@phdthesis{Doriti2017, author = {Doriti, Afroditi}, title = {Sustainable bio-based poly-N-glycines and polyesters}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-411286}, school = {Universit{\"a}t Potsdam}, pages = {vi, 117}, year = {2017}, abstract = {Nowadays, the need to protect the environment becomes more urgent than ever. In the field of chemistry, this translates to practices such as waste prevention, use of renewable feedstocks, and catalysis; concepts based on the principles of green chemistry. Polymers are an important product in the chemical industry and are also in the focus of these changes. In this thesis, more sustainable approaches to make two classes of polymers, polypeptoids and polyesters, are described. Polypeptoids or poly(alkyl-N-glycines) are isomers of polypeptides and are biocompatible, as well as degradable under biologically relevant conditions. In addition to that, they can have interesting properties such as lower critical solution temperature (LCST) behavior. They are usually synthesized by the ring opening polymerization (ROP) of N-carboxy anhydrides (NCAs), which are produced with the use of toxic compounds (e.g. phosgene) and which are highly sensitive to humidity. In order to avoid the direct synthesis and isolation of the NCAs, N-phenoxycarbonyl-protected N-substituted glycines are prepared, which can yield the NCAs in situ. The conditions for the NCA synthesis and its direct polymerization are investigated and optimized for the simplest N-substituted glycine, sarcosine. The use of a tertiary amine in less than stoichiometric amounts compared to the N-phenoxycarbonyl--sarcosine seems to accelerate drastically the NCA formation and does not affect the efficiency of the polymerization. In fact, well defined polysarcosines that comply to the monomer to initiator ratio can be produced by this method. This approach was also applied to other N-substituted glycines. Dihydroxyacetone is a sustainable diol produced from glycerol, and has already been used for the synthesis of polycarbonates. Here, it was used as a comonomer for the synthesis of polyesters. However, the polymerization of dihydroxyacetone presented difficulties, probably due to the insolubility of the macromolecular chains. To circumvent the problem, the dimethyl acetal protected dihydroxyacetone was polymerized with terephthaloyl chloride to yield a soluble polymer. When the carbonyl was recovered after deprotection, the product was insoluble in all solvents, showing that the carbonyl in the main chain hinders the dissolution of the polymers. The solubility issue can be avoided, when a 1:1 mixture of dihydroxyacetone/ ethylene glycol is used to yield a soluble copolyester.}, language = {en} } @phdthesis{Dribbisch2017, author = {Dribbisch, Katrin}, title = {Translating innovation}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-104719}, school = {Universit{\"a}t Potsdam}, pages = {VIII, 217}, year = {2017}, abstract = {This doctoral thesis studies the process of innovation adoption in public administrations, addressing the research question of how an innovation is translated to a local context. The study empirically explores Design Thinking as a new problem-solving approach introduced by a federal government organisation in Singapore. With a focus on user-centeredness, collaboration and iteration Design Thinking seems to offer a new way to engage recipients and other stakeholders of public services as well as to re-think the policy design process from a user's point of view. Pioneered in the private sector, early adopters of the methodology include civil services in Australia, Denmark, the United Kingdom, the United States as well as Singapore. Hitherto, there is not much evidence on how and for which purposes Design Thinking is used in the public sector. For the purpose of this study, innovation adoption is framed in an institutionalist perspective addressing how concepts are translated to local contexts. The study rejects simplistic views of the innovation adoption process, in which an idea diffuses to another setting without adaptation. The translation perspective is fruitful because it captures the multidimensionality and 'messiness' of innovation adoption. More specifically, the overall research question addressed in this study is: How has Design Thinking been translated to the local context of the public sector organisation under investigation? And from a theoretical point of view: What can we learn from translation theory about innovation adoption processes? Moreover, there are only few empirical studies of organisations adopting Design Thinking and most of them focus on private organisations. We know very little about how Design Thinking is embedded in public sector organisations. This study therefore provides further empirical evidence of how Design Thinking is used in a public sector organisation, especially with regards to its application to policy work which has so far been under-researched. An exploratory single case study approach was chosen to provide an in-depth analysis of the innovation adoption process. Based on a purposive, theory-driven sampling approach, a Singaporean Ministry was selected because it represented an organisational setting in which Design Thinking had been embedded for several years, making it a relevant case with regard to the research question. Following a qualitative research design, 28 semi-structured interviews (45-100 minutes) with employees and managers were conducted. The interview data was triangulated with observations and documents, collected during a field research research stay in Singapore. The empirical study of innovation adoption in a single organisation focused on the intra-organisational perspective, with the aim to capture the variations of translation that occur during the adoption process. In so doing, this study opened the black box often assumed in implementation studies. Second, this research advances translation studies not only by showing variance, but also by deriving explanatory factors. The main differences in the translation of Design Thinking occurred between service delivery and policy divisions, as well as between the first adopter and the rest of the organisation. For the intra-organisational translation of Design Thinking in the Singaporean Ministry the following five factors played a role: task type, mode of adoption, type of expertise, sequence of adoption, and the adoption of similar practices.}, language = {en} } @phdthesis{Eichler2017, author = {Eichler, Sarah}, title = {Multidisziplin{\"a}re kardiologische Rehabilitation bei Patienten nach kathetergest{\"u}tzter Aortenklappenkorrektur}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-406618}, school = {Universit{\"a}t Potsdam}, pages = {XI, 63, XXXI}, year = {2017}, abstract = {Hintergrund F{\"u}r Patienten mit hochgradiger Aortenklappenstenose, die aufgrund ihres Alters oder ihrer Multimorbidit{\"a}t ein hohes Operationsrisiko tragen, konnte mit der kathetergest{\"u}tzten Aortenklappenkorrektur (transcatheter aortic valve implantation, TAVI) eine vielversprechende Alternative zum herzchirurgischen Eingriff etabliert werden. Explizite Daten zur multidisziplin{\"a}ren kardiologischen Rehabilitation nach TAVI liegen bislang nicht vor. Ziel vorliegender Arbeit war, den Effekt der kardiologischen Rehabilitation auf die k{\"o}rperliche Leistungsf{\"a}higkeit, den emotionalen Status, die Lebensqualit{\"a}t und die Gebrechlichkeit bei Patienten nach TAVI zu untersuchen sowie Pr{\"a}diktoren f{\"u}r die Ver{\"a}nderung der k{\"o}rperlichen Leistungsf{\"a}higkeit und der Lebensqualit{\"a}t zu identifizieren. Methodik Zwischen 10/2013 und 07/2015 wurden 136 Patienten (80,6 ± 5,0 Jahre, 47,8 \% M{\"a}nner) in Anschlussheilbehandlung nach TAVI in drei kardiologischen Rehabilitationskliniken eingeschlossen. Zur Beurteilung des Effekts der kardiologischen Rehabilitation wurden jeweils zu Beginn und Ende der Rehabilitation der Frailty (Gebrechlichkeits)-Index (Score bestehend aus Barthel-Index, Instrumental Activities of Daily Living, Mini Mental State Exam, Mini Nutritional Assessment, Timed Up and Go und subjektiver Mobilit{\"a}tsverschlechterung), die Lebensqualit{\"a}t im Short-Form 12 (SF-12) sowie die funktionale k{\"o}rperliche Leistungsf{\"a}higkeit im 6-Minuten Gehtest (6-minute walk test, 6MWT) und die maximale k{\"o}rperliche Leistungsf{\"a}higkeit in der Belastungs-Ergometrie erhoben. Zus{\"a}tzlich