthesis of species increased their maintenance respiratory costs at limiting light. Species-specific growth at saturating light µmax and compensation light intensity for growth PARcompμ of species incubated in Lake TaiHu were positively related. Because of this species-specific physiological tradeoff, species displayed different light affinities to limiting and saturating light - thereby exhibiting a gleaner-opportunist tradeoff. In Lake TaiHu, we showed that inter-specific differences in light acquisition traits (µmax and PARcompμ) allowed coexis¬tence of species on a gradient of constant light while avoiding competitive exclusion. More interestingly we demonstrated for the first time that vertical mixing (inducing fluctuating light supply for phytoplankton) may alter or even reverse the light utilization strategies of species within couple of days. The intra-specific variation in traits under fluctuating light increased the niche space for acclimated species, precluding competitive exclusion. Overall, this PhD thesis contributes to a better understanding of phytoplankton eco-physiology under fluctuating light supply. This work could enhance the quality of predictions of phytoplankton development under certain weather conditions or climate change scenarios.}, language = {en} } @phdthesis{Vranic2019, author = {Vranic, Marija}, title = {3D Structure of the biomarker hepcidin-25 in its native state}, doi = {10.25932/publishup-45929}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-459295}, school = {Universit{\"a}t Potsdam}, pages = {xii, 135}, year = {2019}, abstract = {Hepcidin-25 (Hep-25) plays a crucial role in the control of iron homeostasis. Since the dysfunction of the hepcidin pathway leads to multiple diseases as a result of iron imbalance, hepcidin represents a potential target for the diagnosis and treatment of disorders of iron metabolism. Despite intense research in the last decade targeted at developing a selective immunoassay for iron disorder diagnosis and treatment and better understanding the ferroportin-hepcidin interaction, questions remain. The key to resolving these underlying questions is acquiring exact knowledge of the 3D structure of native Hep-25. Since it was determined that the N-terminus, which is responsible for the bioactivity of Hep-25, contains a small Cu(II)-binding site known as the ATCUN motif, it was assumed that the Hep-25-Cu(II) complex is the native, bioactive form of the hepcidin. This structure has thus far not been elucidated in detail. Owing to the lack of structural information on metal-bound Hep-25, little is known about its possible biological role in iron metabolism. Therefore, this work is focused on structurally characterizing the metal-bound Hep-25 by NMR spectroscopy and molecular dynamics simulations. For the present work, a protocol was developed to prepare and purify properly folded Hep-25 in high quantities. In order to overcome the low solubility of Hep-25 at neutral pH, we introduced the C-terminal DEDEDE solubility tag. The metal binding was investigated through a series of NMR spectroscopic experiments to identify the most affected amino acids that mediate metal coordination. Based on the obtained NMR data, a structural calculation was performed in order to generate a model structure of the Hep-25-Ni(II) complex. The DEDEDE tag was excluded from the structural calculation due to a lack of NMR restraints. The dynamic nature and fast exchange of some of the amide protons with solvent reduced the overall number of NMR restraints needed for a high-quality structure. The NMR data revealed that the 20 Cterminal Hep-25 amino acids experienced no significant conformational changes, compared to published results, as a result of a pH change from pH 3 to pH 7 and metal binding. A 3D model of the Hep-25-Ni(II) complex was constructed from NMR data recorded for the hexapeptideNi(II) complex and Hep-25-DEDEDE-Ni(II) complex in combination with the fixed conformation of 19 C-terminal amino acids. The NMR data of the Hep-25-DEDEDE-Ni(II) complex indicates that the ATCUN motif moves independently from the rest of the structure. The 3D model structure of the metal-bound Hep-25 allows for future works to elucidate hepcidin's interaction with its receptor ferroportin and should serve as a starting point for the development of antibodies with improved selectivity.}, language = {en} } @phdthesis{Schmidt2019, author = {Schmidt, Martin}, title = {Fragmentation of landscapes: modelling ecosystem services of transition zones}, doi = {10.25932/publishup-44294}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-442942}, school = {Universit{\"a}t Potsdam}, pages = {XV, 103}, year = {2019}, abstract = {For millennia, humans have affected landscapes all over the world. Due to horizontal expansion, agriculture plays a major role in the process of fragmentation. This process is caused by a substitution of natural habitats by agricultural land leading to agricultural landscapes. These landscapes are characterized by an alternation of agriculture and other land use like forests. In addition, there are landscape elements of natural origin like small water bodies. Areas of different land use are beside each other like patches, or fragments. They are physically distinguishable which makes them look like a patchwork from an aerial perspective. These fragments are each an own ecosystem with conditions and properties that differ from their adjacent fragments. As open systems, they are in exchange of information, matter and energy across their boundaries. These boundary areas are called transition zones. Here, the habitat properties and environmental conditions are altered compared to the interior of the fragments. This changes the abundance and the composition of species in the transition zones, which in turn has a feedback effect on the environmental conditions. The literature mainly offers information and insights on species abundance and composition in forested transition zones. Abiotic effects, the gradual changes in energy and matter, received less attention. In addition, little is known about non-forested transition zones. For example, the effects on agricultural yield in transition zones of an altered microclimate, matter dynamics or different light regimes are hardly researched or understood. The processes in transition zones are closely connected with altered provisioning and regulating ecosystem services. To disentangle the mechanisms and to upscale the effects, models can be used. My thesis provides insights into these topics: literature was reviewed and a conceptual framework for the quantitative description of gradients of matter and energy in transition zones was introduced. The results of measurements of environmental gradients like microclimate, aboveground biomass and soil carbon and nitrogen content are presented that span from within the forest into arable land. Both the measurements and the literature review could not validate a transition zone of 100 m for abiotic effects. Although this value is often reported and used in the literature, it is likely to be smaller. Further, the measurements suggest that on the one hand trees in transition zones are smaller compared to those in the interior of the fragments, while on the other hand less biomass was measured in the arable lands' transition zone. These results support the hypothesis that less carbon is stored in the aboveground biomass in transition zones. The soil at the edge (zero line) between adjacent forest and arable land contains more nitrogen and carbon content compared to the interior of the fragments. One-year measurements in the transition zone also provided evidence that microclimate is different compared to the fragments' interior. To predict the possible yield decreases that transition zones might cause, a modelling approach was developed. Using a small virtual landscape, I modelled the effect of a forest fragment shading the adjacent arable land and the effects of this on yield using the MONICA crop growth model. In the transition zone yield was less compared to the interior due to shading. The results of the simulations were upscaled to the landscape level and exemplarily calculated for the arable land of a whole region in Brandenburg, Germany. The major findings of my thesis are: (1) Transition zones are likely to be much smaller than assumed in the scientific literature; (2) transition zones aren't solely a phenomenon of forested ecosystems, but significantly extend into arable land as well; (3) empirical and modelling results show that transition zones encompass biotic and abiotic changes that are likely to be important to a variety of agricultural landscape ecosystem services.}, language = {en} } @phdthesis{He2019, author = {He, Hai}, title = {Exploring and engineering formaldehyde assimilation}, doi = {10.25932/publishup-47386}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-473867}, school = {Universit{\"a}t Potsdam}, pages = {vi, 105}, year = {2019}, abstract = {Increasing concerns regarding the environmental impact of our chemical production have shifted attention towards possibilities for sustainable biotechnology. One-carbon (C1) compounds, including methane, methanol, formate and CO, are promising feedstocks for future bioindustry. CO2 is another interesting feedstock, as it can also be transformed using renewable energy to other C1 feedstocks for use. While formaldehyde is not suitable as a feedstock due to its high toxicity, it is a central intermediate in the process of C1 assimilation. This thesis explores formaldehyde metabolism and aims to engineer formaldehyde assimilation in the model organism Escherichia coli for the future C1-based bioindustry. The first chapter of the thesis aims to establish growth of E. coli on formaldehyde via the most efficient naturally occurring route, the ribulose monophosphate pathway. Linear variants of the pathway were constructed in multiple-gene knockouts strains, coupling E. coli growth to the activities of the key enzymes of the pathway. Formaldehyde-dependent growth was achieved in rationally designed strains. In the final strain, the synthetic pathway provides the cell with almost all biomass and energy requirements. In the second chapter, taking advantage of the unique feature of its reactivity, formaldehyde assimilation via condensation with glycine and pyruvate by two promiscuous aldolases was explored. Facilitated by these two reactions, the newly designed homoserine cycle is expected to support higher yields of a wide array of products than its counterparts. By dividing the pathway into segments and coupling them to the growth of dedicated strains, all pathway reactions were demonstrated to be sufficiently active. The work paves a way for future implementation of a highly efficient route for C1 feedstocks into commodity chemicals. In the third chapter, the in vivo rate of the spontaneous formaldehyde tetrahydrofolate condensation to methylene-tetrahydrofolate was assessed in order to evaluate its applicability as a biotechnological process. Tested within an E. coli strain deleted in essential genes for native methylene-tetrahydrofolate biosynthesis, the reaction was shown to support the production of this essential intermediate. However, only low growth rates were observed and only at high formaldehyde concentrations. Computational analysis dependent on in vivo evidence from this strain deduced the slow rate of this spontaneous reaction, thus ruling out its substantial contribution to growth on C1 feedstocks. The reactivity of formaldehyde makes it highly toxic. In the last chapter, the formation of thioproline, the condensation product of cysteine and formaldehyde, was confirmed to contribute this toxicity effect. Xaa-Pro aminopeptidase (PepP), which genetically links with folate metabolism, was shown to hydrolyze thioproline-containing peptides. Deleting pepP increased strain sensitivity to formaldehyde, pointing towards the toxicity of thioproline-containing peptides and the importance of their removal. The characterization in this study could be useful in handling this toxic intermediate. Overall, this thesis identified challenges related to formaldehyde metabolism and provided novel solutions towards a future bioindustry based on sustainable C1 feedstocks in which formaldehyde serves as a key intermediate.}, language = {en} } @phdthesis{Crisologo2019, author = {Crisologo, Irene}, title = {Using spaceborne radar platforms to enhance the homogeneity of weather radar calibration}, doi = {10.25932/publishup-44570}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-445704}, school = {Universit{\"a}t Potsdam}, pages = {xvii, 61}, year = {2019}, abstract = {Accurate weather observations are the keystone to many quantitative applications, such as precipitation monitoring and nowcasting, hydrological modelling and forecasting, climate studies, as well as understanding precipitation-driven natural hazards (i.e. floods, landslides, debris flow). Weather radars have been an increasingly popular tool since the 1940s to provide high spatial and temporal resolution precipitation data at the mesoscale, bridging the gap between synoptic and point scale observations. Yet, many institutions still struggle to tap the potential of the large archives of reflectivity, as there is still much to understand about factors that contribute to measurement errors, one of which is calibration. Calibration represents a substantial source of uncertainty in quantitative precipitation estimation (QPE). A miscalibration of a few dBZ can easily deteriorate the accuracy of precipitation estimates by an order of magnitude. Instances where rain cells carrying torrential rains are misidentified by the radar as moderate rain could mean the difference between a timely warning and a devastating flood. Since 2012, the Philippine Atmospheric, Geophysical, and Astronomical Services Administration (PAGASA) has been expanding the country's ground radar network. We had a first look into the dataset from one of the longest running radars (the Subic radar) after devastating week-long torrential rains and thunderstorms in August 2012 caused by the annual southwestmonsoon and enhanced by the north-passing Typhoon Haikui. The analysis of the rainfall spatial distribution revealed the added value of radar-based QPE in comparison to interpolated rain gauge observations. However, when compared with local gauge measurements, severe miscalibration of the Subic radar was found. As a consequence, the radar-based QPE would have underestimated the rainfall amount by up to 60\% if they had not been adjusted by rain gauge observations—a technique that is not only affected by other uncertainties, but which is also not feasible in other regions of the country with very sparse rain gauge coverage. Relative calibration techniques, or the assessment of bias from the reflectivity of two radars, has been steadily gaining popularity. Previous studies have demonstrated that reflectivity observations from the Tropical Rainfall Measuring Mission (TRMM) and its successor, the Global Precipitation Measurement (GPM), are accurate enough to serve as a calibration reference for ground radars over low-to-mid-latitudes (± 35 deg for TRMM; ± 65 deg for GPM). Comparing spaceborne radars (SR) and ground radars (GR) requires cautious consideration of differences in measurement geometry and instrument specifications, as well as temporal coincidence. For this purpose, we implement a 3-D volume matching method developed by Schwaller and Morris (2011) and extended by Warren et al. (2018) to 5 years worth of observations from the Subic radar. In this method, only the volumetric intersections of the SR and GR beams are considered. Calibration bias affects reflectivity observations homogeneously across the entire radar domain. Yet, other sources of systematic measurement errors are highly heterogeneous in space, and can either enhance or balance the bias introduced by miscalibration. In order to account for such heterogeneous errors, and thus isolate the calibration bias, we assign a quality index to each matching SR-GR volume, and thus compute the GR calibration bias as a qualityweighted average of reflectivity differences in any sample of matching SR-GR volumes. We exemplify the idea of quality-weighted averaging by using beam blockage fraction (BBF) as a quality variable. Quality-weighted averaging is able to increase the consistency of SR and GR observations by decreasing the standard deviation of the SR-GR differences, and thus increasing the precision of the bias estimates. To extend this framework further, the SR-GR quality-weighted bias estimation is applied to the neighboring Tagaytay radar, but this time focusing on path-integrated attenuation (PIA) as the source of uncertainty. Tagaytay is a C-band radar operating at a lower wavelength and is therefore more affected by attenuation. Applying the same method used for the Subic radar, a time series of calibration bias is also established for the Tagaytay radar. Tagaytay radar sits at a higher altitude than the Subic radar and is surrounded by a gentler terrain, so beam blockage is negligible, especially in the overlapping region. Conversely, Subic radar is largely affected by beam blockage in the overlapping region, but being an SBand radar, attenuation is considered negligible. This coincidentally independent uncertainty contributions of each radar in the region of overlap provides an ideal environment to experiment with the different scenarios of quality filtering when comparing reflectivities from the two ground radars. The standard deviation of the GR-GR differences already decreases if we consider either BBF or PIA to compute the quality index and thus the weights. However, combining them multiplicatively resulted in the largest decrease in standard deviation, suggesting that taking both factors into account increases the consistency between the matched samples. The overlap between the two radars and the instances of the SR passing over the two radars at the same time allows for verification of the SR-GR quality-weighted bias estimation method. In this regard, the consistency between the two ground radars is analyzed before and after bias correction is applied. For cases when all three radars are coincident during a significant rainfall event, the correction of GR reflectivities with calibration bias estimates from SR overpasses dramatically improves the consistency between the two ground radars which have shown incoherent observations before correction. We also show that for cases where adequate SR coverage is unavailable, interpolating the calibration biases using a moving average can be used to correct the GR observations for any point in time to some extent. By using the interpolated biases to correct GR observations, we demonstrate that bias correction reduces the absolute value of the mean difference in most cases, and therefore improves the consistency between the two ground radars. This thesis demonstrates that in general, taking into account systematic sources of uncertainty that are heterogeneous in space (e.g. BBF) and time (e.g. PIA) allows for a more consistent estimation of calibration bias, a homogeneous quantity. The bias still exhibits an unexpected variability in time, which hints that there are still other sources of errors that remain unexplored. Nevertheless, the increase in consistency between SR and GR as well as between the two ground radars, suggests that considering BBF and PIA in a weighted-averaging approach is a step in the right direction. Despite the ample room for improvement, the approach that combines volume matching between radars (either SR-GR or GR-GR) and quality-weighted comparison is readily available for application or further scrutiny. As a step towards reproducibility and transparency in atmospheric science, the 3D matching procedure and the analysis workflows as well as sample data are made available in public repositories. Open-source software such as Python and wradlib are used for all radar data processing in this thesis. This approach towards open science provides both research institutions and weather services with a valuable tool that can be applied to radar calibration, from monitoring to a posteriori correction of archived data.}, language = {en} } @phdthesis{Mandal2019, author = {Mandal, Sankalita}, title = {Event handling in business processes}, doi = {10.25932/publishup-44170}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-441700}, school = {Universit{\"a}t Potsdam}, pages = {xix, 151}, year = {2019}, abstract = {Business process management (BPM) deals with modeling, executing, monitoring, analyzing, and improving business processes. During execution, the process communicates with its environment to get relevant contextual information represented as events. Recent development of big data and the Internet of Things (IoT) enables sources like smart devices and sensors to generate tons of events which can be filtered, grouped, and composed to trigger and drive business processes. The industry standard Business Process Model and Notation (BPMN) provides several event constructs to capture the interaction possibilities between a process and its environment, e.g., to instantiate a process, to abort an ongoing activity in an exceptional situation, to take decisions based on the information carried by the events, as well as to choose among the alternative paths for further process execution. The specifications of such interactions are termed as event handling. However, in a distributed setup, the event sources are most often unaware of the status of process execution and therefore, an event is produced irrespective of the process being ready to consume it. BPMN semantics does not support such scenarios and thus increases the chance of processes getting delayed or getting in a deadlock by missing out on event occurrences which might still be relevant. The work in this thesis reviews the challenges and shortcomings of integrating real-world events into business processes, especially the subscription management. The basic integration is achieved with an architecture consisting of a process modeler, a process engine, and an event processing platform. Further, points of subscription and unsubscription along the process execution timeline are defined for different BPMN event constructs. Semantic and temporal dependencies among event subscription, event occurrence, event consumption and event unsubscription are considered. To this end, an event buffer with policies for updating the buffer, retrieving the most suitable event for the current process instance, and reusing the event has been discussed that supports issuing of early subscription. The Petri net mapping of the event handling model provides our approach with a translation of semantics from a business process perspective. Two applications based on this formal foundation are presented to support the significance of different event handling configurations on correct process execution and reachability of a process path. Prototype implementations of the approaches show that realizing flexible event handling is feasible with minor extensions of off-the-shelf process engines and event platforms.}, language = {en} } @phdthesis{Meyer2019, author = {Meyer, Ljuba}, title = {Bildungsort Familie}, doi = {10.25932/publishup-44431}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-444319}, school = {Universit{\"a}t Potsdam}, pages = {V, 438}, year = {2019}, abstract = {In der Bildungs- und Familienforschung wird die intergenerationale Weitergabe von Bildung innerhalb der Familie haupts{\"a}chlich unter dem Blickwinkel des schulischen Erfolges der nachwachsenden Generation thematisiert. „Wie" aber bildungsbezogene Transferprozesse innerhalb der Familie konkret ablaufen, bleibt jedoch in der deutschen Forschungslandschaft weitestgehend unbearbeitet. An dieser Stelle setzt diese qualitativ angelegte Arbeit an. Ziel dieser Arbeit ist, bildungsbezogene Transferprozesse innerhalb von russischen Dreigenerationenfamilien, die aus der ehemaligen Sowjetunion nach Berlin seit 1989 ausgewandert sind und zwischen der Großeltern-, Elterngeneration und der Enkelgeneration ablaufen, zu untersuchen. Hinter diesen Transferprozessen verbergen sich im Sinne Bourdieus bewusste und unbewusste Bildungsstrategien der interviewten Familienmitglieder. Im Rahmen dieser Arbeit wurden zwei Sp{\"a}taussiedlerfamilien - zu diesen z{\"a}hlen Familie Hoffmann und Familie Popow, sowie zwei russisch-j{\"u}dische Familien - zu diesen z{\"a}hlen Familie Rosenthal und Familie Buchbinder, interviewt. Es wurden mit den einzelnen Mitgliedern der vier untersuchten Dreigenerationenfamilien Gruppendiskussionen sowie mit je einem Vertreter einer Generation leitfadengest{\"u}tzte Einzelinterviews gef{\"u}hrt. Die Erhebungsphase fand in Berlin im Zeitraum von 2010 bis 2012 statt. Das auf diese Weise gewonnene empirische Material wurde mithilfe der dokumentarischen Methode nach Bohnsack ausgewertet. Hierdurch wurde es m{\"o}glich die implizite Selbstverst{\"a}ndlichkeit, mit der sich Bildung in Familien nach Bourdieu habituell vollzieht, einzufangen und rekonstruierbar zu machen. In der Arbeit wurden eine habitustheoretische Interpretation der russischen Dreigenerationenfamilien und die entsprechende Feldanalyse nach Bourdieu vorgenommen. In diesem Zusammenhang wurde der soziale Raum der untersuchten Familien in der Ankunftsgesellschaft bez{\"u}glich ihres Vergleichshorizontes der Herkunftsgesellschaft rekonstruiert. Weiter wurde der Bildungstransfer vor dem jeweiligen Erlebnishintergrund der einzelnen Familien untersucht und diesbez{\"u}glich eine Typisierung vorgenommen. Im Rahmen dieser Untersuchung konnten neue Erkenntnisse zum bisher unerforschten Feld des Bildungstransfers russischer Dreigenerationenfamilien in Berlin gewonnen werden. Ein wesentliches Ergebnis dieser Arbeit ist, dass die Anwendung von Bourdieus Klassentheorie auch auf Gruppen, die in einer sozialistischen Gesellschaft sozialisiert wurden und in eine kapitalistisch orientierte Gesellschaft ausgewandert sind, produktiv sein kann. Ein weiteres zentrales Ergebnis der Studie ist, dass bei zwei der vier untersuchten Familien die Migration den intergenerationalen Bildungstransfer beeinflusste. In diesem Zusammenhang weist Familie Rosenthal durch die Migration einen „gespaltenen" Habitus auf. Dieser ist darauf zur{\"u}ckzuf{\"u}hren, dass diese Familie bei der Planung des Berufes f{\"u}r die Enkelin in Berlin sich am Praktischen und Notwendigen orientierte. W{\"a}hrend die bewusste Bildungsstrategie der Großeltern- und Elterngeneration f{\"u}r die Enkelgeneration im Ankunftsland dem Habitus der Notwendigkeit, den Bourdieu der Arbeiterklasse zuschreibt, zugeordnet werden kann, l{\"a}sst sich hingegen das Freizeitverhalten der Familie Rosenthal dem Habitus der Distinktion zuordnen, der typisch f{\"u}r die herrschende Klasse ist. Ein weiterer Befund dieser Untersuchung ist, dass im Vergleich zur Enkelin Rosenthal bei der Enkelin Popow eine sogenannte Sph{\"a}rendiskrepanz rekonstruiert wurde. So ist die Enkelin Popow in der {\"a}ußeren Sph{\"a}re der Schule auf sich gestellt, da die Großeltern- und Elterngeneration zum deutschen Schulsystem nur {\"u}ber einen geringen Informationsstand verf{\"u}gen. Die Enkelin grenzt sich einerseits von ihrer Familie (innere Sph{\"a}re) und deutschen Schulabbrechern ({\"a}ußere Sph{\"a}re) ab, orientiert sich aber andererseits beim Versuch sozial aufzusteigen an russischsprachigen Peers, die die gymnasiale Oberstufe besuchen (dritte Sph{\"a}re). Bei Enkelin Popow fungiert demzufolge die Peergruppe und nicht die Familie als zentraler Bildungsort. An dieser Stelle sei angemerkt, dass sowohl bei einer russisch-j{\"u}dischen Familie als auch bei einer Sp{\"a}taussiedlerfamilie der intergenerationale Bildungstransfer durch die Migration beeinflusst wurde. W{\"a}hrend Familie Rosenthal in der Herkunftsgesellschaft der Intelligenzija zuzuordnen ist, geh{\"o}rt Familie Popow der Arbeiterschaft an. Daraus folgt, dass der intergenerationale Bildungstransfer der untersuchten Familien sowohl unabh{\"a}ngig vom Sp{\"a}taussiedler- und Kontingentfl{\"u}chtlingsstatus als auch vom herkunftsortspezifischen sozialen Status abl{\"a}uft. Demnach kann geschlussfolgert werden, dass im Rahmen dieser Studie die Migration ein zentraler Faktor f{\"u}r den intergenerationalen Bildungstransfer ist.}, language = {de} } @phdthesis{Fuhr2019, author = {Fuhr, Antonie}, title = {Eine Hypothese {\"u}ber die Grundlagen von Moral und einige Implikationen}, doi = {10.25932/publishup-44309}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-443091}, school = {Universit{\"a}t Potsdam}, pages = {172}, year = {2019}, abstract = {In der Dissertationsarbeit mit dem Titel „Eine Hypothese {\"u}ber die Grundlagen von Moral und einige Implikationen" unternimmt die Autorin den Versuch, die anthropologischen Pr{\"a}missen moralischen Handelns herauszuarbeiten. Es wird eine Hypothese aufgestellt und erl{\"a}utert, die behauptet, dass moralisches Handeln nur dann verst{\"a}ndlich wird, wenn der Handelnde erstens die F{\"a}higkeit der Phantasie aufweist, zweitens auf Erfahrungen (mittels seines Ged{\"a}chtnisses) zugreifen kann und durch Konversation mit anderen Personen interagierte und interagiert, denn nur auf der Basis dieser drei Grundlagen von Moral k{\"o}nnen sich diejenigen F{\"a}higkeiten ent¬wickeln, die als Voraussetzungen moralischen Handeln gesehen werden m{\"u}ssen: Selbstbewusstsein, Freiheit, die Entwicklung eines Wir-Gef{\"u}hls, die Genese eines moralischen Ideals und die F{\"a}higkeit, sich im Entscheiden und Handeln nach diesem Ideal richten zu k{\"o}nnen. Außerdem werden in dieser Dissertation einige Implikationen dieser Hypothese auf individueller und zwischenmenschlicher Ebene diskutiert.}, language = {de} } @phdthesis{Hoang2019, author = {Hoang, Yen}, title = {De novo binning strategy to analyze and visualize multi-dimensional cytometric data}, doi = {10.25932/publishup-44307}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-443078}, school = {Universit{\"a}t Potsdam}, pages = {vii, 81, xxxii}, year = {2019}, abstract = {Since half a century, cytometry has been a major scientific discipline in the field of cytomics - the study of system's biology at single cell level. It enables the investigation of physiological processes, functional characteristics and rare events with proteins by analysing multiple parameters on an individual cell basis. In the last decade, mass cytometry has been established which increased the parallel measurement to up to 50 proteins. This has shifted the analysis strategy from conventional consecutive manual gates towards multi-dimensional data processing. Novel algorithms have been developed to tackle these high-dimensional protein combinations in the data. They are mainly based on clustering or non-linear dimension reduction techniques, or both, often combined with an upstream downsampling procedure. However, these tools have obstacles either in comprehensible interpretability, reproducibility, computational complexity or in comparability between samples and groups. To address this bottleneck, a reproducible, semi-automated cytometric data mining workflow PRI (pattern recognition of immune cells) is proposed which combines three main steps: i) data preparation and storage; ii) bin-based combinatorial variable engineering of three protein markers, the so called triploTs, and subsequent sectioning of these triploTs in four parts; and iii) deployment of a data-driven supervised learning algorithm, the cross-validated elastic-net regularized logistic regression, with these triploT sections as input variables. As a result, the selected variables from the models are ranked by their prevalence, which potentially have discriminative value. The purpose is to significantly facilitate the identification of meaningful subpopulations, which are most distinguish between two groups. The proposed workflow PRI is exemplified by a recently published public mass cytometry data set. The authors found a T cell subpopulation which is discriminative between effective and ineffective treatment of breast carcinomas in mice. With PRI, that subpopulation was not only validated, but was further narrowed down as a particular Th1 cell population. Moreover, additional insights of combinatorial protein expressions are revealed in a traceable manner. An essential element in the workflow is the reproducible variable engineering. These variables serve as basis for a clearly interpretable visualization, for a structured variable exploration and as input layers in neural network constructs. PRI facilitates the determination of marker levels in a semi-continuous manner. Jointly with the combinatorial display, it allows a straightforward observation of correlating patterns, and thus, the dominant expressed markers and cell hierarchies. Furthermore, it enables the identification and complex characterization of discriminating subpopulations due to its reproducible and pseudo-multi-parametric pattern presentation. This endorses its applicability as a tool for unbiased investigations on cell subsets within multi-dimensional cytometric data sets.}, language = {en} } @phdthesis{Arf2019, author = {Arf, Shelan Ali}, title = {Women's everyday reality of social insecurity}, doi = {10.25932/publishup-43433}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-434333}, school = {Universit{\"a}t Potsdam}, pages = {334}, year = {2019}, abstract = {Since 1980 Iraq passed through various wars and conflicts including Iraq-Iran war, Saddam Hussein's the Anfals and Halabja campaigns against the Kurds and the killing campaigns against Shiite in 1986, Saddam Hussein's invasion of Kuwait in August 1990, the Gulf war in 1990, Iraq war in 2003 and the fall of Saddam, the conflicts and chaos in the transmission of power after the death of Saddam, and the war against ISIS . All these wars left severe impacts in most households in Iraq; on women and children in particular. The consequences of such long wars could be observed in all sectors including economic, social, cultural and religious sectors. The social structure, norms and attitudes are intensely affected. Many women specifically divorced women found them-selves in challenging different difficulties such as social as well as economic situations. Thus the divorced women in Iraqi Kurdistan are the focus of this research. Considering the fact that there is very few empirical researches on this topic, a constructivist grounded theory methodology (CGT) is viewed as reliable in order to come up with a comprehensive picture about the everyday life of divorced women in Iraqi Kurdistan. Data collected in Sulaimani city in Iraqi Kurdistan. The work of Kathy Charmaz was chosen to be the main methodological context of the research and the main data collection method was individual intensive narrative interviews with divorced women. Women generally and divorced women specifically in Iraqi Kurdistan are living in a patriarchal society that passing through many changes due to the above mentioned wars among many other factors. This research is trying to study the everyday life of divorced women in such situations and the forms of social insecurity they are experiencing. The social institutions starting from the family as a very significant institution for women to the governmental and non-governmental institutions that are working to support women, and the copying strategies, are in focus in this research. The main research argument is that the family is playing ambivalent roles in divorced women's life. For instance, on one side families are revealed to be an essential source of security to most respondents, on the other side families posed also many threats and restrictions on those women. This argument supported by what called by Suad joseph "the paradox of support and suppression" . Another important finding is that the stat institution(laws , constitutions ,Offices of combating violence against woman and family) are supporting women somehow and offering them protection from the insecurities but it is clear that the existence of the laws does not stop the violence against women in Iraqi Kurdistan, As explained by Pateman because the laws /the contract is a sexual-social contract that upholds the sex rights of males and grants them more privileges than females. The political instability, Tribal social norms also play a major role in influencing the rule of law. It is noteworthy to refer that analyzing the interviews in this research showed that in spite that divorced women living in insecurities and facing difficulties but most of the respondents try to find a coping strategies to tackle difficult situations and to deal with the violence they face; these strategies are bargaining, sometimes compromising or resisting …etc. Different theories used to explain these coping strategies such as bargaining with patriarchy. Kandiyoti who stated that women living under certain restraints struggle to find way and strategies to enhance their situations. The research finding also revealed that the western liberal feminist view of agency is limited this is agree with Saba Mahmood and what she explained about Muslim women agency. For my respondents, who are divorced women, their agency reveals itself in different ways, in resisting or compromising with or even obeying the power of male relatives, and the normative system in the society. Agency is also explained the behavior of women contacting formal state institutions in cases of violence like the police or Offices of combating violence against woman and family.