wurden soziodemographische Daten (z. B. Alter und Geschlecht), Komorbidit{\"a}ten (z. B. chronisch obstruktive Lungenerkrankung, koronare Herzkrankheit und Karzinom), kardiovaskul{\"a}re Risikofaktoren und die NYHA-Klasse dokumentiert. Pr{\"a}diktoren f{\"u}r die Ver{\"a}nderung der k{\"o}rperlichen Leistungsf{\"a}higkeit und Lebensqualit{\"a}t wurden mit Kovarianzanalysen angepasst. Ergebnisse Die maximale Gehstrecke im 6MWT konnte um 56,3 ± 65,3 m (p < 0,001) und die maximale k{\"o}rperliche Leistungsf{\"a}higkeit in der Belastungs-Ergometrie um 8,0 ± 14,9 Watt (p < 0001) gesteigert werden. Weiterhin konnte eine Verbesserung im SF-12 sowohl in der k{\"o}rperlichen Summenskala um 2,5 ± 8,7 Punkte (p = 0,001) als auch in der psychischen Summenskala um 3,4 ± 10,2 Punkte (p = 0,003) erreicht werden. In der multivariaten Analyse waren ein h{\"o}heres Alter und eine h{\"o}here Bildung signifikant mit einer geringeren Zunahme im 6MWT assoziiert, w{\"a}hrenddessen eine bessere kognitive Leistungsf{\"a}higkeit und Adipositas einen positiven pr{\"a}diktiven Wert aufwiesen. Eine h{\"o}here Selbstst{\"a}ndigkeit und ein besserer Ern{\"a}hrungsstatus beeinflussten die Ver{\"a}nderung in der k{\"o}rperlichen Summenskala des SF-12 positiv, w{\"a}hrenddessen eine bessere kognitive Leistungsf{\"a}higkeit einen Pr{\"a}diktor f{\"u}r eine geringere Ver{\"a}nderung darstellte. Des Weiteren hatten die jeweiligen Ausgangswerte der k{\"o}rperlichen und psychischen Summenskala im SF-12 einen inversen Einfluss auf die Ver{\"a}nderungen in der gleichen Skala. Schlussfolgerung Eine multidisziplin{\"a}re kardiologische Rehabilitation kann sowohl die k{\"o}rperliche Leistungs-f{\"a}higkeit und Lebensqualit{\"a}t verbessern als auch die Gebrechlichkeit von Patienten nach kathetergest{\"u}tzter Aortenklappenkorrektur verringern. Daraus resultierend gilt es, spezifische Assessments f{\"u}r die kardiologische Rehabilitation zu entwickeln. Weiterhin ist es notwendig, individualisierte Therapieprogramme mit besonderem Augenmerk auf kognitive Funktionen und Ern{\"a}hrung zu initiieren, um die Selbstst{\"a}ndigkeit hochbetagter Patienten zu erhalten bzw. wiederherzustellen und um die Pflegebed{\"u}rftigkeit der Patienten hinauszuz{\"o}gern.}, language = {de} } @phdthesis{Eisold2017, author = {Eisold, Ursula}, title = {Cumarin- und DBD-Farbstoffe als Fluoreszenzsonden}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-405833}, school = {Universit{\"a}t Potsdam}, pages = {109}, year = {2017}, abstract = {In dieser Arbeit werden drei Themen im Zusammenhang mit den spektroskopischen Eigenschaften von Cumarin- (Cou) und DBD-Farbstoffen ([1,3]Dioxolo[4,5-f][1,3]benzodioxol) behandelt. Der erste Teil zeigt die grundlegende spektroskopische Charakterisierung von 7-Aminocumarinen und ihre potentielle Anwendung als Fluoreszenzsonde f{\"u}r Fluoreszenzimmunassays. Im zweiten Teil werden mit die photophysikalischen Eigenschaften der Cumarine genutzt um Cou- und DBD-funktionalisierte Oligo-Spiro-Ketal-St{\"a}be (OSTK) und ihre Eigenschaften als Membransonden zu untersuchen. Der letzte Teil besch{\"a}ftigt sich mit der Synthese und der Charakterisierung von Cou- und DBD-funktionalisierten Polyprolinen als Referenzsysteme f{\"u}r schwefelfunktionalisierte OSTK-St{\"a}be und ihrer Kopplung an Goldnanopartikel. Immunochemische Analysemethoden sind in der klinischen Diagnostik sehr erfolgreich und werden heute auch f{\"u}r die Nahrungsmittelkontrolle und {\"U}berwachung von Umweltfragen mit einbezogen. Dadurch sind sie von großem Interesse f{\"u}r weitere Forschungen. Unter den verschiedenen Immunassays zeichnen sich lumineszenzbasierte Formate durch ihre herausragende Sensitivit{\"a}t aus, die dieses Format f{\"u}r zuk{\"u}nftige Anwendungen besonders attraktiv macht. Die Notwendigkeit von Multiparameterdetektionsm{\"o}glichkeiten erfordert einen Werkzeugkasten mit Farbstoffen, um die biochemische Reaktion in ein optisch detektierbares Signal umzuwandeln. Hier wird bei einem Multiparameteransatz jeder Analyt durch einen anderen Farbstoff mit einer einzigartigen Emissionsfarbe, die den blauen bis roten Spektralbereich abdecken, oder eine einzigartige Abklingzeit detektiert. Im Falle eines kompetitiven Immunassayformats w{\"a}re f{\"u}r jeden der verschiedenen Farbstoffe ein einzelner Antik{\"o}rper erforderlich. In der vorliegenden Arbeit wird ein leicht modifizierter Ansatz unter Verwendung einer Cumarineinheit, gegen die hochspezifische monoklonale Antik{\"o}rper (mAb) erzeugt wurden, als grundlegendes Antigen pr{\"a}sentiert. Durch eine Modifikation der Stammcumarineinheit an einer Position des Molek{\"u}ls, die f{\"u}r die Erkennung durch den Antik{\"o}rper nicht relevant ist, kann auf den vollen Spektralbereich von blau bis tiefrot zugegriffen werden. In dieser Arbeit wird die photophysikalische Charakterisierung der verschiedenen Cumarinderivate und ihrer entsprechenden Immunkomplexe mit zwei verschiedenen, aber dennoch hochspezifischen, Antik{\"o}rpern pr{\"a}sentiert. Die Cumarinfarbstoffe und ihre Immunkomplexe wurden durch station{\"a}re und zeitaufgel{\"o}ste Absorptions- sowie Fluoreszenzemissionsspektroskopie charakterisiert. Dar{\"u}ber hinaus wurden Fluoreszenzdepolarisationsmessungen durchgef{\"u}hrt, um die Daten zu vervollst{\"a}ndigen, die die verschiedenen Bindungsmodi der beiden Antik{\"o}rper betonten. Im Gegensatz zu h{\"a}ufig eingesetzten Nachweissystemen wurde eine massive Fluoreszenzverst{\"a}rkung bei der Bildung des Antik{\"o}rper-Farbstoffkomplexes bis zu einem Faktor von 50 gefunden. Wegen der leichten Emissionsfarben{\"a}nderung durch das Anpassen der Cumarinsubstitution in der f{\"u}r die Antigenbindung nicht relevanten Position des Elternmolek{\"u}ls, ist eine Farbstoff-Toolbox vorhanden, die bei der Konstruktion von kompetitiven Multiparameterfluoreszenzverst{\"a}rkungsimmunassays verwendet werden kann. Oligo-Spiro-Thio-Ketal-St{\"a}be werden aufgrund ihres hydrophoben R{\"u}ckgrats leicht in Doppellipidschichten eingebaut und deshalb als optische Membransonde verwendet. Wegen ihres geringen Durchmessers wird nur eine minimale St{\"o}rung der Doppellipidschicht verursacht. Durch die Markierung mit Fluoreszenzfarbstoffen sind neuartige F{\"o}rster-Resonanz-Energietransfersonden mit hoch definierten relativen Orientierungen der {\"U}bergangsdipolmomente der Donor- und Akzeptorfarbstoffe zug{\"a}nglich und macht die Klasse der OSTK-Sonden zu einem leistungsstarken, flexiblen Werkzeugkasten f{\"u}r optische Biosensoranwendungen. Mit Hilfe von station{\"a}ren und zeitaufgel{\"o}sten Fluoreszenzexperimenten wurde der Einbau von Cumarin- und DBD markierten OSTK-St{\"a}ben in großen unilamellaren Vesikeln untersucht und die Ergebnisse durch Fluoreszenzdepolarisationsmessungen untermauert. Der letzte Teil dieser Arbeit besch{\"a}ftigt sich mit der Synthese und Charakterisierung von Cou- und DBD-funktionalisierten Polyprolinen und ihrer Kopplung an Goldnanopartikel. Die farbstoffmarkierten Polyproline konnten erfolgreich hergestellt werden. Es zeigten sich deutlich Einfl{\"u}sse auf die spektroskopischen Eigenschaften der Farbstoffe durch die Bindung an die Polyprolinhelix. Die Kopplung an die 5 nm großen AuNP konnte erfolgreich durchgef{\"u}hrt werden. Die Erfahrungen, die durch die Kopplung der Polyproline an die AuNP, gewonnen wurde, ist die Basis f{\"u}r eine Einzelmolek{\"u}l-AFM-FRET-Nanoskopie mit OSTK-St{\"a}ben.