}, language = {en} } @phdthesis{Sidarenka2019, author = {Sidarenka, Uladzimir}, title = {Sentiment analysis of German Twitter}, doi = {10.25932/publishup-43742}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-437422}, school = {Universit{\"a}t Potsdam}, pages = {vii, 217}, year = {2019}, abstract = {The immense popularity of online communication services in the last decade has not only upended our lives (with news spreading like wildfire on the Web, presidents announcing their decisions on Twitter, and the outcome of political elections being determined on Facebook) but also dramatically increased the amount of data exchanged on these platforms. Therefore, if we wish to understand the needs of modern society better and want to protect it from new threats, we urgently need more robust, higher-quality natural language processing (NLP) applications that can recognize such necessities and menaces automatically, by analyzing uncensored texts. Unfortunately, most NLP programs today have been created for standard language, as we know it from newspapers, or, in the best case, adapted to the specifics of English social media. This thesis reduces the existing deficit by entering the new frontier of German online communication and addressing one of its most prolific forms—users' conversations on Twitter. In particular, it explores the ways and means by how people express their opinions on this service, examines current approaches to automatic mining of these feelings, and proposes novel methods, which outperform state-of-the-art techniques. For this purpose, I introduce a new corpus of German tweets that have been manually annotated with sentiments, their targets and holders, as well as lexical polarity items and their contextual modifiers. Using these data, I explore four major areas of sentiment research: (i) generation of sentiment lexicons, (ii) fine-grained opinion mining, (iii) message-level polarity classification, and (iv) discourse-aware sentiment analysis. In the first task, I compare three popular groups of lexicon generation methods: dictionary-, corpus-, and word-embedding-based ones, finding that dictionary-based systems generally yield better polarity lists than the last two groups. Apart from this, I propose a linear projection algorithm, whose results surpass many existing automatically-generated lexicons. Afterwords, in the second task, I examine two common approaches to automatic prediction of sentiment spans, their sources, and targets: conditional random fields (CRFs) and recurrent neural networks, obtaining higher scores with the former model and improving these results even further by redefining the structure of CRF graphs. When dealing with message-level polarity classification, I juxtapose three major sentiment paradigms: lexicon-, machine-learning-, and deep-learning-based systems, and try to unite the first and last of these method groups by introducing a bidirectional neural network with lexicon-based attention. Finally, in order to make the new classifier aware of microblogs' discourse structure, I let it separately analyze the elementary discourse units of each tweet and infer the overall polarity of a message from the scores of its EDUs with the help of two new approaches: latent-marginalized CRFs and Recursive Dirichlet Process.}, language = {en} } @phdthesis{Brase2019, author = {Brase, Alexa Kristin}, title = {Spiele um Studium und Lehre? Zur mikropolitischen Nutzung von Qualit{\"a}tsmanagementsystemen an Hochschulen in Deutschland}, doi = {10.25932/publishup-43737}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-437377}, school = {Universit{\"a}t Potsdam}, pages = {IX, 228}, year = {2019}, abstract = {Die Wissenschaftsfreiheit ist ein Grundrecht, dessen Sinn und Auslegung im Rahmen von Reformen des Hochschulsystems nicht nur der Justiz, sondern auch der Wissenschaft selbst immer wieder Anlass zur Diskussion geben, so auch im Zuge der Einf{\"u}hrung des so genannten Qualit{\"a}tsmanagements von Studium und Lehre an deutschen Hochschulen. Die vorliegende Dissertationsschrift stellt die Ergebnisse einer empirischen Studie vor, die mit einer soziologischen Betrachtung des Qualit{\"a}tsmanagements unterschiedlicher Hochschulen zu dieser Diskussion beitr{\"a}gt. Auf Grundlage der Pr{\"a}misse, dass Verlauf und Folgen einer organisationalen Innovation nur verstanden werden k{\"o}nnen, wenn der allt{\"a}gliche Umgang der Organisationsmitglieder mit den neuen Strukturen und Prozessen in die Analyse einbezogen wird, geht die Studie von der Frage aus, wie Akteurinnen und Akteure an deutschen Hochschulen die Qualit{\"a}tsmanagementsysteme ihrer Organisationen nutzen. Die qualitative inhaltsanalytische Auswertung von 26 Leitfaden-Interviews mit Prorektorinnen und -rektoren, Qualit{\"a}tsmanagement-Personal und Studiendekaninnen und -dekanen an neun Hochschulen ergibt, dass die Strategien der Akteursgruppen an den Hochschulen im Zusammenspiel mit strukturellen Aspekten unterschiedliche Dynamiken entstehen lassen, mit denen Implikationen f{\"u}r die Lehrfreiheit verbunden sind: W{\"a}hrend die Autonomie der Lehrenden durch das Qualit{\"a}tsmanagement an einigen Hochschulen unterst{\"u}tzt wird, sind sowohl Autonomie als auch Verantwortung f{\"u}r Studium und Lehre an anderen Hochschulen Gegenstand andauernder Konflikte, die auch das Qualit{\"a}tsmanagement einschließen.}, language = {de} } @phdthesis{Batoulis2019, author = {Batoulis, Kimon}, title = {Sound integration of process and decision models}, doi = {10.25932/publishup-43738}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-437386}, school = {Universit{\"a}t Potsdam}, pages = {xviii, 155}, year = {2019}, abstract = {Business process management is an established technique for business organizations to manage and support their processes. Those processes are typically represented by graphical models designed with modeling languages, such as the Business Process Model and Notation (BPMN). Since process models do not only serve the purpose of documentation but are also a basis for implementation and automation of the processes, they have to satisfy certain correctness requirements. In this regard, the notion of soundness of workflow nets was developed, that can be applied to BPMN process models in order to verify their correctness. Because the original soundness criteria are very restrictive regarding the behavior of the model, different variants of the soundness notion have been developed for situations in which certain violations are not even harmful. All of those notions do only consider the control-flow structure of a process model, however. This poses a problem, taking into account the fact that with the recent release and the ongoing development of the Decision Model and Notation (DMN) standard, an increasing number of process models are complemented by respective decision models. DMN is a dedicated modeling language for decision logic and separates the concerns of process and decision logic into two different models, process and decision models respectively. Hence, this thesis is concerned with the development of decisionaware soundness notions, i.e., notions of soundness that build upon the original soundness ideas for process models, but additionally take into account complementary decision models. Similar to the various notions of workflow net soundness, this thesis investigates different notions of decision soundness that can be applied depending on the desired degree of restrictiveness. Since decision tables are a standardized means of DMN to represent decision logic, this thesis also puts special focus on decision tables, discussing how they can be translated into an unambiguous format and how their possible output values can be efficiently determined. Moreover, a prototypical implementation is described that supports checking a basic version of decision soundness. The decision soundness notions were also empirically evaluated on models from participants of an online course on process and decision modeling as well as from a process management project of a large insurance company. The evaluation demonstrates that violations of decision soundness indeed occur and can be detected with our approach.}, language = {en} } @phdthesis{MarimonTarter2019, author = {Marimon Tarter, Mireia}, title = {Word segmentation in German-learning infants and German-speaking adults}, doi = {10.25932/publishup-43740}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-437400}, school = {Universit{\"a}t Potsdam}, pages = {132}, year = {2019}, abstract = {There is evidence that infants start extracting words from fluent speech around 7.5 months of age (e.g., Jusczyk \& Aslin, 1995) and that they use at least two mechanisms to segment words forms from fluent speech: prosodic information (e.g., Jusczyk, Cutler \& Redanz, 1993) and statistical information (e.g., Saffran, Aslin \& Newport, 1996). However, how these two mechanisms interact and whether they change during development is still not fully understood. The main aim of the present work is to understand in what way different cues to word segmentation are exploited by infants when learning the language in their environment, as well as to explore whether this ability is related to later language skills. In Chapter 3 we pursued to determine the reliability of the method used in most of the experiments in the present thesis (the Headturn Preference Procedure), as well as to examine correlations and individual differences between infants' performance and later language outcomes. In Chapter 4 we investigated how German-speaking adults weigh statistical and prosodic information for word segmentation. We familiarized adults with an auditory string in which statistical and prosodic information indicated different word boundaries and obtained both behavioral and pupillometry responses. Then, we conducted further experiments to understand in what way different cues to word segmentation are exploited by 9-month-old German-learning infants (Chapter 5) and by 6-month-old German-learning infants (Chapter 6). In addition, we conducted follow-up questionnaires with the infants and obtained language outcomes at later stages of development. Our findings from this thesis revealed that (1) German-speaking adults show a strong weight of prosodic cues, at least for the materials used in this study and that (2) German-learning infants weight these two kind of cues differently depending on age and/or language experience. We observed that, unlike English-learning infants, 6-month-old infants relied more strongly on prosodic cues. Nine-month-olds do not show any preference for either of the cues in the word segmentation task. From the present results it remains unclear whether the ability to use prosodic cues to word segmentation relates to later language vocabulary. We speculate that prosody provides infants with their first window into the specific acoustic regularities in the signal, which enables them to master the specific stress pattern of German rapidly. Our findings are a step forwards in the understanding of an early impact of the native prosody compared to statistical learning in early word segmentation.}, language = {en} } @phdthesis{Angwenyi2019, author = {Angwenyi, David}, title = {Time-continuous state and parameter estimation with application to hyperbolic SPDEs}, doi = {10.25932/publishup-43654}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-436542}, school = {Universit{\"a}t Potsdam}, pages = {xi, 101}, year = {2019}, abstract = {Data assimilation has been an active area of research in recent years, owing to its wide utility. At the core of data assimilation are filtering, prediction, and smoothing procedures. Filtering entails incorporation of measurements' information into the model to gain more insight into a given state governed by a noisy state space model. Most natural laws are governed by time-continuous nonlinear models. For the most part, the knowledge available about a model is incomplete; and hence uncertainties are approximated by means of probabilities. Time-continuous filtering, therefore, holds promise for wider usefulness, for it offers a means of combining noisy measurements with imperfect model to provide more insight on a given state. The solution to time-continuous nonlinear Gaussian filtering problem is provided for by the Kushner-Stratonovich equation. Unfortunately, the Kushner-Stratonovich equation lacks a closed-form solution. Moreover, the numerical approximations based on Taylor expansion above third order are fraught with computational complications. For this reason, numerical methods based on Monte Carlo methods have been resorted to. Chief among these methods are sequential Monte-Carlo methods (or particle filters), for they allow for online assimilation of data. Particle filters are not without challenges: they suffer from particle degeneracy, sample impoverishment, and computational costs arising from resampling. The goal of this thesis is to:— i) Review the derivation of Kushner-Stratonovich equation from first principles and its extant numerical approximation methods, ii) Study the feedback particle filters as a way of avoiding resampling in particle filters, iii) Study joint state and parameter estimation in time-continuous settings, iv) Apply the notions studied to linear hyperbolic stochastic differential equations. The interconnection between It{\^o} integrals and stochastic partial differential equations and those of Stratonovich is introduced in anticipation of feedback particle filters. With these ideas and motivated by the variants of ensemble Kalman-Bucy filters founded on the structure of the innovation process, a feedback particle filter with randomly perturbed innovation is proposed. Moreover, feedback particle filters based on coupling of prediction and analysis measures are proposed. They register a better performance than the bootstrap particle filter at lower ensemble sizes. We study joint state and parameter estimation, both by means of extended state spaces and by use of dual filters. Feedback particle filters seem to perform well in both cases. Finally, we apply joint state and parameter estimation in the advection and wave equation, whose velocity is spatially varying. Two methods are employed: Metropolis Hastings with filter likelihood and a dual filter comprising of Kalman-Bucy filter and ensemble Kalman-Bucy filter. The former performs better than the latter.}, language = {en} } @phdthesis{Schuerings2019, author = {Sch{\"u}rings, Marco Philipp Hermann}, title = {Synthesis of 1D microgel strands and their motion analysis in solution}, doi = {10.25932/publishup-43953}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-439532}, school = {Universit{\"a}t Potsdam}, pages = {167}, year = {2019}, abstract = {The fabrication of 1D nanostrands composed of stimuli responsive microgels has been shown in this work. Microgels are well known materials able to respond to various stimuli from outer environment. Since these microgels respond via a volume change to an external stimulus, a targeted mechanical response can be achieved. Through carefully choosing the right composition of the polymer matrix, microgels can be designed to react precisely to the targeted stimuli (e.g. drug delivery via pH and temperature changes, or selective contractions through changes in electrical current125). In this work, it was aimed to create flexible nano-filaments which are capable of fast anisotropic contractions similar to muscle filaments. For the fabrication of such filaments or strands, nanostructured templates (PDMS wrinkles) were chosen due to a facile and low-cost fabrication and versatile tunability of their dimensions. Additionally, wrinkling is a well-known lithography-free method which enables the fabrication of nanostructures in a reproducible manner and with a high long-range periodicity. In Chapter 2.1, it was shown for the first time that microgels as soft matter particles can be aligned to densely packed microgel arrays of various lateral dimensions. The alignment of microgels with different compositions (e.g. VCL/AAEM, NIPAAm, NIPAAm/VCL and charged microgels) was shown by using different assembly techniques (e.g. spin-coating, template confined molding). It was chosen to set one experimental parameter constant which was the SiOx surface composition of the templates and substrates (e.g. oxidized PDMS wrinkles, Si-wafers and glass slides). It was shown that the fabrication of nanoarrays was feasible with all tested microgel types. Although the microgels exhibited different deformability when aligned on a flat surface, they retained their thermo-responsivity and swelling behavior. Towards the fabrication of 1D microgel strands interparticle connectivity was aspired. This was achieved via different cross-linking methods (i.e. cross-linking via UV-irradiation and host-guest complexation) discussed in Chapter 2.2. The microgel arrays created by different assembly methods and microgel types were tested for their cross-linking suitability. It was observed that NIPAAm based microgels cannot be cross-linked with UV light. Furthermore, it was found that these microgels exhibit a strong surface-particle-interaction and therefore could not be detached from the given substrates. In contrast to the latter, with VCL/AAEM based microgels it was possible to both UV cross-link them based on the keto-enol tautomerism of the AAEM copolymer, and to detach them from the substrate due to the lower adhesion energy towards SiOx surfaces. With VCL/AAEM microgels long, one-dimensional microgel strands could be re-dispersed in water for further analysis. It has also been shown that at least one lateral dimension of the free dispersed 1D microgel strands is easily controllable by adjusting the wavelength of the wrinkled template. For further work, only VCL/AAEM based microgels were used to focus on the main aim of this work, i.e. the fabrication of 1D microgel nanostrands. As an alternative to the unspecific and harsh UV cross-linking, the host-guest complexation via diazobenzene cross-linkers and cyclodextrin hosts was explored. The idea behind this approach was to give means to a future construction kit-like approach by incorporation of cyclodextrin comonomers in a broad variety of particle systems (e.g. microgels, nanoparticles). For this purpose, VCL/AAEM microgels were copolymerized with different amounts of mono-acrylate functionalized β-cyclodextrin (CD). After successfully testing the cross-linking capability in solution, the cross-linking of aligned VCL/AAEM/CD microgels was tried. Although the cross-linking worked well, once the single arrays came into contact to each other, they agglomerated. As a reason for this behavior residual amounts of mono-complexed diazobenzene linkers were suspected. Thus, end-capping strategies were tried out (e.g. excess amounts of β-cyclodextrin and coverage with azobenzene functionalized AuNPs) but were unsuccessful. With deeper thought, entropy effects were taken into consideration which favor the release of complexed diazobenzene linker leading to agglomerations. To circumvent this entropy driven effect, a multifunctional polymer with 50\% azobenzene groups (Harada polymer) was used. First experiments with this polymer showed promising results regarding a less pronounced agglomeration (Figure 77). Thus, this approach could be pursued in the future. In this chapter it was found out that in contrast to pearl necklace and ribbon like formations, particle alignment in zigzag formation provided the best compromise in terms of stability in dispersion (see Figure 44a and Figure 51) while maintaining sufficient flexibility. For this reason, microgel strands in zigzag formation were used for the motion analysis described in Chapter 2.3. The aim was to observe the properties of unrestrained microgel strands in solution (e.g. diffusion behavior, rotational properties and ideally, anisotropic contraction after temperature increase). Initially, 1D microgel strands were manipulated via AFM in a liquid cell setup. It could be observed that the strands required a higher load force compared to single microgels to be detached from the surface. However, with the AFM it was not possible to detach the strands in a controllable manner but resulted in a complete removal of single microgel particles and a tearing off the strands from the surface, respectively. For this reason, to observe the motion behavior of unrestrained microgel strands in solution, confocal microscopy was used. Furthermore, to hinder an adsorption of the strands, it was found out that coating the surface of the substrates with a repulsive polymer film was beneficial. Confocal and wide-field microscopy videos showed that the microgel strands exhibit translational and rotational diffusive motion in solution without perceptible bending. Unfortunately, with these methods the detection of the anisotropic stimuli responsive contraction of the free moving microgel strands was not possible. To summarize, the flexibility of microgel strands is more comparable to the mechanical behavior of a semi flexible cable than to a yarn. The strands studied here consist of dozens or even hundreds of discrete submicron units strung together by cross-linking, having few parallels in nanotechnology. With the insights gained in this work on microgel-surface interactions, in the future, a targeted functionalization of the template and substrate surfaces can be conducted to actively prevent unwanted microgel adsorption for a given microgel system (e.g. PVCL and polystyrene coating235). This measure would make the discussed alignment methods more diverse. As shown herein, the assembly methods enable a versatile microgel alignment (e.g. microgel meshes, double and triple strands). To go further, one could use more complex templates (e.g. ceramic rhombs and star shaped wrinkles (Figure 14) to expand the possibilities of microgel alignment and to precisely control their aspect ratios (e.g. microgel rods with homogeneous size distributions).}, language = {en} } @phdthesis{Thater2019, author = {Thater, Sabine}, title = {The interplay between supermassive black holes and their host galaxies}, doi = {10.25932/publishup-43757}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-437570}, school = {Universit{\"a}t Potsdam}, pages = {iv, 186}, year = {2019}, abstract = {Supermassive black holes reside in the hearts of almost all massive galaxies. Their evolutionary path seems to be strongly linked to the evolution of their host galaxies, as implied by several empirical relations between the black hole mass (M BH ) and different host galaxy properties. The physical driver of this co-evolution is, however, still not understood. More mass measurements over homogeneous samples and a detailed understanding of systematic uncertainties are required to fathom the origin of the scaling relations. In this thesis, I present the mass estimations of supermassive black holes in the nuclei of one late-type and thirteen early-type galaxies. Our SMASHING sample extends from the intermediate to the massive galaxy mass regime and was selected to fill in gaps in number of galaxies along the scaling relations. All galaxies were observed at high spatial resolution, making use of the adaptive-optics mode of integral field unit (IFU) instruments on state-of-the-art telescopes (SINFONI, NIFS, MUSE). I extracted the stellar kinematics from these observations and constructed dynamical Jeans and Schwarzschild models to estimate the mass of the central black holes robustly. My new mass estimates increase the number of early-type galaxies with measured black hole masses by 15\%. The seven measured galaxies with nuclear light deficits ('cores') augment the sample of cored galaxies with measured black holes by 40\%. Next to determining massive black hole masses, evaluating the accuracy of black hole masses is crucial for understanding the intrinsic scatter of the black hole- host galaxy scaling relations. I tested various sources of systematic uncertainty on my derived mass estimates. The M BH estimate of the single late-type galaxy of the sample yielded an upper limit, which I could constrain very robustly. I tested the effects of dust, mass-to-light ratio (M/L) variation, and dark matter on my measured M BH . Based on these tests, the typically assumed constant M/L ratio can be an adequate assumption to account for the small amounts of dark matter in the center of that galaxy. I also tested the effect of a variable M/L variation on the M BH measurement on a second galaxy. By considering stellar M/L variations in the dynamical modeling, the measured M BH decreased by 30\%. In the future, this test should be performed on additional galaxies to learn how an as constant assumed M/L flaws the estimated black hole masses. Based on our upper limit mass measurement, I confirm previous suggestions that resolving the predicted BH sphere-of-influence is not a strict condition to measure black hole masses. Instead, it is only a rough guide for the detection of the black hole if high-quality, and high signal-to-noise IFU data are used for the measurement. About half of our sample consists of massive early-type galaxies which show nuclear surface brightness cores and signs of triaxiality. While these types of galaxies are typically modeled with axisymmetric modeling methods, the effects on M BH are not well studied yet. The massive galaxies of our presented galaxy sample are well suited to test the effect of different stellar dynamical models on the measured black hole mass in evidently triaxial galaxies. I have compared spherical Jeans and axisymmetric Schwarzschild models and will add triaxial Schwarzschild models to this comparison in the future. The constructed Jeans and Schwarzschild models mostly disagree with each other and cannot reproduce many of the triaxial features of the galaxies (e.g., nuclear sub-components, prolate rotation). The consequence of the axisymmetric-triaxial assumption on the accuracy of M BH and its impact on the black hole - host galaxy relation needs to be carefully examined in the future. In the sample of galaxies with published M BH , we find measurements based on different dynamical tracers, requiring different observations, assumptions, and methods. Crucially, different tracers do not always give consistent results. I have used two independent tracers (cold molecular gas and stars) to estimate M BH in a regular galaxy of our sample. While the two estimates are consistent within their errors, the stellar-based measurement is twice as high as the gas-based. Similar trends have also been found in the literature. Therefore, a rigorous test of the systematics associated with the different modeling methods is required in the future. I caution to take the effects of different tracers (and methods) into account when discussing the scaling relations. I conclude this thesis by comparing my galaxy sample with the compilation of galaxies with measured black holes from the literature, also adding six SMASHING galaxies, which were published outside of this thesis. None of the SMASHING galaxies deviates significantly from the literature measurements. Their inclusion to the published early-type galaxies causes a change towards a shallower slope for the M BH - effective velocity dispersion relation, which is mainly driven by the massive galaxies of our sample. More unbiased and homogenous measurements are needed in the future to determine the shape of the relation and understand its physical origin.}, language = {en} } @phdthesis{Farhy2019, author = {Farhy, Yael}, title = {Universals and particulars in morphology}, doi = {10.25932/publishup-47003}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-470033}, school = {Universit{\"a}t Potsdam}, pages = {VI, 167}, year = {2019}, abstract = {For many years, psycholinguistic evidence has been predominantly based on findings from native speakers of Indo-European languages, primarily English, thus providing a rather limited perspective into the human language system. In recent years a growing body of experimental research has been devoted to broadening this picture, testing a wide range of speakers and languages, aiming to understanding the factors that lead to variability in linguistic performance. The present dissertation investigates sources of variability within the morphological domain, examining how and to what extent morphological processes and representations are shaped by specific properties of languages and speakers. Firstly, the present work focuses on a less explored language, Hebrew, to investigate how the unique non-concatenative morphological structure of Hebrew, namely a non-linear combination of consonantal roots and vowel patterns to form lexical entries (L-M-D + CiCeC = limed 'teach'), affects morphological processes and representations in the Hebrew lexicon. Secondly, a less investigated population was tested: late learners of a second language. We directly compare native (L1) and non-native (L2) speakers, specifically highly proficient and immersed late learners of Hebrew. Throughout all publications, we have focused on a morphological phenomenon of inflectional classes (called binyanim; singular: binyan), comparing productive (class Piel, e.g., limed 'teach') and unproductive (class Paal, e.g., lamad 'learn') verbal inflectional classes. By using this test case, two psycholinguistic aspects of morphology were examined: (i) how morphological structure affects online recognition of complex words, using masked priming (Publications I and II) and cross-modal priming (Publication III) techniques, and (ii) what type of cues are used when extending morpho-phonological patterns to novel complex forms, a process referred to as morphological generalization, using an elicited production task (Publication IV). The findings obtained in the four manuscripts, either published or under review, provide significant insights into the role of productivity in Hebrew morphological processing and generalization in L1 and L2 speakers. Firstly, the present L1 data revealed a close relationship between productivity of Hebrew verbal classes and recognition process, as revealed in both priming techniques. The consonantal root was accessed only in the productive class (Piel) but not the unproductive class (Paal). Another dissociation between the two classes was revealed in the cross-modal priming, yielding a semantic relatedness effect only for Paal but not Piel primes. These findings are taken to reflect that the Hebrew mental representations display a balance between stored undecomposable unstructured stems (Paal) and decomposed structured stems (Piel), in a similar manner to a typical dual-route architecture, showing that the Hebrew mental lexicon is less unique than previously claimed in psycholinguistic research. The results of the generalization study, however, indicate that there are still substantial differences between inflectional classes of Hebrew and other Indo-European classes, particularly in the type of information they rely on in generalization to novel forms. Hebrew binyan generalization relies more on cues of argument structure and less on phonological cues. Secondly, clear L1/L2 differences were observed in the sensitivity to abstract morphological and morpho-syntactic information during complex word recognition and generalization. While L1 Hebrew speakers were sensitive to the binyan information during recognition, expressed by the contrast in root priming, L2 speakers showed similar root priming effects for both classes, but only when the primes were presented in an infinitive form. A root priming effect was not obtained for primes in a finite form. These patterns are interpreted as evidence for a reduced sensitivity of L2 speakers to morphological information, such as information about inflectional classes, and evidence for processing costs in recognition of forms carrying complex morpho-syntactic information. Reduced reliance on structural information cues was found in production of novel verbal forms, when the L2 group displayed a weaker effect of argument structure for Piel responses, in comparison to the L1 group. Given the L2 results, we suggest that morphological and morphosyntactic information remains challenging for late bilinguals, even at high proficiency levels.}, language = {en} } @phdthesis{Desanois2019, author = {Desanois, Louis}, title = {On the origin of epithermal Sn-Ag-Zn mineralization at the Pirquitas mine, NW Argentina}, doi = {10.25932/publishup-43082}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-430822}, school = {Universit{\"a}t Potsdam}, pages = {104}, year = {2019}, abstract = {The Central Andes host large reserves of base and precious metals. The region represented, in 2017, an important part of the worldwide mining activity. Three principal types of deposits have been identified and studied: 1) porphyry type deposits extending from central Chile and Argentina to Bolivia, and Northern Peru, 2) iron oxide-copper-gold (IOCG) deposits, extending from central Peru to central Chile, and 3) epithermal tin polymetallic deposits extending from Southern Peru to Northern Argentina, which compose a large part of the deposits of the Bolivian Tin Belt (BTB). Deposits in the BTB can be divided into two major types: (1) tin-tungsten-zinc pluton-related polymetallic deposits, and (2) tin-silver-lead-zinc epithermal polymetallic vein deposits. Mina Pirquitas is a tin-silver-lead-zinc epithermal polymetallic vein deposit, located in north-west Argentina, that used to be one of the most important tin-silver producing mine of the country. It was interpreted to be part of the BTB and it shares similar mineral associations with southern pluton related BTB epithermal deposits. Two major mineralization events related to three pulses of magmatic fluids mixed with meteoric water have been identified. The first event can be divided in two stages: 1) stage I-1 with quartz, pyrite, and cassiterite precipitating from fluids between 233 and 370 °C and salinity between 0 and 7.5 wt\%, corresponding to a first pulse of fluids, and 2) stage I-2 with sphalerite and tin-silver-lead-antimony sulfosalts precipitating from fluids between 213 and 274 °C with salinity up to 10.6 wt\%, corresponding to a new pulse of magmatic fluids in the hydrothermal system. The mineralization event II deposited the richest silver ores at Pirquitas. Event II fluids temperatures and salinities range between 190 and 252 °C and between 0.9 and 4.3 wt\% respectively. This corresponds to the waning supply of magmatic fluids. Noble gas isotopic compositions and concentrations in ore-hosted fluid inclusions demonstrate a significant contribution of magmatic fluids to the Pirquitas mineralization although no intrusive rocks are exposed in the mine area. Lead and sulfur isotopic measurements on ore minerals show that Pirquitas shares a similar signature with southern pluton related polymetallic deposits in the BTB. Furthermore, the major part of the sulfur isotopic values of sulfide and sulfosalt minerals from Pirquitas ranges in the field for sulfur derived from igneous rocks. This suggests that the main contribution of sulfur to the hydrothermal system at Pirquitas is likely to be magma-derived. The precise age of the deposit is still unknown but the results of wolframite dating of 2.9 ± 9.1 Ma and local structural observations suggest that the late mineralization event is younger than 12 Ma.}, language = {en} } @phdthesis{Kolk2019, author = {Kolk, Jens}, title = {The long-term legacy of historical land cover changes}, doi = {10.25932/publishup-43939}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-439398}, school = {Universit{\"a}t Potsdam}, pages = {196}, year = {2019}, abstract = {Over the last years there is an increasing awareness that historical land cover changes and associated land use legacies may be important drivers for present-day species richness and biodiversity due to time-delayed extinctions or colonizations in response to historical environmental changes. Historically altered habitat patches may therefore exhibit an extinction debt or colonization credit and can be expected to lose or gain species in the future. However, extinction debts and colonization credits are difficult to detect and their actual magnitudes or payments have rarely been quantified because species richness patterns and dynamics are also shaped by recent environmental conditions and recent environmental changes. In this thesis we aimed to determine patterns of herb-layer species richness and recent species richness dynamics of forest herb layer plants and link those patterns and dynamics to historical land cover changes and associated land use legacies. The study was conducted in the Prignitz, NE-Germany, where the forest distribution remained stable for the last ca. 100 years but where a) the deciduous forest area had declined by more than 90 per cent (leaving only remnants of "ancient forests"), b) small new forests had been established on former agricultural land ("post-agricultural forests"). Here, we analyzed the relative importance of land use history and associated historical land cover changes for herb layer species richness compared to recent environmental factors and determined magnitudes of extinction debt and colonization credit and their payment in ancient and post-agricultural forests, respectively. We showed that present-day species richness patterns were still shaped by historical land cover changes that ranged back to more than a century. Although recent environmental conditions were largely comparable we found significantly more forest specialists, species with short-distance dispersal capabilities and clonals in ancient forests than in post-agricultural forests. Those species richness differences were largely contingent to a colonization credit in post-agricultural forests that ranged up to 9 species (average 4.7), while the extinction debt in ancient forests had almost completely been paid. Environmental legacies from historical agricultural land use played a minor role for species richness differences. Instead, patch connectivity was most important. Species richness in ancient forests was still dependent on historical connectivity, indicating a last glimpse of an extinction debt, and the colonization credit was highest in isolated post-agricultural forests. In post-agricultural forests that were better connected or directly adjacent to ancient forest patches the colonization credit was way smaller and we were able to verify a gradual payment of the colonization credit from 2.7 species to 1.5 species over the last six decades.}, language = {en} } @phdthesis{Schaefer2019, author = {Sch{\"a}fer, Merlin}, title = {Understanding and predicting global change impacts on migratory birds}, doi = {10.25932/publishup-43925}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-439256}, school = {Universit{\"a}t Potsdam}, pages = {XIV, 153}, year = {2019}, abstract = {This is a publication-based dissertation comprising three original research stud-ies (one published, one submitted and one ready for submission; status March 2019). The dissertation introduces a generic computer model as a tool to investigate the behaviour and population dynamics of animals in cyclic environments. The model is further employed for analysing how migratory birds respond to various scenarios of altered food supply under global change. Here, ecological and evolutionary time-scales are considered, as well as the biological constraints and trade-offs the individual faces, which ultimately shape response dynamics at the population level. Further, the effect of fine-scale temporal patterns in re-source supply are studied, which is challenging to achieve experimentally. My findings predict population declines, altered behavioural timing and negative carry-over effects arising in migratory birds under global change. They thus stress the need for intensified research on how ecological mechanisms are affected by global change and for effective conservation measures for migratory birds. The open-source modelling software created for this dissertation can now be used for other taxa and related research questions. Overall, this thesis improves our mechanistic understanding of the impacts of global change on migratory birds as one prerequisite to comprehend ongoing global biodiversity loss. The research results are discussed in a broader ecological and scientific context in a concluding synthesis chapter.