}, language = {de} } @phdthesis{Fischbach2017, author = {Fischbach, Jens}, title = {Isothermale Amplifikationsmethoden f{\"u}r den DNA- und Pyrophosphat-abh{\"a}ngigen Pathogennachweis}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-406072}, school = {Universit{\"a}t Potsdam}, pages = {viii, 125}, year = {2017}, abstract = {Hintergrund: Etablierte Protein- und Nukleins{\"a}ure-basierte Methoden f{\"u}r den spezifischen Pathogennachweis sind nur unter standardisierten Laborbedingungen von geschultem Personal durchf{\"u}hrbar und daher mit einem hohen Zeit- und Kostenaufwand verbunden. In der Nukleins{\"a}ure-basierten Diagnostik kann durch die Einf{\"u}hrung der isothermalen Amplifikation eine schnelle und kosteng{\"u}nstige Alternative zur Polymerase-Kettenreaktion (PCR) verwendet werden. Die Loop-mediated isothermal amplification (LAMP) bietet aufgrund der hohen Amplifikationseffizienz vielf{\"a}ltige Detektionsm{\"o}glichkeiten, die sowohl f{\"u}r Schnelltest- als auch f{\"u}r Monitoring-Anwendungen geeignet sind. Ein wesentliches Ziel dieser Arbeit war die Verbesserung der Anwendbarkeit der LAMP und die Entwicklung einer neuen Methode f{\"u}r den einfachen, schnellen und g{\"u}nstigen Nachweis von Pathogenen mittels alternativer DNA- oder Pyrophosphat-abh{\"a}ngiger Detektionsverfahren. Hier wurden zun{\"a}chst direkte und indirekte Detektionsmethoden untersucht und darauf aufbauend ein Verfahren entwickelt, mit dem neue Metallionen-abh{\"a}ngige Fluoreszenzfarbstoffe f{\"u}r die selektive Detektion von Pyrophosphat in der LAMP und anderen enzymatischen Reaktionen identifiziert werden k{\"o}nnen. Als Alternative f{\"u}r die DNA-basierte Detektion in der digitalen LAMP sollten die zuvor etablierten Farbstoffe f{\"u}r den Pyrophosphatnachweis in einer Emulsion getestet werden. Abschließend wurde ein neuer Reaktionsmechanismus f{\"u}r die effiziente Generierung hochmolekularer DNA unter isothermalen Bedingungen als Alternative zur LAMP entwickelt. Ergebnisse: F{\"u}r den Nachweis RNA- und DNA-basierter Phythopathogene konnte die Echtzeit- und Endpunktdetektion mit verschiedenen Farbstoffen in einem geschlossenen System etabliert werden. Hier wurde Berberin als DNA-interkalierender Fluoreszenzfarbstoff mit vergleichbarer Sensitivit{\"a}t zu SYBR Green und EvaGreen erfolgreich in der LAMP mit Echtzeitdetektion eingesetzt. Ein Vorteil von Berberin gegen{\"u}ber den anderen Farbstoffen ist die Toleranz der DNA-Polymerase auch bei hohen Farbstoffkonzentrationen. Berberin kann daher auch in der geschlossenen LAMP-Reaktion ohne zus{\"a}tzliche Anpassung der Reaktionsbedingungen f{\"u}r die Endpunktdetektion verwendet werden. Dar{\"u}ber hinaus konnte Hydroxynaphtholblau (HNB), das f{\"u}r den kolorimetrischen Endpunktnachweis bekannt ist, erstmals auch f{\"u}r die fluorimetrische Detektion der LAMP in Echtzeit eingesetzt werden. Zus{\"a}tzlich konnten in der Arbeit weitere Metallionen-abh{\"a}ngige Farbstoffe zur indirekten Detektion der LAMP {\"u}ber das Pyrophosphat identifiziert werden. Daf{\"u}r wurde eine iterative Methode entwickelt, mit der potenzielle Farbstoffe hinsichtlich ihrer Enzymkompatibilit{\"a}t und ihrer spektralen Eigenschaften bei An- oder Abwesenheit von Manganionen selektiert werden k{\"o}nnen. Mithilfe eines kombinatorischen Screenings im Mikrotiterplattenformat konnte die komplexe Konzentrationsabh{\"a}ngigkeit zwischen den einzelnen Komponenten f{\"u}r einen fluorimetrischen Verdr{\"a}ngungsnachweis untersucht werden. Durch die Visualisierung des Signal-Rausch-Verh{\"a}ltnis' als Intensit{\"a}tsmatrix (heatmap) konnten zun{\"a}chst Alizarinrot S und Tetrazyklin unter simulierten Reaktionsbedingungen selektiert werden. In der anschließenden enzymatischen LAMP-Reaktion konnte insbesondere Alizarinrot S als g{\"u}nstiger, nicht-toxischer und robuster Fluoreszenzfarbstoff identifiziert werden und zeigte eine Pyrophosphat-abh{\"a}ngige Zunahme der Fluoreszenzintensit{\"a}t. Die zuvor etablierten Farbstoffe (HNB, Calcein und Alizarinrot S) konnten anschließend erfolgreich f{\"u}r die indirekte, fluorimetrische Detektion von Pyrophosphat in einer LAMP-optimierten Emulsion eingesetzt werden. Die Stabilit{\"a}t und Homogenit{\"a}t der generierten Emulsion wurde durch den Zusatz des Emulgators Poloxamer 188 verbessert. Durch die fluoreszenzmikroskopische Analyse der Emulsion war eine eindeutige Diskriminierung der positiven und negativen Tr{\"o}pfchen vor allem bei Einsatz von Calcein und Alizarinrot S m{\"o}glich. Aufgrund des komplexen Primer-Designs und der hohen Wahrscheinlichkeit unspezifischer Amplifikation in der LAMP wurde eine neue Bst DNA-Polymerase-abh{\"a}ngige isothermale Amplifikationsreaktion entwickelt. Durch die Integration einer spezifischen Linkerstruktur (abasische Stelle oder Hexaethylenglykol) zwischen zwei Primersequenzen konnte ein bifunktioneller Primer die effiziente Regenerierung der Primerbindungsstellen gew{\"a}hrleisten. Der neue Primer induziert nach der spezifischen Hybridisierung auf dem Templat die R{\"u}ckfaltung zu einer Haarnadelstruktur und blockiert gleichzeitig die Polymeraseaktivit{\"a}t am Gegenstrang, wodurch eine autozyklische Amplifikation trotz konstanter Reaktionstemperatur m{\"o}glich ist. Die Effizienz der „Hinge-initiated Primer dependent Amplification" (HIP) konnte abschließend durch die Verk{\"u}rzung der Distanz zwischen einem modifizierten Hinge-Primer und einem PCR-{\"a}hnlichen Primer verbessert werden. Schlussfolgerung: Die LAMP hat sich aufgrund der hohen Robustheit und Effizienz zu einer leistungsf{\"a}higen Alternative f{\"u}r die klassische PCR in der molekularbiologischen Diagnostik entwickelt. Unterschiedliche Detektionsverfahren verbessern die Leistungsf{\"a}higkeit der qualitativen und quantitativen LAMP f{\"u}r die Feldanwendungen und f{\"u}r die Diagnostik, da die neuen DNA- und Pyrophosphat-abh{\"a}ngigen Nachweismethoden in einer geschlossenen Reaktion eingesetzt werden k{\"o}nnen und so eine einfache Pathogendiagnostik erm{\"o}glichen. Die gezeigten Methoden k{\"o}nnen dar{\"u}ber hinaus zu einer Kostensenkung und Zeitersparnis gegen{\"u}ber den herk{\"o}mmlichen Methoden beitragen. Ein attraktives Ziel stellt die Weiterentwicklung der HIP f{\"u}r den Pathogennachweis als Alternative zur LAMP dar. Hierbei k{\"o}nnen die neuen LAMP-Detektionsverfahren ebenfalls Anwendung finden. Die Verwendung von Bst DNA-Polymerase-abh{\"a}ngigen Reaktionen erm{\"o}glicht dar{\"u}ber hinaus die Integration einer robusten isothermalen Amplifikation in mikrofluidische Systeme. Durch die Kombination der Probenvorbereitung, Amplifikation und Detektion sind zuk{\"u}nftige Anwendungen mit kurzer Analysezeit und geringem apparativen Aufwand insbesondere in der Pathogendiagnostik m{\"o}glich.}, language = {de} } @phdthesis{Foti2017, author = {Foti, Alessandro}, title = {Characterization of the human aldehyde oxidase}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-410107}, school = {Universit{\"a}t Potsdam}, pages = {157}, year = {2017}, abstract = {In this work the human AOX1 was characterized and detailed aspects regarding the expression, the enzyme kinetics and the production of reactive oxygen species (ROS) were investigated. The hAOX1 is a cytosolic enzyme belonging to the molybdenum hydroxylase family. Its catalytically active form is a homodimer with a molecular weight of 300 kDa. Each monomer (150 kDa) consists of three domains: a N-terminal domain (20 kDa) containing two [2Fe-2S] clusters, a 40 kDa intermediate domain containing a flavin adenine dinucleotide (FAD), and a C-terminal domain (85 kDa) containing the substrate binding pocket and the molybdenum cofactor (Moco). The hAOX1 has an emerging role in the metabolism and pharmacokinetics of many drugs, especially aldehydes and N- heterocyclic compounds. In this study, the hAOX1 was hetereogously expressed in E. coli TP1000 cells, using a new codon optimized gene sequence which improved the expressed protein yield of around 10-fold compared to the previous expression systems for this enzyme. To increase the catalytic activity of hAOX1, an in vitro chemical sulfuration was performed to favor the insertion of the equatorial sulfido ligand at the Moco with consequent increased enzymatic activity of around 10-fold. Steady-state kinetics and inhibition studies were performed using several substrates, electron acceptors and inhibitors. The recombinant hAOX1 showed higher catalytic activity when molecular oxygen was used as electron acceptor. The highest turn over values were obtained with phenanthridine as substrate. Inhibition studies using thioridazine (phenothiazine family), in combination with structural studies performed in the group of Prof. M.J. Rom{\~a}o, Nova Universidade de Lisboa, showed a new inhibition site located in proximity of the dimerization site of hAOX1. The inhibition mode of thioridazine resulted in a noncompetitive inhibition type. Further inhibition studies with loxapine, a thioridazine-related molecule, showed the same type of inhibition. Additional inhibition studies using DCPIP and raloxifene were carried out. Extensive studies on the FAD active site of the hAOX1 were performed. Twenty new hAOX1 variants were produced and characterized. The hAOX1 variants generated in this work were divided in three groups: I) hAOX1 single nucleotide polymorphisms (SNP) variants; II) XOR- FAD loop hAOX1 variants; III) additional single point hAOX1 variants. The hAOX1 SNP variants G46E, G50D, G346R, R433P, A439E, K1231N