}, language = {en} } @phdthesis{Lewandowski2019, author = {Lewandowski, Max}, title = {Hadamard states for bosonic quantum field theory on globally hyperbolic spacetimes}, doi = {10.25932/publishup-43938}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-439381}, school = {Universit{\"a}t Potsdam}, pages = {v, 69}, year = {2019}, abstract = {Quantenfeldtheorie auf gekr{\"u}mmten Raumzeiten ist eine semiklassische N{\"a}herung einer Quantentheorie der Gravitation, im Rahmen derer ein Quantenfeld unter dem Einfluss eines klassisch modellierten Gravitationsfeldes, also einer gekr{\"u}mmten Raumzeit, beschrieben wird. Eine der bemerkenswertesten Vorhersagen dieses Ansatzes ist die Erzeugung von Teilchen durch die gekr{\"u}mmte Raumzeit selbst, wie zum Beispiel durch Hawkings Verdampfen schwarzer L{\"o}cher und den Unruh Effekt. Andererseits deuten diese Aspekte bereits an, dass fundamentale Grundpfeiler der Theorie auf dem Minkowskiraum, insbesondere ein ausgezeichneter Vakuumzustand und damit verbunden der Teilchenbegriff, f{\"u}r allgemeine gekr{\"u}mmte Raumzeiten keine sinnvolle Entsprechung besitzen. Gleichermaßen ben{\"o}tigen wir eine alternative Implementierung von Kovarianz in die Theorie, da gekr{\"u}mmte Raumzeiten im Allgemeinen keine nicht-triviale globale Symmetrie aufweisen. Letztere Problematik konnte im Rahmen lokal-kovarianter Quantenfeldtheorie gel{\"o}st werden, wohingegen die Abwesenheit entsprechender Konzepte f{\"u}r Vakuum und Teilchen in diesem allgemeinen Fall inzwischen sogar in Form von no-go-Aussagen manifestiert wurde. Beim algebraischen Ansatz f{\"u}r eine Quantenfeldtheorie werden zun{\"a}chst Observablen eingef{\"u}hrt und erst anschließend Zust{\"a}nde via Zuordnung von Erwartungswerten. Obwohl die Observablen unter physikalischen Gesichtspunkten konstruiert werden, existiert dennoch eine große Anzahl von m{\"o}glichen Zust{\"a}nden, von denen viele, aus physikalischen Blickwinkeln betrachtet, nicht sinnvoll sind. Dieses Konzept von Zust{\"a}nden ist daher noch zu allgemein und bedarf weiterer physikalisch motivierter Einschr{\"a}nkungen. Beispielsweise ist es nat{\"u}rlich, sich im Falle freier Quantenfeldtheorien mit linearen Feldgleichungen auf quasifreie Zust{\"a}nde zu konzentrieren. Dar{\"u}ber hinaus ist die Renormierung von Erwartungswerten f{\"u}r Produkte von Feldern von zentraler Bedeutung. Dies betrifft insbesondere den Energie-Impuls-Tensor, dessen Erwartungswert durch distributionelle Bil{\"o}sungen der Feldgleichungen gegeben ist. Tats{\"a}chlich liefert J. Hadamard Theorie hyperbolischer Differentialgleichungen Bil{\"o}sungen mit festem singul{\"a}ren Anteil, so dass ein geeignetes Renormierungsverfahren definiert werden kann. Die sogenannte Hadamard-Bedingung an Bidistributionen steht f{\"u}r die Forderung einer solchen Singularit{\"a}tenstruktur und sie hat sich etabliert als nat{\"u}rliche Verallgemeinerung der f{\"u}r flache Raumzeiten formulierten Spektralbedingung. Seit Radzikowskis wegweisenden Resultaten l{\"a}sst sie sich außerdem lokal ausdr{\"u}cken, n{\"a}mlich als eine Bedingung an die Wellenfrontenmenge der Bil{\"o}sung. Diese Formulierung schl{\"a}gt eine Br{\"u}cke zu der von Duistermaat und H{\"o}rmander entwickelten mikrolokalen Analysis, die seitdem bei der {\"U}berpr{\"u}fung der Hadamard-Bedingung sowie der Konstruktion von Hadamard Zust{\"a}nden vielfach Verwendung findet und rasante Fortschritte auf diesem Gebiet ausgel{\"o}st hat. Obwohl unverzichtbar f{\"u}r die Analyse der Charakteristiken von Operatoren und ihrer Parametrizen sind die Methoden und Aussagen der mikrolokalen Analysis ungeeignet f{\"u}r die Analyse von nicht-singul{\"a}ren Strukturen und zentrale Aussagen sind typischerweise bis auf glatte Anteile formuliert. Beispielsweise lassen sich aus Radzikowskis Resultaten nahezu direkt Existenzaussagen und sogar ein konkretes Konstruktionsschema f{\"u}r Hadamard Zust{\"a}nde ableiten, die {\"u}brigen Eigenschaften (Bil{\"o}sung, Kausalit{\"a}t, Positivit{\"a}t) k{\"o}nnen jedoch auf diesem Wege nur modulo glatte Funktionen gezeigt werden. Es ist das Ziel dieser Dissertation, diesen Ansatz f{\"u}r lineare Wellenoperatoren auf Schnitten in Vektorb{\"u}ndeln {\"u}ber global-hyperbolischen Lorentz-Mannigfaltigkeiten zu vollenden und, ausgehend von einer lokalen Hadamard Reihe, Hadamard Zust{\"a}nde zu konstruieren. Beruhend auf Wightmans L{\"o}sung f{\"u}r die d'Alembert-Gleichung auf dem Minkowski-Raum und der Herleitung der avancierten und retardierten Fundamentall{\"o}sung konstruieren wir lokal Parametrizen in Form von Hadamard-Reihen und f{\"u}gen sie zu globalen Bil{\"o}sungen zusammen. Diese besitzen dann die Hadamard-Eigenschaft und wir zeigen anschließend, dass glatte Bischnitte existieren, die addiert werden k{\"o}nnen, so dass die verbleibenden Bedingungen erf{\"u}llt sind.}, language = {en} } @phdthesis{Nasery2019, author = {Nasery, Mustafa}, title = {The success and failure of civil service reforms in Afghanistan}, doi = {10.25932/publishup-44473}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-444738}, school = {Universit{\"a}t Potsdam}, pages = {viii, 258}, year = {2019}, abstract = {The Government will create a motivated, merit-based, performance-driven, and professional civil service that is resistant to temptations of corruption and which provides efficient, effective and transparent public services that do not force customers to pay bribes. — (GoIRA, 2006, p. 106) We were in a black hole! We had an empty glass and had nothing from our side to fill it with! Thus, we accepted anything anybody offered; that is how our glass was filled; that is how we reformed our civil service. — (Former Advisor to IARCSC, personal communication, August 2015) How and under what conditions were the post-Taleban Civil Service Reforms of Afghanistan initiated? What were the main components of the reforms? What were their objectives and to which extent were they achieved? Who were the leading domestic and foreign actors involved in the process? Finally, what specific factors influenced the success and failure Afghanistan's Civil Service Reforms since 2002? Guided by such fundamental questions, this research studies the wicked process of reforming the Afghan civil service in an environment where a variety of contextual, programmatic, and external factors affected the design and implementation of reforms that were entirely funded and technically assisted by the international community. Focusing on the core components of reforms—recruitment, remuneration, and appraisal of civil servants—the qualitative study provides a detailed picture of the pre-reform civil service and its major human resources developments in the past. Following discussions on the content and purposes of the main reform programs, it will then analyze the extent of changes in policies and practices by examining the outputs and effects of these reforms. Moreover, the study defines the specific factors that led the reforms toward a situation where most of the intended objectives remain unachieved. Doing so, it explores and explains how an overwhelming influence of international actors with conflicting interests, large-scale corruption, political interference, networks of patronage, institutionalized nepotism, culturally accepted cronyism and widespread ethnic favoritism created a very complex environment and prevented the reforms from transforming Afghanistan's patrimonial civil service into a professional civil service, which is driven by performance and merit.}, language = {en} } @phdthesis{Michalczyk2019, author = {Michalczyk, Anna}, title = {Modelling of nitrogen cycles in intensive winter wheat-summer maize double cropping systems in the North China Plain}, doi = {10.25932/publishup-44421}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-444213}, school = {Universit{\"a}t Potsdam}, pages = {X, 154}, year = {2019}, abstract = {The North China Plain (NCP) is one of the most productive and intensive agricultural regions in China. High doses of mineral nitrogen (N) fertiliser, often combined with flood irrigation, are applied, resulting in N surplus, groundwater depletion and environmental pollution. The objectives of this thesis were to use the HERMES model to simulate the N cycle in winter wheat (Triticum aestivum L.)-summer maize (Zea mays L.) double crop rotations and show the performance of the HERMES model, of the new ammonia volatilisation sub-module and of the new nitrification inhibition tool in the NCP. Further objectives were to assess the models potential to save N and water on plot and county scale, as well as on short and long-term. Additionally, improved management strategies with the help of a model-based nitrogen fertiliser recommendation (NFR) and adapted irrigation, should be found. Results showed that the HERMES model performed well under growing conditions of the NCP and was able to describe the relevant processes related to soil-plant interactions concerning N and water during a 2.5 year field experiment. No differences in grain yield between the real-time model-based NFR and the other treatments of the experiments on plot scale in Quzhou County could be found. Simulations with increasing amounts of irrigation resulted in significantly higher N leaching, higher N requirements of the NFR and reduced yields. Thus, conventional flood irrigation as currently practised by the farmers bears great uncertainties and exact irrigation amounts should be known for future simulation studies. In the best-practice scenario simulation on plot-scale, N input and N leaching, but also irrigation water could be reduced strongly within 2 years. Thus, the model-based NFR in combination with adapted irrigation had the highest potential to reduce nitrate leaching, compared to farmers practice and mineral N (Nmin)-reduced treatments. Also the calibrated and validated ammonia volatilisation sub-module of the HERMES model worked well under the climatic and soil conditions of northern China. Simple ammonia volatilisation approaches gave also satisfying results compared to process-oriented approaches. During the simulation with Ammonium sulphate Nitrate with nitrification inhibitor (ASNDMPP) ammonia volatilisation was higher than in the simulation without nitrification inhibitor, while the result for nitrate leaching was the opposite. Although nitrification worked well in the model, nitrification-born nitrous oxide emissions should be considered in future. Results of the simulated annual long-term (31 years) N losses in whole Quzhou County in Hebei Province were 296.8 kg N ha-1 under common farmers practice treatment and 101.7 kg N ha-1 under optimised treatment including NFR and automated irrigation (OPTai). Spatial differences in simulated N losses throughout Quzhou County, could only be found due to different N inputs. Simulations of an optimised treatment, could save on average more than 260 kg N ha-1a-1 from fertiliser input and 190 kg N ha-1a-1 from N losses and around 115.7 mm a-1 of water, compared to farmers practice. These long-term simulation results showed lower N and water saving potential, compared to short-term simulations and underline the necessity of long-term simulations to overcome the effect of high initial N stocks in soil. Additionally, the OPTai worked best on clay loam soil except for a high simulated denitrification loss, while the simulations using farmers practice irrigation could not match the actual water needs resulting in yield decline, especially for winter wheat. Thus, a precise adaption of management to actual weather conditions and plant growth needs is necessary for future simulations. However, the optimised treatments did not seem to be able to maintain the soil organic matter pools, even with full crop residue input. Extra organic inputs seem to be required to maintain soil quality in the optimised treatments. HERMES is a relatively simple model, with regard to data input requirements, to simulate the N cycle. It can offer interpretation of management options on plot, on county and regional scale for extension and research staff. Also in combination with other N and water saving methods the model promises to be a useful tool.}, language = {en} } @phdthesis{Grafe2019, author = {Grafe, Marianne Erika}, title = {Analysis of supramolecular assemblies of NE81, the first lamin protein in a non-metazoan organism}, doi = {10.25932/publishup-44180}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-441802}, school = {Universit{\"a}t Potsdam}, pages = {V, 94}, year = {2019}, abstract = {Lamine sind Proteine an der inneren Kernh{\"u}lle und bilden zusammen mit verbundenen Proteinen die nukle{\"a}re Lamina. Dieses Netzwerk sorgt f{\"u}r die Stabilit{\"a}t des Zellkerns und unterst{\"u}tzt die Organisation des Zell-Zytoskeletts. Zus{\"a}tzlich sind Lamine und ihre verbundenen Proteine in viele Prozesse wie Genregulation und Zelldifferenzierung involviert. Bis 2012 war der Stand der Forschung, dass nur bei mehrzelligen Organismen eine nukle{\"a}re Lamina zu finden ist. NE81 ist das erste lamin-{\"a}hnliche Protein, das in einem nicht-mehrzelligen Organismus (Dictyostelium discoideum) entdeckt wurde. Es hat viele Eigenschaften und Strukturmerkmale mit Laminen gemeinsam. Dazu z{\"a}hlt der dreiteilige Aufbau des Proteins, eine Phosphorylierungsstelle f{\"u}r ein Zellzyklus-abh{\"a}ngiges Enzym, ein Kernlokalisationssignal, wodurch das Protein in den Kern transportiert wird, sowie eine C-terminale Sequenz zur Verankerung des Proteins in der Kernh{\"u}lle. In dieser Arbeit wurden verschiedene Methoden zur vereinfachten Untersuchung von Laminstrukturen getestet, um zu zeigen, dass sich NE81 wie bereits bekannte Lamin-Proteine verh{\"a}lt und supramolekulare Netzwerke aus Laminfilamenten bildet. Zur Analyse der Struktur supramolekularer Anordnungen wurde das Protein durch Entfernen des Kernlokalisationssignals auf der {\"a}ußeren Kernh{\"u}lle von Dictyostelium gebildet. Die anschließende Untersuchung der Oberfl{\"a}che der Kerne mit einem Rasterelektronenmikroskop zeigte, dass NE81 Strukturen in der Gr{\"o}ße von Laminen bildet, allerdings nicht in regelm{\"a}ßigen filament{\"o}sen Anordnungen. Um die Entstehung der Laminfilamente zu untersuchen, wurde l{\"o}sliches NE81 aus Dictyostelium aufgereinigt und mit verschiedenen mikroskopischen Methoden untersucht. Dabei wurde festgestellt, dass NE81 unter Niedrigsalz-Bedingungen d{\"u}nne, fadenf{\"o}rmige Strukturen und Netzwerke ausbildet, die denen von S{\"a}ugetier-Laminen sehr {\"a}hnlich sind. Die Mutation der Phosphorylierungsstelle von NE81 zu einer imitierenden dauerhaften Phosphorylierung von NE81 in der Zelle, zeigte zun{\"a}chst ein gel{\"o}stes Protein, das {\"u}berraschenderweise unter Blaulichtbestrahlung der Zelle wieder lamin-{\"a}hnliche Anordnungen formte. Die Ergebnisse dieser Arbeit zeigen, dass NE81 echte Laminstrukturen ausbilden kann und hebt Dictyostelium als Nicht-S{\"a}ugetier-Modellorganismus mit einer gut charakterisierten Kernh{\"u}lle, mit allen relevanten, aus tierischen Zellen bekannten Proteinen, hervor.}, language = {en} } @phdthesis{Messi2019, author = {Messi, Hugues Urbain Patrick}, title = {Les sources du savoir - l'expression de l'inf{\´e}rence en Fran{\c{c}}ais}, doi = {10.25932/publishup-46961}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-469612}, school = {Universit{\"a}t Potsdam}, pages = {iii, 291}, year = {2019}, abstract = {1. Unter Mediativit{\"a}t verstehen wir in dieser Dissertation die sprachliche Markierung der Informationsquelle. Ein Sprecher, der einen Sachverhalt vermittelt, hat die M{\"o}glichkeit durch sprachliche Mittel ausdr{\"u}cklich zu markieren, wie er die {\"u}bermittelte Information bekommen hat. Um diese Informationsquelle sprachlich zu deuten, werden im Franz{\"o}sischen unter anderem einige Verben als mediative Marker (MM) verwendet. 2. Die untersuchten Elemente croire, imaginer, paraitre, penser, savoir, sembler, supposer, trouver sind „mediatiave Verben". Jedes der untersuchten Verben weist besondere semantische und pragmatische Eigenschaften auf, die immer mit dem Ausdruck der Wissensquelle verbunden sind. Es handelt sich also um kognitive Verben (KV), die eine sprachliche Markierung der Informationsquelle vornehmen. Nach ihrem Verhalten in solchen Kontexten erf{\"u}llen sie die Funktion der „mediatiaven Markierung". 3. Die epistemische Modalit{\"a}t ist der Meditivit{\"a}t untergeordnet. Die Erscheinungsform der Modalit{\"a}t (Modalit{\"a}tstyp) bestimmt die St{\"a}rke der epistemischen Modalit{\"a}t. Keines der analysierten Verben dr{\"u}ckt lediglich eine epistemische Leseart aus. Die Dichotomie zwischen der mediativen und epistemischen Modalit{\"a}t besteht darin, dass die erste die Wissensquelle ausdr{\"u}ckt und die zweite ausschließlich die Einstellung des Sprechers gegen{\"u}ber dem Wahrheitsgrad der {\"A}ußerung widerspiegelt. 4. F{\"u}r alle Konstruktionen der Form [V/{\o}P] oder [V, P] ist P die Matrix des Satzes Unsere Ergebnisse zeigen, dass - obwohl diese Konstituenten verschiedene Stellen besetzen k{\"o}nnen - sie dennoch ihre Funktionen als Matrix behalten, indem sie die Propositionen, auf die sie sich beziehen, unter ihrer Rektion behalten. 5. Die Konstruktion [V/{\o}P] und [V, P] stehen in freien Variation Da sich der Wechsel in einem vergleichbaren Kontext vollzieht, und da es in gleicher Umgebung eine freie Substitution gibt, handelt es sich bei den beiden Vorkommen [V/{\o}P] und [V, P] um syntaktische Varianten. 6. Der Konditional-Gebrauch dient haupts{\"a}chlich dazu, die Inferenztypen zu unterscheiden und gleichzeitig die zugrundeliegende Polyphonie zu verdeutlichen. Der Gebrauch des Konditionals dr{\"u}ckt aus, dass es sich nicht um eine zuverl{\"a}ssig zutreffende {\"A}ußerung handelt. Der Ausdruck von Zweifeln kann im Franz{\"o}sischen unter Verwendung spezifischer grammatischer Mittel erfolgen. Zu diesen geh{\"o}rt der Konditional zum Ausdruck der Mitigation (des Zweifels, der Reserviertheit usw.) und der Polyphonie.}, language = {fr} } @phdthesis{Ehrlich2019, author = {Ehrlich, Elias}, title = {On the role of trade-offs in predator-prey interactions}, doi = {10.25932/publishup-43063}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-430631}, school = {Universit{\"a}t Potsdam}, pages = {192}, year = {2019}, abstract = {Predation drives coexistence, evolution and population dynamics of species in food webs, and has strong impacts on related ecosystem functions (e.g. primary production). The effect of predation on these processes largely depends on the trade-offs between functional traits in the predator and prey community. Trade-offs between defence against predation and competitive ability, for example, allow for prey speciation and predator-mediated coexistence of prey species with different strategies (defended or competitive), which may stabilize the overall food web dynamics. While the importance of such trade-offs for coexistence is widely known, we lack an understanding and the empirical evidence of how the variety of differently shaped trade-offs at multiple trophic levels affect biodiversity, trait adaptation and biomass dynamics in food webs. Such mechanistic understanding is crucial for predictions and management decisions that aim to maintain biodiversity and the capability of communities to adapt to environmental change ensuring their persistence. In this dissertation, after a general introduction to predator-prey interactions and tradeoffs, I first focus on trade-offs in the prey between qualitatively different types of defence (e.g. camouflage or escape behaviour) and their costs. I show that these different types lead to different patterns of predator-mediated coexistence and population dynamics, by using a simple predator-prey model. In a second step, I elaborate quantitative aspects of trade-offs and demonstrates that the shape of the trade-off curve in combination with trait-fitness relationships strongly affects competition among different prey types: Either specialized species with extreme trait combinations (undefended or completely defended) coexist, or a species with an intermediate defence level dominates. The developed theory on trade-off shapes and coexistence is kept general, allowing for applications apart from defence-competitiveness trade-offs. Thirdly, I tested the theory on trade-off shapes on a long-term field data set of phytoplankton from Lake Constance. The measured concave trade-off between defence and growth governs seasonal trait changes of phytoplankton in response to an altering grazing pressure by zooplankton, and affects the maintenance of trait variation in the community. In a fourth step, I analyse the interplay of different tradeoffs at multiple trophic levels with plankton data of Lake Constance and a corresponding tritrophic food web model. The results show that the trait and biomass dynamics of the different three trophic levels are interrelated in a trophic biomass-trait cascade, leading to unintuitive patterns of trait changes that are reversed in comparison to predictions from bitrophic systems. Finally, in the general discussion, I extract main ideas on trade-offs in multitrophic systems, develop a graphical theory on trade-off-based coexistence, discuss the interplay of intra- and interspecific trade-offs, and end with a management-oriented view on the results of the dissertation, describing how food webs may respond to future global changes, given their trade-offs.