showed clear alterations in their catalytic activity, indicating a crucial role of these residues into the FAD active site and in relation to the overall reactivity of hAOX1. Furthermore, residues of the bovine XOR FAD flexible loop (Q423ASRREDDIAK433) were introduced in the hAOX1. FAD loop hAOX1 variants were produced and characterized for their stability and catalytic activity. Especially the variants hAOX1 N436D/A437D/L438I, N436D/A437D/L438I/I440K and Q434R/N436D/A437D/L438I/I440K showed decreased catalytic activity and stability. hAOX1 wild type and variants were tested for reactivity toward NADH but no reaction was observed. Additionally, the hAOX1 wild type and variants were tested for the generation of reactive oxygen species (ROS). Interestingly, one of the SNP variants, hAOX1 L438V, showed a high ratio of superoxide prodction. This result showed a critical role for the residue Leu438 in the mechanism of oxygen radicals formation by hAOX1. Subsequently, further hAOX1 variants having the mutated Leu438 residue were produced. The variants hAOX1 L438A, L438F and L438K showed superoxide overproduction of around 85\%, 65\% and 35\% of the total reducing equivalent obtained from the substrate oxidation. The results of this work show for the first time a characterization of the FAD active site of the hAOX1, revealing the importance of specific residues involved in the generation of ROS and effecting the overall enzymatic activity of hAOX1. The hAOX1 SNP variants presented here indicate that those allelic variations in humans might cause alterations ROS balancing and clearance of drugs in humans.}, language = {en} } @phdthesis{Garcia2017, author = {Garcia, Francisca}, title = {Mundos comunes}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-400582}, school = {Universit{\"a}t Potsdam}, pages = {270}, year = {2017}, abstract = {Vor dem Hintergrund unterschiedlicher Bewegungen und k{\"u}nstlerischer Dialoge in den siebziger und achtziger Jahren, stellt ihre Doktorarbeit den Begriff des „Lateinamerikanischen" auf dem Gebiet der Kunst und Kultur in Frage. {\"U}ber eine „sammelnde Reise" von Spuren, Zeichen und F{\"a}hrten durch europ{\"a}ische St{\"a}dte, analysiert die Arbeit die Begriffe Ort, Gemeinschaft und kulturelles Ged{\"a}chtnis, um eine neue Form des lateinamerikanischen Kontinents bilden zu k{\"o}nnen.}, language = {es} } @phdthesis{Georgiev2017, author = {Georgiev, Vasil}, title = {Light-induced transformations in biomembranes}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-395309}, school = {Universit{\"a}t Potsdam}, pages = {81}, year = {2017}, abstract = {Cellular membranes constantly experience remodeling, as exemplified by morphological changes during endo- and exocytosis. Regulation of membrane morphology is essential for these processes. In this work, we attempt to establish a regulation path based on the use of photoswitches exhibiting conformational changes in model membranes, namely, giant unilamellar vesicles (GUVs). The mechanism of the changes in the GUVs' morphology caused by isomerization of the photosensitive molecules has been previously explored but still remains elusive. We examine the morphological reshaping of GUVs in the presence of the photoswitch o-tetrafluoroazobenzene (F-azo) and show that the mechanism behind the resulting morphological changes involves both an increase in the membrane area and generation of a positive spontaneous curvature. First, we characterize the partitioning of F-azo in a single-component membrane using both experimental and computational approaches. The partition coefficient calculated from molecular dynamic simulations agrees with experimental data obtained with size-exclusion chromatography. Then, we implement the approach of vesicle electrodeformation in order to assess the increase in the membrane area, which is observed as a result of the conformational change of F-azo. Finally, the local and the effective membrane spontaneous curvatures were estimated from the observed shapes of vesicles exhibiting outward budding. We then extend the application of the F-azo to multicomponent lipid membranes, which exhibit a coexistence of domains in different liquid phases due to a miscibility gap between the lipids. We perform initial experiments to investigate whether F-azo can be employed to modulate the lateral lipid packing and organization. We observe either complete mixing of the domains or the appearing of disordered domains within the domains of more ordered phase. The type of behavior observed in response to the photoisomerization of F-azo was dependent on the used lipid composition. We believe that the findings introduced here will have an impact in understanding and controlling both lipid phase modulation and regulation of the membrane morphology in membrane systems.}, language = {en} } @phdthesis{Golly2017, author = {Golly, Antonius}, title = {Formation and evolution of channel steps and their role for sediment dynamics in a steep mountain stream}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-411728}, school = {Universit{\"a}t Potsdam}, pages = {180}, year = {2017}, abstract = {Steep mountain channels are an important component of the fluvial system. On geological timescales, they shape mountain belts and counteract tectonic uplift by erosion. Their channels are strongly coupled to hillslopes and they are often the main source of sediment transported downstream to low-gradient rivers and to alluvial fans, where commonly settlements in mountainous areas are located. Hence, mountain streams are the cause for one of the main natural hazards in these regions. Due to climate change and a pronounced populating of mountainous regions the attention given to this threat is even growing. Although quantitative studies on sediment transport have significantly advanced our knowledge on measuring and calibration techniques we still lack studies of the processes within mountain catchments. Studies examining the mechanisms of energy and mass exchange on small temporal and spatial scales in steep streams remain sparse in comparison to low-gradient alluvial channels. In the beginning of this doctoral project, a vast amount of experience and knowledge of a steep stream in the Swiss Prealps had to be consolidated in order to shape the principal aim of this research effort. It became obvious, that observations from within the catchment are underrepresented in comparison to experiments performed at the catchment's outlet measuring fluxes and the effects of the transported material. To counteract this imbalance, an examination of mass fluxes within the catchment on the process scale was intended. Hence, this thesis is heavily based on direct field observations, which are generally rare in these environments in quantity and quality. The first objective was to investigate the coupling of the channel with surrounding hillslopes, the major sources of sediment. This research, which involved the monitoring of the channel and adjacent hillslopes, revealed that alluvial channel steps play a key role in coupling of channel and hillslopes. The observations showed that hillslope stability is strongly associated with the step presence and an understanding of step morphology and stability is therefore crucial in understanding sediment mobilization. This finding refined the way we think about the sediment dynamics in steep channels and motivated continued research of the step dynamics. However, soon it became obvious that the technological basis for developing field tests and analyzing the high resolution geometry measured in the field was not available. Moreover, for many geometrical quantities in mountain channels definitions and a clear scientific standard was not available. For example, these streams are characterized by a high spatial variability of the channel banks, preventing straightforward calculations of the channel width without a defined reference. Thus, the second and inevitable part of this thesis became the development and evaluation of scientific tools in order to investigate the geometrical content of the study reach thoroughly. The developed framework allowed the derivation of various metrics of step and channel geometry which facilitated research on the a large data set of observations of channel steps. In the third part, innovative, physically-based metrics have been developed and compared to current knowledge on step formation, suggested