}, language = {en} } @phdthesis{Raatz2019, author = {Raatz, Michael}, title = {Strategies within predator-prey interactions - from individuals to ecosystems}, doi = {10.25932/publishup-42658}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-426587}, school = {Universit{\"a}t Potsdam}, pages = {175}, year = {2019}, abstract = {Predator-prey interactions provide central links in food webs. These interaction are directly or indirectly impacted by a number of factors. These factors range from physiological characteristics of individual organisms, over specifics of their interaction to impacts of the environment. They may generate the potential for the application of different strategies by predators and prey. Within this thesis, I modelled predator-prey interactions and investigated a broad range of different factors driving the application of certain strategies, that affect the individuals or their populations. In doing so, I focused on phytoplankton-zooplankton systems as established model systems of predator-prey interactions. At the level of predator physiology I proposed, and partly confirmed, adaptations to fluctuating availability of co-limiting nutrients as beneficial strategies. These may allow to store ingested nutrients or to regulate the effort put into nutrient assimilation. We found that these two strategies are beneficial at different fluctuation frequencies of the nutrients, but may positively interact at intermediate frequencies. The corresponding experiments supported our model results. We found that the temporal structure of nutrient fluctuations indeed has strong effects on the juvenile somatic growth rate of {\itshape Daphnia}. Predator colimitation by energy and essential biochemical nutrients gave rise to another physiological strategy. High-quality prey species may render themselves indispensable in a scenario of predator-mediated coexistence by being the only source of essential biochemical nutrients, such as cholesterol. Thereby, the high-quality prey may even compensate for a lacking defense and ensure its persistence in competition with other more defended prey species. We found a similar effect in a model where algae and bacteria compete for nutrients. Now, being the only source of a compound that is required by the competitor (bacteria) prevented the competitive exclusion of the algae. In this case, the essential compounds were the organic carbon provided by the algae. Here again, being indispensable served as a prey strategy that ensured its coexistence. The latter scenario also gave rise to the application of the two metabolic strategies of autotrophy and heterotrophy by algae and bacteria, respectively. We found that their coexistence allowed the recycling of resources in a microbial loop that would otherwise be lost. Instead, these resources were made available to higher trophic levels, increasing the trophic transfer efficiency in food webs. The predation process comprises the next higher level of factors shaping the predator-prey interaction, besides these factors that originated from the functioning or composition of individuals. Here, I focused on defensive mechanisms and investigated multiple scenarios of static or adaptive combinations of prey defense and predator offense. I confirmed and extended earlier reports on the coexistence-promoting effects of partially lower palatability of the prey community. When bacteria and algae are coexisting, a higher palatability of bacteria may increase the average predator biomass, with the side effect of making the population dynamics more regular. This may facilitate experimental investigations and interpretations. If defense and offense are adaptive, this allows organisms to maximize their growth rate. Besides this fitness-enhancing effect, I found that co-adaptation may provide the predator-prey system with the flexibility to buffer external perturbations. On top of these rather internal factors, environmental drivers also affect predator-prey interactions. I showed that environmental nutrient fluctuations may create a spatio-temporal resource heterogeneity that selects for different predator strategies. I hypothesized that this might favour either storage or acclimation specialists, depending on the frequency of the environmental fluctuations. We found that many of these factors promote the coexistence of different strategies and may therefore support and sustain biodiversity. Thus, they might be relevant for the maintenance of crucial ecosystem functions that also affect us humans. Besides this, the richness of factors that impact predator-prey interactions might explain why so many species, especially in the planktonic regime, are able to coexist.}, language = {en} } @phdthesis{Kerutt2019, author = {Kerutt, Josephine Victoria}, title = {The high-redshift voyage of Lyman alpha and Lyman continuum emission as told by MUSE}, doi = {10.25932/publishup-47881}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-478816}, school = {Universit{\"a}t Potsdam}, pages = {152}, year = {2019}, abstract = {Most of the matter in the universe consists of hydrogen. The hydrogen in the intergalactic medium (IGM), the matter between the galaxies, underwent a change of its ionisation state at the epoch of reionisation, at a redshift roughly between 6>z>10, or ~10^8 years after the Big Bang. At this time, the mostly neutral hydrogen in the IGM was ionised but the source of the responsible hydrogen ionising emission remains unclear. In this thesis I discuss the most likely candidates for the emission of this ionising radiation, which are a type of galaxy called Lyman alpha emitters (LAEs). As implied by their name, they emit Lyman alpha radiation, produced after a hydrogen atom has been ionised and recombines with a free electron. The ionising radiation itself (also called Lyman continuum emission) which is needed for this process inside the LAEs could also be responsible for ionising the IGM around those galaxies at the epoch of reionisation, given that enough Lyman continuum escapes. Through this mechanism, Lyman alpha and Lyman continuum radiation are closely linked and are both studied to better understand the properties of high redshift galaxies and the reionisation state of the universe. Before I can analyse their Lyman alpha emission lines and the escape of Lyman continuum emission from them, the first step is the detection and correct classification of LAEs in integral field spectroscopic data, specifically taken with the Multi-Unit Spectroscopic Explorer (MUSE). After detecting emission line objects in the MUSE data, the task of classifying them and determining their redshift is performed with the graphical user interface QtClassify, which I developed during the work on this thesis. It uses the strength of the combination of spectroscopic and photometric information that integral field spectroscopy offers to enable the user to quickly identify the nature of the detected emission lines. The reliable classification of LAEs and determination of their redshifts is a crucial first step towards an analysis of their properties. Through radiative transfer processes, the properties of the neutral hydrogen clouds in and around LAEs are imprinted on the shape of the Lyman alpha line. Thus after identifying the LAEs in the MUSE data, I analyse the properties of the Lyman alpha emission line, such as the equivalent width (EW) distribution, the asymmetry and width of the line as well as the double peak fraction. I challenge the common method of displaying EW distributions as histograms without taking the limits of the survey into account and construct a more independent EW distribution function that better reflects the properties of the underlying population of galaxies. I illustrate this by comparing the fraction of high EW objects between the two surveys MUSE-Wide and MUSE-Deep, both consisting of MUSE pointings (each with the size of one square arcminute) of different depths. In the 60 MUSE-Wide fields of one hour exposure time I find a fraction of objects with extreme EWs above EW_0>240A of ~20\%, while in the MUSE-Deep fields (9 fields with an exposure time of 10 hours and one with an exposure time of 31 hours) I find a fraction of only ~1\%, which is due to the differences in the limiting line flux of the surveys. The highest EW I measure is EW_0 = 600.63 +- 110A, which hints at an unusual underlying stellar population, possibly with a very low metallicity. With the knowledge of the redshifts and positions of the LAEs detected in the MUSE-Wide survey, I also look for Lyman continuum emission coming from these galaxies and analyse the connection between Lyman continuum emission and Lyman alpha emission. I use ancillary Hubble Space Telescope (HST) broadband photometry in the bands that contain the Lyman continuum and find six Lyman continuum leaker candidates. To test whether the Lyman continuum emission of LAEs is coming only from those individual objects or the whole population, I select LAEs that are most promising for the detection of Lyman continuum emission, based on their rest-frame UV continuum and Lyman alpha line shape properties. After this selection, I stack the broadband data of the resulting sample and detect a signal in Lyman continuum with a significance of S/N = 5.5, pointing towards a Lyman continuum escape fraction of ~80\%. If the signal is reliable, it strongly favours LAEs as the providers of the hydrogen ionising emission at the epoch of reionisation and beyond.}, language = {en} } @phdthesis{Zemella2019, author = {Zemella, Anne}, title = {Fluoreszenzmarkierung und Modifizierung von komplexen Proteinen in eukaryotischen zellfreien Systemen durch die Etablierung von orthogonalen tRNA/Aminoacyl-tRNA-Synthetase-Paaren}, doi = {10.25932/publishup-44236}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-442361}, school = {Universit{\"a}t Potsdam}, pages = {XI, 141}, year = {2019}, abstract = {Die funktionelle Charakterisierung von therapeutisch relevanten Proteinen kann bereits durch die Bereitstellung des Zielproteins in ad{\"a}quaten Mengen limitierend sein. Dies trifft besonders auf Membranproteine zu, die aufgrund von zytotoxischen Effekten auf die Produktionszelllinie und der Tendenz Aggregate zu bilden, in niedrigen Ausbeuten an aktivem Protein resultieren k{\"o}nnen. Der lebende Organismus kann durch die Verwendung von translationsaktiven Zelllysaten umgangen werden- die Grundlage der zellfreien Proteinsynthese. Zu Beginn der Arbeit wurde die ATP-abh{\"a}ngige Translation eines Lysates auf der Basis von kultivierten Insektenzellen (Sf21) analysiert. F{\"u}r diesen Zweck wurde ein ATP-bindendes Aptamer eingesetzt, durch welches die Translation der Nanoluziferase reguliert werden konnte. Durch die dargestellte Applizierung von Aptameren, k{\"o}nnten diese zuk{\"u}nftig in zellfreien Systemen f{\"u}r die Visualisierung der Transkription und Translation eingesetzt werden, wodurch zum Beispiel komplexe Prozesse validiert werden k{\"o}nnen. Neben der reinen Proteinherstellung k{\"o}nnen Faktoren wie posttranslationale Modifikationen sowie eine Integration in eine lipidische Membran essentiell f{\"u}r die Funktionalit{\"a}t des Membranproteins sein. Im zweiten Abschnitt konnte, im zellfreien Sf21-System, f{\"u}r den G-Protein-gekoppelten Rezeptor Endothelin B sowohl eine Integration in die endogen vorhandenen Endoplasmatisch Retikulum-basierten Membranstrukturen als auch Glykosylierungen, identifiziert werden. Auf der Grundlage der erfolgreichen Synthese des ET-B-Rezeptors wurden verschiedene Methoden zur Fluoreszenzmarkierung des Adenosin-Rezeptors A2a (Adora2a) angewandt und optimiert. Im dritten Abschnitt wurde der Adora2a mit Hilfe einer vorbeladenen tRNA, welche an eine fluoreszierende Aminos{\"a}ure gekoppelt war, im zellfreien Chinesischen Zwerghamster Ovarien (CHO)-System markiert. Zus{\"a}tzlich konnte durch den Einsatz eines modifizierten tRNA/Aminoacyl-tRNA-Synthetase-Paares eine nicht-kanonische Aminos{\"a}ure an Position eines integrierten Amber-Stopcodon in die Polypeptidkette eingebaut und die funktionelle Gruppe im Anschluss an einen Fluoreszenzfarbstoff gekoppelt werden. Aufgrund des offenen Charakters eignen sich zellfreie Proteinsynthesesysteme besonders f{\"u}r eine Integration von exogenen Komponenten in den Translationsprozess. Mit Hilfe der Fluoreszenzmarkierung wurde eine ligandvermittelte Konformations{\"a}nderung im Adora2a {\"u}ber einen Biolumineszenz-Resonanzenergietransfer detektiert. Durch die Etablierung der Amber-Suppression wurde dar{\"u}ber hinaus das Hormon Erythropoetin pegyliert, wodurch Eigenschaften wie Stabilit{\"a}t und Halbwertszeit des Proteins ver{\"a}ndert wurden. Zu guter Letzt wurde ein neues tRNA/Aminoacyl-tRNA-Synthetase-Paar auf Basis der Methanosarcina mazei Pyrrolysin-Synthetase etabliert, um das Repertoire an nicht-kanonischen Aminos{\"a}uren und den damit verbundenen Kopplungsreaktionen zu erweitern. Zusammenfassend wurden die Potenziale zellfreier Systeme in Bezug auf der Herstellung von komplexen Membranproteinen und der Charakterisierung dieser durch die Einbringung einer positionsspezifischen Fluoreszenzmarkierung verdeutlicht, wodurch neue M{\"o}glichkeiten f{\"u}r die Analyse und Funktionalisierung von komplexen Proteinen geschaffen wurden.}, language = {de} } @phdthesis{Behm2019, author = {Behm, Laura Vera Johanna}, title = {Thermoresponsive Zellkultursubstrate f{\"u}r zeitlich-r{\"a}umlich gesteuertes Auswachsen neuronaler Zellen}, doi = {10.25932/publishup-43619}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-436196}, school = {Universit{\"a}t Potsdam}, pages = {VII, 105}, year = {2019}, abstract = {Ein wichtiges Ziel der Neurowissenschaften ist das Verst{\"a}ndnis der komplexen und zugleich faszinierenden, hochgeordneten Vernetzung der Neurone im Gehirn, welche neuronalen Prozessen, wie zum Beispiel dem Wahrnehmen oder Lernen wie auch Neuropathologien zu Grunde liegt. F{\"u}r verbesserte neuronale Zellkulturmodelle zur detaillierten Untersuchung dieser Prozesse ist daher die Rekonstruktion von geordneten neuronalen Verbindungen dringend erforderlich. Mit Oberfl{\"a}chenstrukturen aus zellattraktiven und zellabweisenden Beschichtungen k{\"o}nnen neuronale Zellen und ihre Neuriten in vitro strukturiert werden. Zur Kontrolle der neuronalen Verbindungsrichtung muss das Auswachsen der Axone zu benachbarten Zellen dynamisch gesteuert werden, zum Beispiel {\"u}ber eine ver{\"a}nderliche Zug{\"a}nglichkeit der Oberfl{\"a}che. In dieser Arbeit wurde untersucht, ob mit thermoresponsiven Polymeren (TRP) beschichtete Zellkultursubstrate f{\"u}r eine dynamische Kontrolle des Auswachsens neuronaler Zellen geeignet sind. TRP k{\"o}nnen {\"u}ber die Temperatur von einem zellabweisenden in einen zellattraktiven Zustand geschaltet werden, womit die Zug{\"a}nglichkeit der Oberfl{\"a}che f{\"u}r Zellen dynamisch gesteuert werden kann. Die TRP-Beschichtung wurde mikrostrukturiert, um einzelne oder wenige neuronale Zellen zun{\"a}chst auf der Oberfl{\"a}che anzuordnen und das Auswachsen der Zellen und Neuriten {\"u}ber definierte TRP-Bereiche in Abh{\"a}ngigkeit der Temperatur zeitlich und r{\"a}umlich zu kontrollieren. Das Protokoll wurde mit der neuronalen Zelllinie SH-SY5Y etabliert und auf humane induzierte Neurone {\"u}bertragen. Die Anordnung der Zellen konnte bei Kultivierung im zellabweisenden Zustand des TRPs f{\"u}r bis zu 7 Tage aufrecht erhalten werden. Durch Schalten des TRPs in den zellattraktiven Zustand konnte das Auswachsen der Neuriten und Zellen zeitlich und r{\"a}umlich induziert werden. Immunozytochemische F{\"a}rbungen und Patch-Clamp-Ableitungen der Neurone demonstrierten die einfache Anwendbarkeit und Zellkompatibilit{\"a}t der TRP-Substrate. Eine pr{\"a}zisere r{\"a}umliche Kontrolle des Auswachsens der Zellen sollte durch lokales Schalten der TRP-Beschichtung erreicht werden. Daf{\"u}r wurden Mikroheizchips mit Mikroelektroden zur lokalen Jouleschen Erw{\"a}rmung der Substratoberfl{\"a}che entwickelt. Zur Evaluierung der generierten Temperaturprofile wurde eine Temperaturmessmethode entwickelt und die erhobenen Messwerte mit numerisch simulierten Werten abgeglichen. Die Temperaturmessmethode basiert auf einfach zu applizierenden Sol-Gel-Schichten, die den temperatursensitiven Fluoreszenzfarbstoff Rhodamin B enthalten. Sie erm{\"o}glicht oberfl{\"a}chennahe Temperaturmessungen in trockener und w{\"a}ssriger Umgebung mit hoher Orts- und Temperaturaufl{\"o}sung. Numerische Simulationen der Temperaturprofile korrelierten gut mit den experimentellen Daten. Auf dieser Basis konnten Geometrie und Material der Mikroelektroden hinsichtlich einer lokal stark begrenzten Temperierung optimiert werden. Ferner wurden f{\"u}r die Kultvierung der Zellen auf den Mikroheizchips eine Zellkulturkammer und Kontaktboard f{\"u}r die elektrische Kontaktierung der Mikroelektroden geschaffen. Die vorgestellten Ergebnisse demonstrieren erstmalig das enorme Potential thermoresponsiver Zellkultursubstrate f{\"u}r die zeitlich und r{\"a}umlich gesteuerte Formation geordneter neuronaler Verbindungen in vitro. Zuk{\"u}nftig k{\"o}nnte dies detaillierte Studien zur neuronalen Informationsverarbeitung oder zu Neuropathologien an relevanten, humanen Zellmodellen erm{\"o}glichen.