in the literature. With this analyses it could be demonstrated that the formation of channel steps follow a wide range of hydraulic controls. Due to the wide range of tested parameters channel steps observed in a natural stream were attributed to different mechanisms of step formation, including those based on jamming and those based on key-stones. This study extended our knowledge on step formation in a steep stream and harmonized different, often time seen as competing, processes of step formation. This study was based on observations collected at one point in time. In the fourth part of this project, the findings of the snap-shot observations were extended in the temporal dimension and the derived concepts have been utilized to investigate reach-scale step patterns in response to large, exceptional flood events. The preliminary results of this work based on the long-term analyses of 7 years of long profile surveys showed that the previously observed channel-hillslope mechanism is the responsible for the short-term response of step formation. The findings of the long-term analyses of step patterns drew a bow to the initial observations of a channel-hillslope system which allowed to join the dots in the dynamics of steep stream. Thus, in this thesis a broad approach has been chosen to gain insights into the complex system of steep mountain rivers. The effort includes in situ field observations (article I), the development of quantitative scientific tools (article II), the reach-scale analyses of step-pool morphology (article III) and its temporal evolution (article IV). With this work our view on the processes within the catchment has been advanced towards a better mechanistic understanding of these fluvial system relevant to improve applied scientific work.}, language = {en} } @phdthesis{Graglia2017, author = {Graglia, Micaela}, title = {Lignin valorization}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-104863}, school = {Universit{\"a}t Potsdam}, pages = {133}, year = {2017}, abstract = {The topic of this project is the use of lignin as alternative source of aromatic building blocks and oligomers to fossil feedstocks. Lignin is known as the most abundant aromatic polymer in nature and is isolated from the lignocellulosic component of plants by different possible extraction treatments. Both the biomass source and the extraction method affect the structure of the isolated lignin, therefore influencing its further application. Lignin was extracted from beech wood by two different hydrothermal alkaline treatments, which use NaOH and Ba(OH)2 as base and by an acid-catalyzed organosolv process. Moreover, lignin was isolated from bamboo, beech wood and coconut by soda treatment of the biomasses. A comparison of the structural features of such isolated lignins was performed through the use of a wide range of analytical methods. Alkaline lignins resulted in a better candidate as carbon precursor and macromonomers for the synthesis of polymer than organosolv lignin. In fact, alkaline lignins showed higher residual mass after carbonization and higher content of the reactive hydroxy functionalities. In contrast, the lignin source turned out to slightly affect the lignin hydroxyl content. One of the most common lignin modifications is its deconstruction to obtain aromatic molecules, which can be used as starting materials for the synthesis of fine chemicals. Lignin deconstruction leads to a complex mixture of aromatic molecules. A gas chromatographic analytical method was developed to characterize the mixture of products obtained by lignin deconstruction via heterogeneous catalytic hydrogenolysis. The analytical protocol allowed the quantification of three main groups of molecules by means of calibration curves, internal standard and a preliminary silylation step of the sample. The analytical method was used to study the influence of the hydrogenolysis catalyst, temperature and system (flow and batch reactor) on the yield and selectivity of the aromatic compounds. Lignin extracted from beech wood by a hydrothermal process using Ba(OH)2 as base, was functionalized by aromatic nitration in order to add nitrogen functionalities. The final goal was the synthesis of a nitrogen doped carbon. Nitrated lignin was reduced to the amino form in order to compare the influence of different nitrogen functionalities on the porosity of the final carbon. The carbons were obtained by ionothermal treatment of the precursors in the presence of the eutectic salt mixture KCl/ZnCl2 Such synthesized carbons showed micro-, macro- and mesoporosity and were tested for their electrocatalytic activity towards the oxygen reduction reaction. Mesoporous carbon derived from nitro lignin displayed the highest electrocatalytic activity. Lignins isolated from coconut, beech wood and bamboo were used as macromonomers for the synthesis of biobased polyesters. A condensation reaction was performed between lignin and a hyper branched poly(ester-amine), previously obtained by condensation of triethanolamine and adipic acid. The influence of the lignin source and content on the thermochemical and mechanical properties of the final material was investigated. The prepolymer showed adhesive properties towards aluminum and its shear strength was therefore measured. The gluing properties of such synthesized glues turned out to be independent from the lignin source but affected by the amount of lignin in the final material. This work shows that, although still at a laboratory scale, the valorization of lignin can overcome the critical issues of lignin´s structure variability and complexity.}, language = {en} } @phdthesis{GrimmSeyfarth2017, author = {Grimm-Seyfarth, Annegret}, title = {Effects of climate change on a reptile community in arid Australia}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-412655}, school = {Universit{\"a}t Potsdam}, pages = {IX, 184}, year = {2017}, abstract = {Dies ist eine kumulative Dissertation, die drei Originalstudien umfasst (eine publiziert, eine in Revision, eine eingereicht; Stand Dezember 2017). Sie untersucht, wie Reptilienarten im ariden Australien auf verschiedene klimatische Parameter verschiedener r{\"a}umlicher Skalen reagieren und analysiert dabei zwei m{\"o}gliche zugrunde liegende Hauptmechanismen: Thermoregulatorisches Verhalten und zwischenartliche Wechselwirkungen. In dieser Dissertation wurden umfassende, individuenbasierte Felddaten verschiedener trophischer Ebenen kombiniert mit ausgew{\"a}hlten Feldexperimenten, statistischen Analysen, und Vorhersagemodellen. Die hier erkannten Mechanismen und Prozesse k{\"o}nnen nun genutzt werden, um m{\"o}gliche Ver{\"a}nderungen der ariden Reptiliengesellschaft in der Zukunft vorherzusagen. Dieses Wissen wird dazu beitragen, dass unser Grundverst{\"a}ndnis {\"u}ber die Konsequenzen des globalen Wandels verbessert und Biodiversit{\"a}tsverlust in diesem anf{\"a}lligen {\"O}kosystem verhindert wird.}, language = {en} } @phdthesis{Gudipudi2017, author = {Gudipudi, Venkata Ramana}, title = {Cities and global sustainability}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-407113}, school = {Universit{\"a}t Potsdam}, pages = {xxii, 101}, year = {2017}, abstract = {In the wake of 21st century, humanity witnessed a phenomenal raise of urban agglomerations as powerhouses for innovation and socioeconomic growth. Driving much of national (and in few instances even global) economy, such a gargantuan raise of cities is also accompanied by subsequent increase in energy, resource consumption and waste generation. Much of anthropogenic transformation of Earth's environment in terms of environmental pollution at local level to planetary scale in the form of climate change is currently taking place in cities. Projected to be crucibles for entire humanity by the end of this century, the ultimate fate of humanity predominantly lies in the hands of technological innovation, urbanites' attitudes towards energy/resource consumption and development pathways undertaken by current and future cities. Considering the unparalleled energy, resource consumption and emissions currently attributed to global cities, this thesis addresses these issues from an efficiency point of view. More specifically, this thesis addresses the influence of population size, density, economic geography and technology in improving urban greenhouse gas (GHG) emission efficiency and identifies the factors leading to improved eco-efficiency in cities. In order to investigate the in uence of these factors in improving emission and resource efficiency in cities, a multitude of freely available datasets were coupled with some novel methodologies and analytical approaches in this thesis. Merging the well-established Kaya Identity to the recently developed urban scaling laws, an Urban Kaya Relation is developed to identify whether large cities are more emission efficient and the intrinsic factors leading to such (in)efficiency. Applying Urban Kaya Relation to a global dataset of 61 cities in 12 countries, this thesis identifed that large cities in developed regions of the world will bring emission efficiency gains because of the better technologies implemented in these cities to produce and utilize energy consumption while the opposite is the case for cities in developing regions. Large cities in developing countries are less efficient mainly because of their affluence and lack of efficient technologies. Apart from the in uence of population size on emission efficiency, this thesis identified the crucial role played by population density in improving building and on-road transport sector related emission efficiency in cities. This is achieved by applying the City Clustering Algorithm (CCA) on two different gridded land use datasets and a standard emission inventory to attribute these sectoral emissions to all inhabited settlements in the USA. Results show that doubling the population density would entail a reduction in the total CO2 emissions in buildings and on-road sectors typically by at least 42 \%. Irrespective of their population size and density, cities are often blamed for their intensive resource consumption that threatens not only local but also global sustainability. This thesis merged the concept of urban metabolism with benchmarking and identified cities which are eco-efficient. These cities enable better socioeconomic conditions while being less burden to the environment. Three environmental burden indicators (annual average NO2 concentration, per capita waste generation and water consumption) and two socioeconomic indicators (GDP per capita and employment ratio) for 88 most populous European cities are considered in this study. Using two different non-parametric ranking methods namely regression residual ranking and Data Envelopment Analysis (DEA), eco-efficient cities and their determining factors are identified. This in-depth analysis revealed that mature cities with well-established economic structures such as Munich, Stockholm and Oslo are eco-efficient. Further, correlations between objective eco-efficiency ranking with each of the indicator rankings and the ranking of urbanites' subjective perception about quality of life are analyzed. This analysis revealed that urbanites' perception about quality of life is not merely confined to the socioeconomic well-being but rather to their combination with lower environmental burden. In summary, the findings of this dissertation has three general conclusions for improving emission and ecological efficiency in cities. Firstly, large cities in emerging nations face a huge challenge with respect to improving their emission efficiency. The task in front of these cities is threefold: (1) deploying efficient technologies for the generation of electricity and improvement of public transportation to unlock their leap frogging potential, (2) addressing the issue of energy poverty and (3) ensuring that these cities do not develop similar energy consumption patterns with infrastructure lock-in behavior similar to those of cities in developed regions. Secondly, the on-going urban sprawl as a global phenomenon will decrease the emission efficiency within the building and transportation sector. Therefore, local policy makers should identify adequate fiscal and land use policies to curb urban sprawl. Lastly, since mature cities with well-established economic structures are more eco-efficient and urbanites' perception re ects its combination with decreasing environmental burden; there is a need to adopt and implement strategies which enable socioeconomic growth in cities whilst decreasing their environment burden.}, language = {en} } @phdthesis{Guidi2017, author = {Guidi, Giovanni}, title = {Connecting simulations and observations in galaxy formation studies}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-396876}, school = {Universit{\"a}t Potsdam}, pages = {141}, year = {2017}, abstract = {Observational and computational extragalactic astrophysics are two fields of research that study a similar subject from different perspectives. Observational extragalactic astrophysics aims, by recovering the spectral energy distribution of galaxies at different wavelengths, to reliably measure their properties at different cosmic times and in a large variety of environments. Analyzing the light collected by the instruments, observers try to disentangle the different processes occurring in galaxies at the scales of galactic physics, as well as the effect of larger scale processes such as mergers and accretion, in order to obtain a consistent picture of galaxy formation and evolution. On the other hand, hydrodynamical simulations of galaxy formation in cosmological context are able to follow the evolution of a galaxy along cosmic time, taking into account both external processes such as mergers, interactions and accretion, and internal mechanisms such as feedback from Supernovae and Active Galactic Nuclei. Due to the great advances in both fields of research, we have nowadays available spectral and photometric information for a large number of galaxies in the Universe at different cosmic times, which has in turn provided important knowledge about the evolution of the Universe; at the same time, we are able to realistically simulate galaxy formation and evolution in large volumes of the Universe, taking into account the most relevant physical processes occurring in galaxies. As these two approaches are intrinsically different in their methodology and in the information they provide, the connection between simulations and observations is still not fully established, although simulations are often used in galaxies' studies to interpret observations and assess the effect of the different processes acting on galaxies on the observable properties, and simulators usually test the physical recipes implemented in their hydrodynamical codes through the comparison with observations. In this dissertation we aim to better connect the observational and computational approaches in the study of galaxy formation and evolution, using the methods and results of one field to test and validate the methods and results of the other. In a first work we study the biases and systematics in the derivation of the galaxy properties in observations. We post-process hydrodynamical cosmological simulations of galaxy formation to calculate the galaxies' Spectral Energy Distributions (SEDs) using different approaches, including radiative transfer techniques. Comparing the direct results of the simulations with the quantities obtained applying observational techniques to these synthetic SEDs, we are able to make an analysis of the biases intrinsic in the observational algorithms, and quantify their accuracy in recovering the galaxies' properties, as well as estimating the uncertainties affecting a comparison between simulations and observations when different approaches to obtain the observables are followed. Our results show that for some quantities such as the stellar ages, metallicities and gas oxygen abundances large differences can appear, depending on the technique applied in the derivation. In a second work we compare a set of fifteen galaxies similar in mass to the Milky Way and with a quiet merger history in the recent past (hence expected to have properties close to spiral galaxies), simulated in a cosmological context, with data from the Sloan Digital Sky Survey (SDSS). We use techniques to obtain the observables as similar as possible to the ones applied in SDSS, with the aim of making an unbiased comparison between our set of hydrodynamical simulations and SDSS observations. We quantify the differences in the physical properties when these are obtained directly from the simulations without post-processing, or mimicking the SDSS observational techniques. We fit linear relations between the values derived directly from the