}, language = {de} } @phdthesis{Kagel2019, author = {Kagel, Heike}, title = {Light-induced pH cycle}, doi = {10.25932/publishup-43435}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-434353}, school = {Universit{\"a}t Potsdam}, pages = {VI, 118}, year = {2019}, abstract = {Background Many biochemical reactions depend on the pH of their environment and some are strongly accelerated in an acidic surrounding. A classical approach to control biochemical reactions non-invasivly is by changing the temperature. However, if the pH could be controlled by optical means using photo-active chemicals, this would mean to be able to accelerate suitable biochemical reactions. Optically switching the pH can be achieved by using photoacids. A photoacid is a molecule with a functional group that releases a proton upon irradiation with the suitable wavelength, acidifying the environmental aqueous surrounding. A major goal of this work was to establish a non-invasive method of optically controlling the pH in aqueous solutions, offering the opportunity to enhance the known chemical reactions portfolio. To demonstrate the photo-switchable pH cycling we chose an enzymatic assay using acid phosphatase, which is an enzyme with a strong pH dependent activity. Results In this work we could demonstrate a light-induced, reversible control of the enzymatic activity of acid phosphatase non-invasivly. To successfully conduct those experiments a high power LED array was designed and built, suitable for a 96 well standard microtiter plate, not being commercially available. Heat management and a lateral ventilation system to avoid heat accumulation were established and a stable light intensity achieved. Different photoacids were characterised and their pH dependent absorption spectra recorded. By using the reversible photoacid G-acid as a proton donor, the pH can be changed reversibly using high power UV 365 nm LEDs. To demonstrate the pH cycling, acid phosphatase with hydrolytic activity under acidic conditions was chosen. An assay using the photoacid together with the enzyme was established, also providing that G-acid does not inhibit acid phosphatase. The feasibility of reversibly regulating the enzyme's pH dependent activity by optical means was demonstrated, by controlling the enzymatic activity with light. It was demonstrated that the enzyme activity depends on the light exposure time only. When samples are not illuminated and left in the dark, no enzymatic activity was recorded. The process can be rapidly controlled by simply switching the light on and off and should be applicable to a wide range of enzymes and biochemical reactions. Conclusions Reversible photoacids offer a light-dependent regulation of pH, making them extremely attractive for miniaturizable, non-invasive and time-resolved control of biochemical reactions. Many enzymes have a sharp pH dependent activity, thus the established setup in this thesis could be used for a versatile enzyme portfolio. Even though the demonstrated photo-switchable strategy could also be used for non-enzymatic assays, greatly facilitating the assay establishment. Photoacids have the potential for high throughput methods and automation. We demonstrated that it is possible to control photoacids using commonly available LEDs, making their use in highly integrated devices and instruments more attractive. The successfully designed 96 well high power UV LED array presents an opportunity for general combinatorial analysis in e.g. photochemistry, where a high light intensity is needed for the investigation of various reactions.}, language = {en} } @phdthesis{Schneider2019, author = {Schneider, Jan Niklas}, title = {Computational approaches for emotion research}, doi = {10.25932/publishup-45927}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-459275}, school = {Universit{\"a}t Potsdam}, pages = {xv, 145}, year = {2019}, abstract = {Emotionen sind ein zentrales Element menschlichen Erlebens und spielen eine wichtige Rolle bei der Entscheidungsfindung. Diese Dissertation identifiziert drei methodische Probleme der aktuellen Emotionsforschung und zeigt auf, wie diese mittels computergest{\"u}tzter Methoden gel{\"o}st werden k{\"o}nnen. Dieser Ansatz wird in drei Forschungsprojekten demonstriert, die die Entwicklung solcher Methoden sowie deren Anwendung auf konkrete Forschungsfragen beschreiben. Das erste Projekt beschreibt ein Paradigma welches es erm{\"o}glicht, die subjektive und objektive Schwierigkeit der Emotionswahrnehmung zu messen. Dar{\"u}ber hinaus erm{\"o}glicht es die Verwendung einer beliebigen Anzahl von Emotionskategorien im Vergleich zu den {\"u}blichen sechs Kategorien der Basisemotionen. Die Ergebnisse deuten auf eine Zunahme der Schwierigkeiten bei der Wahrnehmung von Emotionen mit zunehmendem Alter der Darsteller hin und liefern Hinweise darauf, dass junge Erwachsene, {\"a}ltere Menschen und M{\"a}nner ihre Schwierigkeit bei der Wahrnehmung von Emotionen untersch{\"a}tzen. Weitere Analysen zeigten eine geringe Relevanz personenbezogener Variablen und deuteten darauf hin, dass die Schwierigkeit der Emotionswahrnehmung vornehmlich durch die Auspr{\"a}gung der Wertigkeit des Ausdrucks bestimmt wird. Das zweite Projekt zeigt am Beispiel von Arousal, einem etablierten, aber vagen Konstrukt der Emotionsforschung, wie Face-Tracking-Daten dazu genutzt werden k{\"o}nnen solche Konstrukte zu sch{\"a}rfen. Es beschreibt, wie aus Face-Tracking-Daten Maße f{\"u}r die Entfernung, Geschwindigkeit und Beschleunigung von Gesichtsausdr{\"u}cken berechnet werden k{\"o}nnen. Das Projekt untersuchte wie diesen Maße mit der Arousal-Wahrnehmung in Menschen mit und ohne Autismus zusammenh{\"a}ngen. Der Abstand zum Neutralgesicht war pr{\"a}diktiv f{\"u}r die Arousal-Bewertungen in beiden Gruppen. Die Ergebnisse deuten auf eine qualitativ {\"a}hnliche Wahrnehmung von Arousal f{\"u}r Menschen mit und ohne Autismus hin. Im dritten Projekt stellen wir die Partial-Least-Squares-Analyse als allgemeine Methode vor, um eine optimale Repr{\"a}sentation zur Verkn{\"u}pfung zweier hochdimensionale Datens{\"a}tze zu finden. Das Projekt demonstriert die Anwendbarkeit dieser Methode in der Emotionsforschung anhand der Frage nach Unterschieden in der Emotionswahrnehmung zwischen M{\"a}nnern und Frauen. Wir konnten zeigen, dass die emotionale Wahrnehmung von Frauen systematisch mehr Varianz der Gesichtsausdr{\"u}cke erfasst und dass signifikante Unterschiede in der Art und Weise bestehen, wie Frauen und M{\"a}nner einige Gesichtsausdr{\"u}cke wahrnehmen. Diese konnten wir als dynamische Gesichtsausdr{\"u}cke visualisieren. Um die Anwendung der entwickelten Methode f{\"u}r die Forschungsgemeinschaft zu erleichtern, wurde ein Software-Paket f{\"u}r die Statistikumgebung R geschrieben. Zudem wurde eine Website entwickelt (thisemotiondoesnotexist.com), die es Besuchern erlaubt, ein Partial-Least-Squares-Modell von Emotionsbewertungen und Face-Tracking-Daten interaktiv zu erkunden, um die entwickelte Methode zu verbreiten und ihren Nutzen f{\"u}r die Emotionsforschung zu illustrieren.}, language = {en} } @phdthesis{LeBot2019, author = {Le Bot, Nils}, title = {Quel avenir pour les gares m{\´e}tropolitaines fran{\c{c}}aises et allemandes ?}, doi = {10.25932/publishup-44220}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-442201}, school = {Universit{\"a}t Potsdam}, pages = {589}, year = {2019}, abstract = {Cette th{\`e}se d'urbanisme s'est donn{\´e}e pour objectif de r{\´e}fl{\´e}chir {\`a} l'avenir des gares m{\´e}tropolitaines fran{\c{c}}aises et allemandes {\`a} horizon 2050. Elle porte une interrogation sur les fondements de la gare comme objet urbain conceptuel (abord{\´e} comme un syst{\`e}me) et pose comme hypoth{\`e}se qu'il serait en quelque sorte dot{\´e} de propri{\´e}t{\´e}s autonomes. Parmi ces propri{\´e}t{\´e}s, c'est le processus d'expansion et de dialogue sans cesse renouvel{\´e} et conflictuel, entre la gare et son tissu urbain environnant, qui guide cette recherche ; notamment dans le rapport qu'il entretient avec l'hypermobilit{\´e} des m{\´e}tropoles. Pour ce faire, cette th{\`e}se convoque quatre terrains d'{\´e}tudes : les gares principales de Cologne et de Stuttgart en Allemagne et les gares de Paris-Montparnasse et Lyon-Part-Dieu en France ; et commence par un historique d{\´e}taill{\´e} de leurs {\´e}volutions morphologiques, pour d{\´e}gager une s{\´e}rie de variables architectoniques et urbaines. Il proc{\`e}de dans un deuxi{\`e}me temps {\`a} une s{\´e}rie d'analyse prospective, permettant de juger de l'influence possible des politiques publiques en mati{\`e}re transports et de mobilit{\´e}, sur l'avenir conceptuel des gares. Cette th{\`e}se propose alors le concept de syst{\`e}me-gare, pour d{\´e}crire l'expansion et l'int{\´e}gration des gares m{\´e}tropolitaines avec leur environnement urbain ; un processus de n{\´e}gociation dialectique qui ne trouve pas sa r{\´e}solution dans le concept de gare comme lieu de vie/ville. Elle invite alors {\`a} penser la gare comme une h{\´e}t{\´e}rotopie, et propose une lecture d{\´e}polaris{\´e}e et d{\´e}hi{\´e}rarchis{\´e}e de ces espaces, en introduisant les concepts d'orchestre de gares et de m{\´e}tagare. Cette recherche propose enfin une lecture critique de la « ville num{\´e}rique » et du concept de « mobilit{\´e} comme service. » Pour {\´e}viter une mise en flux tendus potentiellement dommageables, l'application de ces concepts en gare ne pourra se soustraire {\`a} une augmentation simultan{\´e}e des espaces physiques.}, language = {fr} } @phdthesis{Riemer2019, author = {Riemer, Janine}, title = {Synthese und Charakterisierung selektiver Fluoroionophore f{\"u}r intra- und extrazellul{\"a}re Bestimmungen von Kalium- und Natrium-Ionen}, doi = {10.25932/publishup-44193}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-441932}, school = {Universit{\"a}t Potsdam}, pages = {IV, 165}, year = {2019}, abstract = {Im Rahmen dieser Dissertation konnten neue Kalium- und Natrium-Ionen Fluoreszenzfarbstoffe von der Klasse der Fluoroionophore synthetisiert und charakterisiert werden. Sie bestehen aus einem N Phenylazakronenether als Ionophor und unterschiedlichen Fluorophoren und sind {\"u}ber einen π-konjugierten 1,2,3-Triazol-1,4-diyl Spacer verbunden. Dabei lag der Fokus w{\"a}hrend ihrer Entwicklung darauf, diese in ihrer Sensitivit{\"a}t, Selektivit{\"a}t und in ihren photophysikalischen Eigenschaften so zu funktionalisieren, dass sie f{\"u}r intra- bzw. extrazellul{\"a}re Konzentrationsbestimmungen geeignet sind. Durch Variation der in ortho Position der N-Phenylazakronenether befindlichen Alkoxy-Gruppen und der fluorophoren Gruppe der Fluoroionophore konnte festgestellt werden, dass die Sensitivit{\"a}t und Selektivit{\"a}t f{\"u}r Kalium- bzw. Natrium-Ionen jeweils durch eine bestimmte Isomerie der 1,2,3-Triazol-1,4-diyl-Einheit erh{\"o}ht wird. Des Weiteren wurde gezeigt, dass durch eine erh{\"o}hte Einschr{\"a}nkung der N,N-Diethylamino-Gruppe des Fluorophors eine Steigerung der Fluoreszenzquantenausbeute und eine Verschiebung des Emissionsmaximums auf {\"u}ber 500 nm erreicht werden konnte. Die Einf{\"u}hrung einer Isopropoxy-Gruppe an einem N-Phenylaza-[18]krone-6-ethers resultierte dabei in einem hoch selektiven Kalium-Ionen Fluoroionophor und erm{\"o}glichte eine in vitro {\"U}berwachung von 10 - 80 mM Kalium-Ionen. Die Substitution einer Methoxy-Gruppe an einem N-Phenylaza-[15]krone-5-ether kombiniert mit unterschiedlich N,N-Diethylamino-Coumarinen lieferte hingegen zwei Natrium-Ionen Fluoroionophore, die f{\"u}r die {\"U}berwachung von intra- bzw. extrazellul{\"a}ren Natrium-Ionen Konzentrationen geeignet sind. In einem weiteren Schritt wurden N-Phenylaza-[18]krone-6-ether mit einem Fluorophor, basierend auf einem [1,3]-Dioxolo[4,5-f][1,3]benzodioxol-(DBD)-Grundger{\"u}st, funktionalisiert. Die im Anschluss durchgef{\"u}hrten spektroskopischen Untersuchungen ergaben, dass die Isopropoxy-Gruppe in ortho Position des N-Phenylaza-[18]krone-6-ether in einen f{\"u}r extrazellul{\"a}re Kalium-Ionen Konzentrationen selektiven Fluoroionophor resultierte, der die Konzentrationsbestimmungen {\"u}ber die Fluoreszenzintensit{\"a}t und -lebensdauer erm{\"o}glicht. In einem abschließenden Schritt konnte unter Verwendung eines Pyrens als fluorophore Gruppe ein weiterer f{\"u}r extrazellul{\"a}re Kalium-Ionen Konzentrationen geeigneter Fluoroionophor entwickelt werden. Die Bestimmung der Kalium-Ionen Konzentration erfolgte hierbei anhand der Fluoreszenzintensit{\"a}tsverh{\"a}ltnisse bei zwei Emissionswellenl{\"a}ngen. Insgesamt konnten 17 verschiedene neue Fluoroionophore f{\"u}r die Bestimmung von Kalium- bzw. Natrium-Ionen synthetisiert und charakterisiert werden. Sechs dieser neuen Molek{\"u}le erm{\"o}glichen in vitro Messungen der intra- oder extrazellul{\"a}ren Kalium- und Natrium-Ionen Konzentrationen und k{\"o}nnten zuk{\"u}nftig f{\"u}r in vivo Konzentrationsmessungen verwendet werden.}, language = {de} } @phdthesis{Veh2019, author = {Veh, Georg}, title = {Outburst floods from moraine-dammed lakes in the Himalayas}, doi = {10.25932/publishup-43607}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-436071}, school = {Universit{\"a}t Potsdam}, pages = {124}, year = {2019}, abstract = {The Himalayas are a region that is most dependent, but also frequently prone to hazards from changing meltwater resources. This mountain belt hosts the highest mountain peaks on earth, has the largest reserve of ice outside the polar regions, and is home to a rapidly growing population in recent decades. One source of hazard has attracted scientific research in particular in the past two decades: glacial lake outburst floods (GLOFs) occurred rarely, but mostly with fatal and catastrophic consequences for downstream communities and infrastructure. Such GLOFs can suddenly release several million cubic meters of water from naturally impounded meltwater lakes. Glacial lakes have grown in number and size by ongoing glacial mass losses in the Himalayas. Theory holds that enhanced meltwater production may increase GLOF frequency, but has never been tested so far. The key challenge to test this notion are the high altitudes of >4000 m, at which lakes occur, making field work impractical. Moreover, flood waves can attenuate rapidly in mountain channels downstream, so that many GLOFs have likely gone unnoticed in past decades. Our knowledge on GLOFs is hence likely biased towards larger, destructive cases, which challenges a detailed quantification of their frequency and their response to atmospheric warming. Robustly quantifying the magnitude and frequency of GLOFs is essential for risk assessment and management along mountain rivers, not least to implement their return periods in building design codes. Motivated by this limited knowledge of GLOF frequency and hazard, I developed an algorithm that efficiently detects GLOFs from satellite images. In essence, this algorithm classifies land cover in 30 years (~1988-2017) of continuously recorded Landsat images over the Himalayas, and calculates likelihoods for rapidly shrinking water bodies in the stack of land cover images. I visually assessed such detected tell-tale sites for sediment fans in the river channel downstream, a second key diagnostic of GLOFs. Rigorous tests and validation with known cases from roughly 10\% of the Himalayas suggested that this algorithm is robust against frequent image noise, and hence capable to identify previously unknown GLOFs. Extending the search radius to the entire Himalayan mountain range revealed some 22 newly detected GLOFs. I thus more than doubled the existing GLOF count from 16 previously known cases since 1988, and found a dominant cluster of GLOFs in the Central and Eastern Himalayas (Bhutan and Eastern Nepal), compared to the rarer affected ranges in the North. Yet, the total of 38 GLOFs showed no change in the annual frequency, so that the activity of GLOFs per unit glacial lake area has decreased in the past 30 years. I discussed possible drivers for this finding, but left a further attribution to distinct GLOF-triggering mechanisms open to future research. This updated GLOF frequency was the key input for assessing GLOF hazard for the entire Himalayan mountain belt and several subregions. I used standard definitions in flood hydrology, describing hazard as the annual exceedance probability of a given flood peak discharge [m3 s-1] or larger at the breach location. I coupled the empirical frequency of GLOFs per region to simulations of physically plausible peak discharges from all existing ~5,000 lakes in the Himalayas. Using an extreme-value model, I could hence calculate flood return periods. I found that the contemporary 100-year GLOF discharge (the flood level that is reached or exceeded on average once in 100 years) is 20,600+2,200/-2,300 m3 s-1 for the entire Himalayas. Given the spatial and temporal distribution of historic GLOFs, contemporary GLOF hazard is highest in the Eastern Himalayas, and lower for regions with rarer GLOF abundance. I also calculated GLOF hazard for some 9,500 overdeepenings, which could expose and fill with water, if all Himalayan glaciers have melted eventually. Assuming that the current GLOF rate remains unchanged, the 100-year GLOF discharge could double (41,700+5,500/-4,700 m3 s-1), while the regional GLOF hazard may increase largest in the Karakoram. To conclude, these three stages-from GLOF detection, to analysing their frequency and estimating regional GLOF hazard-provide a framework for modern GLOF hazard assessment. Given the rapidly growing population, infrastructure, and hydropower projects in the Himalayas, this thesis assists in quantifying the purely climate-driven contribution to hazard and risk from GLOFs.}, language = {en} } @phdthesis{Aretz2019, author = {Aretz, Sarah}, title = {Entwicklung und Evaluation eines Testinstruments zur Untersuchung von Vorkenntnissen und Pr{\"a}konzepten in der Kosmologie}, doi = {10.25932/publishup-42542}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-425421}, school = {Universit{\"a}t Potsdam}, pages = {x, 133}, year = {2019}, abstract = {Kosmologie beschreibt die Entwicklung des Universums als Ganzes. Kosmologische Entdeckungen in Theorie und Praxis haben daher unser modernes wissenschaftliches Weltbild entscheidend ge­pr{\"a}gt. Die Vermittlung eines modernen Weltbildes durch Unterricht ist ein h{\"a}ufiger Wunsch in der naturwissenschaftlichen Bildungsdiskussion. Dennoch exis­tieren weiterhin Forschungs- und Entwicklungsbedarfe. Kosmologische Themen finden sich h{\"a}ufig in den Medien und sind gleichzeitig weiter vom Alltag entfernt, so dass sich hier besonders leicht wissenschaftlich inkorrekte Vorstellungen entwickeln k{\"o}nnen, die zu Problemen im Unterricht f{\"u}hren k{\"o}nnen. Das Ziel dieser wissenschaftlichen Arbeit ist es, zu diesem Forschungsgebiet beizutragen und die Voraussetzungen hinsichtlich vorhandener Vorkenntnisse und Pr{\"a}konzepte in Kosmologie, mit denen Sch{\"u}lerinnen und Sch{\"u}ler in den Unterricht kommen, zu untersuchen und anschließend mit denen anderer L{\"a}nder zu vergleichen. Dies erfolgt anhand einer qualitativen Inhaltsanalyse eines offenen Fragebogens. Auf dieser Grundlage wird schließlich ein Multiple-Choice Frage­bogen entwickelt, angewendet und evaluiert. Die Ergebnisse zeigen große Wissensl{\"u}cken im Bereich der Kosmologie auf und geben erste Hin­weise auf vorhandene Unterschiede zwischen den L{\"a}ndern. Es existieren ebenfalls einige teils weit verbreitete wissenschaftlich inkorrekte Vorstellungen wie beispiels­weise die Assoziation des Urknalls mit einer Explosion, der Urknall verursacht durch eine Kollision von Teilchen oder gr{\"o}ßeren Objekten, oder die Vorstellung der Ausdehnung des Universums als neue Entdeckungen und/oder Wissen. Des Weiteren gab nur etwa jeder F{\"u}nfte das korrekte Alter des Universums oder die Ausdehnung des Universums als einen der drei Belege der Urknalltheorie an, w{\"a}hrend fast 40\% keinen einzigen Beleg nennen konn­ten. F{\"u}r den geschlossenen Fragebogen konnten gute Hinweise f{\"u}r verschiedene Validit{\"a}tsa­spekte herausgearbeitet werden und es existieren erste Hinweise darauf, dass der Fragebogen Wissenszu­wachs messen kann und damit wahrscheinlich zur Unter­suchung der Wirksamkeit von Lerneinhei­ten eingesetzt werden kann. Auch ein entsprechendes Modell zur Verst{\"a}ndnisentwicklung der Aus­dehnung des Universums zeigte sich vielversprechend. Diese Arbeit liefert insgesamt einen Forschungsbeitrag zum Sch{\"u}lervorwissen und Vorstellungen in der Kosmologie und deren Large Scale Assessment. Dies er{\"o}ffnet die M{\"o}glichkeit zuk{\"u}nftiger For­schungen im Bereich von Gruppenvergleichen insbesondere hinsichtlich objektiver L{\"a}nderverglei­che sowie der Untersuchungen der Wirksamkeit von einzelnen Ler­neinheiten als auch Vergleiche verschiedener Lerneinheiten untereinander.