simulations and following SDSS observational procedures, which in most of the cases have relatively high correlation, that can be easily used to more reliably compare simulations with SDSS data. When mimicking SDSS techniques, these simulated galaxies are photometrically similar to galaxies in the SDSS blue sequence/green valley, but have in general older ages, lower SFRs and metallicities compared to the majority of the spirals in the observational dataset. In a third work, we post-process hydrodynamical simulations of galaxies with radiative transfer techniques, to generate synthetic data that mimic the properties of the CALIFA Integral Field Spectroscopy (IFS) survey. We reproduce the main characteristics of the CALIFA observations in terms of field of view and spaxel physical size, data format, point spread functions and detector noise. This 3-dimensional dataset is suited to be analyzed by the same algorithms applied to the CALIFA dataset, and can be used as a tool to test the ability of the observational algorithms in recovering the properties of the CALIFA galaxies. To this purpose, we also generate the resolved maps of the simulations' properties, calculated directly from the hydrodynamical snapshots, or from the simulated spectra prior to the addition of the noise. Our work shows that a reliable connection between the models and the data is of crucial importance both to judge the output of galaxy formation codes and to accurately test the observational algorithms used in the analysis of galaxy surveys' data. A correct interpretation of observations will be particularly important in the future, in light of the several ongoing and planned large galaxy surveys that will provide the community with large datasets of properties of galaxies (often spatially-resolved) at different cosmic times, allowing to study galaxy formation physics at a higher level of detail than ever before. We have shown that neglecting the observational biases in the comparison between simulations and an observational dataset may move the simulations to different regions in the planes of the observables, strongly affecting the assessment of the correctness of the sub-resolution physical models implemented in galaxy formation codes, as well as the interpretation of given observational results using simulations.}, language = {en} } @phdthesis{Heck2017, author = {Heck, Christian}, title = {Gold and silver nanolenses self-assembled by DNA origami}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-409002}, school = {Universit{\"a}t Potsdam}, pages = {ix, 125}, year = {2017}, abstract = {Nanolenses are linear chains of differently-sized metal nanoparticles, which can theoretically provide extremely high field enhancements. The complex structure renders their synthesis challenging and has hampered closer analyses so far. Here, the technique of DNA origami was used to self-assemble DNA-coated 10 nm, 20 nm, and 60 nm gold or silver nanoparticles into gold or silver nanolenses. Three different geometrical arrangements of gold nanolenses were assembled, and for each of the three, sets of single gold nanolenses were investigated in detail by atomic force microscopy, scanning electron microscopy, dark-field scattering and Raman spectroscopy. The surface-enhanced Raman scattering (SERS) capabilities of the single nanolenses were assessed by labelling the 10 nm gold nanoparticle selectively with dye molecules. The experimental data was complemented by finite-difference time-domain simulations. For those gold nanolenses which showed the strongest field enhancement, SERS signals from the two different internal gaps were compared by selectively placing probe dyes on the 20 nm or 60 nm gold particles. The highest enhancement was found for the gap between the 20 nm and 10 nm nanoparticle, which is indicative of a cascaded field enhancement. The protein streptavidin was labelled with alkyne groups and served as a biological model analyte, bound between the 20 nm and 10 nm particle of silver nanolenses. Thereby, a SERS signal from a single streptavidin could be detected. Background peaks observed in SERS measurements on single silver nanolenses could be attributed to amorphous carbon. It was shown that the amorphous carbon is generated in situ.}, language = {en} } @phdthesis{Heinke2017, author = {Heinke, David}, title = {Entwicklung biokompatibler superparamagnetischer Nanopartikel f{\"u}r den Einsatz als in vivo-Diagnostikum insbesondere im Magnetic Particle Imaging}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-406196}, school = {Universit{\"a}t Potsdam}, pages = {142}, year = {2017}, abstract = {Magnetische Eisenoxidnanopartikel werden bereits seit geraumer Zeit erfolgreich als MRT-Kontrastmittel in der klinischen Bildgebung eingesetzt. Durch Optimierung der magnetischen Eigenschaften der Nanopartikel kann die Aussagekraft von MR-Aufnahmen verbessert und somit der diagnostische Wert einer MR-Anwendung weiter erh{\"o}ht werden. Neben der Verbesserung bestehender Verfahren wird die bildgebende Diagnostik ebenso durch die Entwicklung neuer Verfahren, wie dem Magnetic Particle Imaging, vorangetrieben. Da hierbei das Messsignal von den magnetischen Nanopartikeln selbst erzeugt wird, birgt das MPI einen enormen Vorteil hinsichtlich der Sensitivit{\"a}t bei gleichzeitig hoher zeitlicher und r{\"a}umlicher Aufl{\"o}sung. Da es aktuell jedoch keinen kommerziell vertriebenen in vivo-tauglichen MPI-Tracer gibt, besteht ein dringender Bedarf an geeigneten innovativen Tracermaterialien. Daraus resultierte die Motivation dieser Arbeit biokompatible und superparamagnetische Eisenoxidnanopartikel f{\"u}r den Einsatz als in vivo-Diagnostikum insbesondere im Magnetic Particle Imaging zu entwickeln. Auch wenn der Fokus auf der Tracerentwicklung f{\"u}r das MPI lag, wurde ebenso die MR-Performance bewertet, da geeignete Partikel somit alternativ oder zus{\"a}tzlich als MR-Kontrastmittel mit verbesserten Kontrasteigenschaften eingesetzt werden k{\"o}nnten. Die Synthese der Eisenoxidnanopartikel erfolgte {\"u}ber die partielle Oxidation von gef{\"a}lltem Eisen(II)-hydroxid und Green Rust sowie eine diffusionskontrollierte Kopr{\"a}zipitation in einem Hydrogel. Mit der partiellen Oxidation von Eisen(II)-hydroxid und Green Rust konnten erfolgreich biokompatible und {\"u}ber lange Zeit stabile Eisenoxidnanopartikel synthetisiert werden. Zudem wurden geeignete Methoden zur Formulierung und Sterilisierung etabliert, wodurch zahlreiche Voraussetzungen f{\"u}r eine Anwendung als in vivo-Diagnostikum geschaffen wurden. Weiterhin ist auf Grundlage der MPS-Performance eine hervorragende Eignung dieser Partikel als MPI-Tracer zu erwarten, wodurch die Weiterentwicklung der MPI-Technologie maßgeblich vorangetrieben werden k{\"o}nnte. Die Bestimmung der NMR-Relaxivit{\"a}ten sowie ein initialer in vivo-Versuch zeigten zudem das große Potential der formulierten Nanopartikelsuspensionen als MRT-Kontrastmittel. Die Modifizierung der Partikeloberfl{\"a}che erm{\"o}glicht ferner die Herstellung zielgerichteter Nanopartikel sowie die Markierung von Zellen, wodurch das m{\"o}gliche Anwendungsspektrum maßgeblich erweitert wurde. Im zweiten Teil wurden Partikel durch eine diffusionskontrollierte Kopr{\"a}zipitation im Hydrogel, wobei es sich um eine bioinspirierte Modifikation der klassischen Kopr{\"a}zipitation handelt, synthetisiert, wodurch Partikel mit einer durchschnittlichen Kristallitgr{\"o}ße von 24 nm generiert werden konnten. Die Bestimmung der MPS- und MR-Performance elektrostatisch stabilisierter Partikel ergab vielversprechende Resultate. In Vorbereitung auf die Entwicklung eines in vivo-Diagnostikums wurden die Partikel anschließend erfolgreich sterisch stabilisiert, wodurch der kolloidale Zustand in MilliQ-Wasser {\"u}ber lange Zeit aufrechterhalten werden konnte. Durch Zentrifugation konnten die Partikel zudem erfolgreich in verschiedene Gr{\"o}ßenfraktionen aufgetrennt werden. Dies erm{\"o}glichte die Bestimmung der idealen Aggregatgr{\"o}ße dieses Partikelsystems in Bezug auf die MPS-Performance.