}, language = {de} } @phdthesis{Grishina2019, author = {Grishina, Yulia}, title = {Assessing the applicability of annotation projection methods for coreference relations}, doi = {10.25932/publishup-42537}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-425378}, school = {Universit{\"a}t Potsdam}, pages = {viii, 198}, year = {2019}, abstract = {The main goal of this thesis is to explore the feasibility of using cross-lingual annotation projection as a method of alleviating the task of manual coreference annotation. To reach our goal, we build a first trilingual parallel coreference corpus that encompasses multiple genres. For the annotation of the corpus, we develop common coreference annotation guidelines that are applicable to three languages (English, German, Russian) and include a novel domain-independent typology of bridging relations as well as state-of-the-art near-identity categories. Thereafter, we design and perform several annotation projection experiments. In the first experiment, we implement a direct projection method with only one source language. Our results indicate that, already in a knowledge-lean scenario, our projection approach is superior to the most closely related work of Postolache et al. (2006). Since the quality of the resulting annotations is to a high degree dependent on the word alignment, we demonstrate how using limited syntactic information helps to further improve mention extraction on the target side. As a next step, in our second experiment, we show how exploiting two source languages helps to improve the quality of target annotations for both language pairs by concatenating annotations projected from two source languages. Finally, we assess the projection quality in a fully automatic scenario (using automatically produced source annotations), and propose a pilot experiment on manual projection of bridging pairs. For each of the experiments, we carry out an in-depth error analysis, and we conclude that noisy word alignments, translation divergences and morphological and syntactic differences between languages are responsible for projection errors. We systematically compare and evaluate our projection methods, and we investigate the errors both qualitatively and quantitatively in order to identify problematic cases. Finally, we discuss the applicability of our method to coreference annotations and propose several avenues of future research.}, language = {en} } @phdthesis{Hanschmann2019, author = {Hanschmann, Raffael Tino}, title = {Stalling the engine? EU climate politics after the 'Great Recession'}, doi = {10.25932/publishup-44044}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-440441}, school = {Universit{\"a}t Potsdam}, pages = {XXVIII, 303}, year = {2019}, abstract = {This dissertation investigates the impact of the economic and fiscal crisis starting in 2008 on EU climate policy-making. While the overall number of adopted greenhouse gas emission reduction policies declined in the crisis aftermath, EU lawmakers decided to introduce new or tighten existing regulations in some important policy domains. Existing knowledge about the crisis impact on EU legislative decision-making cannot explain these inconsistencies. In response, this study develops an actor-centred conceptual framework based on rational choice institutionalism that provides a micro-level link to explain how economic crises translate into altered policy-making patterns. The core theoretical argument draws on redistributive conflicts, arguing that tensions between 'beneficiaries' and 'losers' of a regulatory initiative intensify during economic crises and spill over to the policy domain. To test this hypothesis and using social network analysis, this study analyses policy processes in three case studies: The introduction of carbon dioxide emission limits for passenger cars, the expansion of the EU Emissions Trading System to aviation, and the introduction of a regulatory framework for biofuels. The key finding is that an economic shock causes EU policy domains to polarise politically, resulting in intensified conflict and more difficult decision-making. The results also show that this process of political polarisation roots in the industry that is the subject of the regulation, and that intergovernmental bargaining among member states becomes more important, but also more difficult in times of crisis.}, language = {en} } @phdthesis{Beamish2019, author = {Beamish, Alison Leslie}, title = {Hyperspectral remote sensing of the spatial and temporal heterogeneity of low Arctic vegetation}, doi = {10.25932/publishup-42592}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-425922}, school = {Universit{\"a}t Potsdam}, pages = {v, 102}, year = {2019}, abstract = {Arctic tundra ecosystems are experiencing warming twice the global average and Arctic vegetation is responding in complex and heterogeneous ways. Shifting productivity, growth, species composition, and phenology at local and regional scales have implications for ecosystem functioning as well as the global carbon and energy balance. Optical remote sensing is an effective tool for monitoring ecosystem functioning in this remote biome. However, limited field-based spectral characterization of the spatial and temporal heterogeneity limits the accuracy of quantitative optical remote sensing at landscape scales. To address this research gap and support current and future satellite missions, three central research questions were posed: • Does canopy-level spectral variability differ between dominant low Arctic vegetation communities and does this variability change between major phenological phases? • How does canopy-level vegetation colour images recorded with high and low spectral resolution devices relate to phenological changes in leaf-level photosynthetic pigment concentrations? • How does spatial aggregation of high spectral resolution data from the ground to satellite scale influence low Arctic tundra vegetation signatures and thereby what is the potential of upcoming hyperspectral spaceborne systems for low Arctic vegetation characterization? To answer these questions a unique and detailed database was assembled. Field-based canopy-level spectral reflectance measurements, nadir digital photographs, and photosynthetic pigment concentrations of dominant low Arctic vegetation communities were acquired at three major phenological phases representing early, peak and late season. Data were collected in 2015 and 2016 in the Toolik Lake Research Natural Area located in north central Alaska on the North Slope of the Brooks Range. In addition to field data an aerial AISA hyperspectral image was acquired in the late season of 2016. Simulations of broadband Sentinel-2 and hyperspectral Environmental and Mapping Analysis Program (EnMAP) satellite reflectance spectra from ground-based reflectance spectra as well as simulations of EnMAP imagery from aerial hyperspectral imagery were also obtained. Results showed that canopy-level spectral variability within and between vegetation communities differed by phenological phase. The late season was identified as the most discriminative for identifying many dominant vegetation communities using both ground-based and simulated hyperspectral reflectance spectra. This was due to an overall reduction in spectral variability and comparable or greater differences in spectral reflectance between vegetation communities in the visible near infrared spectrum. Red, green, and blue (RGB) indices extracted from nadir digital photographs and pigment-driven vegetation indices extracted from ground-based spectral measurements showed strong significant relationships. RGB indices also showed moderate relationships with chlorophyll and carotenoid pigment concentrations. The observed relationships with the broadband RGB channels of the digital camera indicate that vegetation colour strongly influences the response of pigment-driven spectral indices and digital cameras can track the seasonal development and degradation of photosynthetic pigments. Spatial aggregation of hyperspectral data from the ground to airborne, to simulated satel-lite scale was influenced by non-photosynthetic components as demonstrated by the distinct shift of the red edge to shorter wavelengths. Correspondence between spectral reflectance at the three scales was highest in the red spectrum and lowest in the near infra-red. By artificially mixing litter spectra at different proportions to ground-based spectra, correspondence with aerial and satellite spectra increased. Greater proportions of litter were required to achieve correspondence at the satellite scale. Overall this thesis found that integrating multiple temporal, spectral, and spatial data is necessary to monitor the complexity and heterogeneity of Arctic tundra ecosystems. The identification of spectrally similar vegetation communities can be optimized using non-peak season hyperspectral data leading to more detailed identification of vegetation communities. The results also highlight the power of vegetation colour to link ground-based and satellite data. Finally, a detailed characterization non-photosynthetic ecosystem components is crucial for accurate interpretation of vegetation signals at landscape scales.}, language = {en} } @phdthesis{Thiede2019, author = {Thiede, Tobias}, title = {A multiscale analysis of additively manufactured lattice structures}, doi = {10.25932/publishup-47041}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-470418}, school = {Universit{\"a}t Potsdam}, pages = {xi, 97, LIII}, year = {2019}, abstract = {Additive Manufacturing (AM) in terms of laser powder-bed fusion (L-PBF) offers new prospects regarding the design of parts and enables therefore the production of lattice structures. These lattice structures shall be implemented in various industrial applications (e.g. gas turbines) for reasons of material savings or cooling channels. However, internal defects, residual stress, and structural deviations from the nominal geometry are unavoidable. In this work, the structural integrity of lattice structures manufactured by means of L-PBF was non-destructively investigated on a multiscale approach. A workflow for quantitative 3D powder analysis in terms of particle size, particle shape, particle porosity, inter-particle distance and packing density was established. Synchrotron computed tomography (CT) was used to correlate the packing density with the particle size and particle shape. It was also observed that at least about 50\% of the powder porosity was released during production of the struts. Struts are the component of lattice structures and were investigated by means of laboratory CT. The focus was on the influence of the build angle on part porosity and surface quality. The surface topography analysis was advanced by the quantitative characterisation of re-entrant surface features. This characterisation was compared with conventional surface parameters showing their complementary information, but also the need for AM specific surface parameters. The mechanical behaviour of the lattice structure was investigated with in-situ CT under compression and successive digital volume correlation (DVC). The deformation was found to be knot-dominated, and therefore the lattice folds unit cell layer wise. The residual stress was determined experimentally for the first time in such lattice structures. Neutron diffraction was used for the non-destructive 3D stress investigation. The principal stress directions and values were determined in dependence of the number of measured directions. While a significant uni-axial stress state was found in the strut, a more hydrostatic stress state was found in the knot. In both cases, strut and knot, seven directions were at least needed to find reliable principal stress directions.}, language = {en} } @phdthesis{Yan2019, author = {Yan, Runyu}, title = {Nitrogen-doped and porous carbons towards new energy storage mechanisms for supercapacitors with high energy density}, doi = {10.25932/publishup-43141}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-431413}, school = {Universit{\"a}t Potsdam}, pages = {152}, year = {2019}, abstract = {Supercapacitors are electrochemical energy storage devices with rapid charge/discharge rate and long cycle life. Their biggest challenge is the inferior energy density compared to other electrochemical energy storage devices such as batteries. Being the most widely spread type of supercapacitors, electrochemical double-layer capacitors (EDLCs) store energy by electrosorption of electrolyte ions on the surface of charged electrodes. As a more recent development, Na-ion capacitors (NICs) are expected to be a more promising tactic to tackle the inferior energy density due to their higher-capacity electrodes and larger operating voltage. The charges are simultaneously stored by ion adsorption on the capacitive-type cathode surface and via faradic process in the battery-type anode, respectively. Porous carbon electrodes are of great importance in these devices, but the paramount problems are the facile synthetic routes for high-performance carbons and the lack of fundamental understanding of the energy storage mechanisms. Therefore, the aim of the present dissertation is to develop novel synthetic methods for (nitrogen-doped) porous carbon materials with superior performance, and to reveal a deeper understanding energy storage mechanisms of EDLCs and NICs. The first part introduces a novel synthetic method towards hierarchical ordered meso-microporous carbon electrode materials for EDLCs. The large amount of micropores and highly ordered mesopores endow abundant sites for charge storage and efficient electrolyte transport, respectively, giving rise to superior EDLC performance in different electrolytes. More importantly, the controversial energy storage mechanism of EDLCs employing ionic liquid (IL) electrolytes is investigated by employing a series of porous model carbons as electrodes. The results not only allow to conclude on the relations between the porosity and ion transport dynamics, but also deliver deeper insights into the energy storage mechanism of IL-based EDLCs which is different from the one usually dominating in solvent-based electrolytes leading to compression double-layers. The other part focuses on anodes of NICs, where novel synthesis of nitrogen-rich porous carbon electrodes and their sodium storage mechanism are investigated. Free-standing fibrous nitrogen-doped carbon materials are synthesized by electrospinning using the nitrogen-rich monomer (hexaazatriphenylene-hexacarbonitrile, C18N12) as the precursor followed by condensation at high temperature. These fibers provide superior capacity and desirable charge/discharge rate for sodium storage. This work also allows insights into the sodium storage mechanism in nitrogen-doped carbons. Based on this mechanism, further optimization is done by designing a composite material composed of nitrogen-rich carbon nanoparticles embedded in conductive carbon matrix for a better charge/discharge rate. The energy density of the assembled NICs significantly prevails that of common EDLCs while maintaining the high power density and long cycle life.}, language = {en} } @phdthesis{Noack2019, author = {Noack, Sebastian}, title = {Poly(lactide)-based amphiphilic block copolymers}, doi = {10.25932/publishup-43616}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-436168}, school = {Universit{\"a}t Potsdam}, pages = {xvii, 148}, year = {2019}, abstract = {Due to its bioavailability and (bio)degradability, poly(lactide) (PLA) is an interesting polymer that is already being used as packaging material, surgical seam, and drug delivery system. Dependent on various parameters such as polymer composition, amphiphilicity, sample preparation, and the enantiomeric purity of lactide, PLA in an amphiphilic block copolymer can affect the self-assembly behavior dramatically. However, sizes and shapes of aggregates have a critical effect on the interactions between biological and drug delivery systems, where the general understanding of these polymers and their ability to influence self-assembly is of significant interest in science. The first part of this thesis describes the synthesis and study of a series of linear poly(L-lactide) (PLLA) and poly(D-lactide) (PDLA)-based amphiphilic block copolymers with varying PLA (hydrophobic), and poly(ethylene glycol) (PEG) (hydrophilic) chain lengths and different block copolymer sequences (PEG-PLA and PLA-PEG). The PEG-PLA block copolymers were synthesized by ring-opening polymerization of lactide initiated by a PEG-OH macroinitiator. In contrast, the PLA-PEG block copolymers were produced by a Steglich-esterification of modified PLA with PEG-OH. The aqueous self-assembly at room temperature of the enantiomerically pure PLLA-based block copolymers and their stereocomplexed mixtures was investigated by dynamic light scattering (DLS), transmission electron microscopy (TEM), wide-angle X-ray diffraction (WAXD), and differential scanning calorimetry (DSC). Spherical micelles and worm-like structures were produced, whereby the obtained self-assembled morphologies were affected by the lactide weight fraction in the block copolymer and self-assembly time. The formation of worm-like structures increases with decreasing PLA-chain length and arises from spherical micelles, which become colloidally unstable and undergo an epitaxial fusion with other micelles. As shown by DSC experiments, the crystallinity of the corresponding PLA blocks increases within the self-assembly time. However, the stereocomplexed self-assembled structures behave differently from the parent polymers and result in irregular-shaped clusters of spherical micelles. Additionally, time-dependent self-assembly experiments showed a transformation, from already self-assembled morphologies of different shapes to more compact micelles upon stereocomplexation. In the second part of this thesis, with the objective to influence the self-assembly of PLA-based block copolymers and its stereocomplexes, poly(methyl phosphonate) (PMeP) and poly(isopropyl phosphonate) (PiPrP) were produced by ring-opening polymerization to implement an alternative to the hydrophilic block PEG. Although, the 1,8 diazabicyclo[5.4.0]unde 7 ene (DBU) or 1,5,7 triazabicyclo[4.4.0]dec-5-ene (TBD) mediated synthesis of the corresponding poly(alkyl phosphonate)s was successful, however, not so the polymerization of copolymers with PLA-based precursors (PLA-homo polymers, and PEG-PLA block copolymers). Transesterification, obtained by 1H-NMR spectroscopy, between the poly(phosphonate)- and PLA block caused a high-field shifted peak split of the methine proton in the PLA polymer chain, with split intensities depending on the used catalyst (DBU for PMeP, and TBD for PiPrP polymerization). An additional prepared block copolymer PiPrP-PLLA that wasn't affected in its polymer sequence was finally used for self-assembly experiments with PLA-PEG and PEG-PLA mixing. This work provides a comprehensive study of the self-assembly behavior of PLA-based block copolymers influenced by various parameters such as polymer block lengths, self-assembly time, and stereocomplexation of block copolymer mixtures.}, language = {en} }