}, language = {de} } @phdthesis{Heise2017, author = {Heise, Janine}, title = {Phylogenetic and physiological characterization of deep-biosphere microorganisms in El'gygytgyn Crater Lake sediments}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-403436}, school = {Universit{\"a}t Potsdam}, pages = {117}, year = {2017}, abstract = {The existence of diverse and active microbial ecosystems in the deep subsurface - a biosphere that was originally considered devoid of life - was discovered in multiple microbiological studies. However, most of the studies are restricted to marine ecosystems, while our knowledge about the microbial communities in the deep subsurface of lake systems and their potentials to adapt to changing environmental conditions is still fragmentary. This doctoral thesis aims to build up a unique data basis for providing the first detailed high-throughput characterization of the deep biosphere of lacustrine sediments and to emphasize how important it is to differentiate between the living and the dead microbial community in deep biosphere studies. In this thesis, up to 3.6 Ma old sediments (up to 317 m deep) of the El'gygytgyn Crater Lake were examined, which represents the oldest terrestrial climate record of the Arctic. Combining next generation sequencing with detailed geochemical characteristics and other environmental parameters, the microbial community composition was analyzed in regard to changing climatic conditions within the last 3.6 Ma to 1.0 Ma (Pliocene and Pleistocene). DNA from all investigated sediments was successfully extracted and a surprisingly diverse (6,910 OTUs) and abundant microbial community in the El'gygytgyn deep sediments were revealed. The bacterial abundance (10³-10⁶ 16S rRNA copies g⁻¹ sediment) was up to two orders of magnitudes higher than the archaeal abundance (10¹-10⁵) and fluctuates with the Pleistocene glacial/interglacial cyclicality. Interestingly, a strong increase in the microbial diversity with depth was observed (approximately 2.5 times higher diversity in Pliocene sediments compared to Pleistocene sediments). The increase in diversity with depth in the Lake El'gygytgyn is most probably caused by higher sedimentary temperatures towards the deep sediment layers as well as an enhanced temperature-induced intra-lake bioproductivity and higher input of allochthonous organic-rich material during Pliocene climatic conditions. Moreover, the microbial richness parameters follow the general trends of the paleoclimatic parameters, such as the paleo-temperature and paleo-precipitation. The most abundant bacterial representatives in the El'gygytgyn deep biosphere are affiliated with the phyla Proteobacteria, Actinobacteria, Bacteroidetes, and Acidobacteria, which are also commonly distributed in the surrounding permafrost habitats. The predominated taxon was the halotolerant genus Halomonas (in average 60\% of the total reads per sample). Additionally, this doctoral thesis focuses on the live/dead differentiation of microbes in cultures and environmental samples. While established methods (e.g., fluorescence in situ hybridization, RNA analyses) are not applicable to the challenging El'gygytgyn sediments, two newer methods were adapted to distinguish between DNA from live cells and free (extracellular, dead) DNA: the propidium monoazide (PMA) treatment and the cell separation adapted for low amounts of DNA. The applicability of the DNA-intercalating dye PMA was successfully evaluated to mask free DNA of different cultures of methanogenic archaea, which play a major role in the global carbon cycle. Moreover, an optimal procedure to simultaneously treat bacteria and archaea was developed using 130 µM PMA and 5 min of photo-activation with blue LED light, which is also applicable on sandy environmental samples with a particle load of ≤ 200 mg mL⁻¹. It was demonstrated that the soil texture has a strong influence on the PMA treatment in particle-rich samples and that in particular silt and clay-rich samples (e.g., El'gygytgyn sediments) lead to an insufficient shielding of free DNA by PMA. Therefore, a cell separation protocol was used to distinguish between DNA from live cells (intracellular DNA) and extracellular DNA in the El'gygytgyn sediments. While comparing these two DNA pools with a total DNA pool extracted with a commercial kit, significant differences in the microbial composition of all three pools (mean distance of relative abundance: 24.1\%, mean distance of OTUs: 84.0\%) was discovered. In particular, the total DNA pool covers significantly fewer taxa than the cell-separated DNA pools and only inadequately represents the living community. Moreover, individual redundancy analyses revealed that the microbial community of the intra- and extracellular DNA pool are driven by different environmental factors. The living community is mainly influenced by life-dependent parameters (e.g., sedimentary matrix, water availability), while the extracellular DNA is dependent on the biogenic silica content. The different community-shaping parameters and the fact, that a redundancy analysis of the total DNA pool explains significantly less variance of the microbial community, indicate that the total DNA represents a mixture of signals of the live and dead microbial community. This work provides the first fundamental data basis of the diversity and distribution of microbial deep biosphere communities of a lake system over several million years. Moreover, it demonstrates the substantial importance of extracellular DNA in old sediments. These findings may strongly influence future environmental community analyses, where applications of live/dead differentiation avoid incorrect interpretations due to a failed extraction of the living microbial community or an overestimation of the past community diversity in the course of total DNA extraction approaches.}, language = {en} } @phdthesis{Hendriyana2017, author = {Hendriyana, Andri}, title = {Detection and Kirchhoff-type migration of seismic events by use of a new characteristic function}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-398879}, school = {Universit{\"a}t Potsdam}, pages = {v, 139}, year = {2017}, abstract = {The classical method of seismic event localization is based on the picking of body wave arrivals, ray tracing and inversion of travel time data. Travel time picks with small uncertainties are required to produce reliable and accurate results with this kind of source localization. Hence recordings, with a low Signal-to-Noise Ratio (SNR) cannot be used in a travel time based inversion. Low SNR can be related with weak signals from distant and/or low magnitude sources as well as with a high level of ambient noise. Diffraction stacking is considered as an alternative seismic event localization method that enables also the processing of low SNR recordings by mean of stacking the amplitudes of seismograms along a travel time function. The location of seismic event and its origin time are determined based on the highest stacked amplitudes (coherency) of the image function. The method promotes an automatic processing since it does not need travel time picks as input data. However, applying diffraction stacking may require longer computation times if only limited computer resources are used. Furthermore, a simple diffraction stacking of recorded amplitudes could possibly fail to locate the seismic sources if the focal mechanism leads to complex radiation patterns which typically holds for both natural and induced seismicity. In my PhD project, I have developed a new work flow for the localization of seismic events which is based on a diffraction stacking approach. A parallelized code was implemented for the calculation of travel time tables and for the determination of an image function to reduce computation time. In order to address the effects from complex source radiation patterns, I also suggest to compute diffraction stacking from a characteristic function (CF) instead of stacking the original wave form data. A new CF, which is called in the following mAIC (modified from Akaike Information Criterion) is proposed. I demonstrate that, the performance of the mAIC does not depend on the chosen length of the analyzed time window and that both P- and S-wave onsets can be detected accurately. To avoid cross-talk between P- and S-waves due to inaccurate velocity models, I separate the P- and S-waves from the mAIC function by making use of polarization attributes. Then, eventually the final image function is represented by the largest eigenvalue as a result of the covariance analysis between P- and S-image functions. Before applying diffraction stacking, I also apply seismogram denoising by using Otsu thresholding in the time-frequency domain. Results from synthetic experiments show that the proposed diffraction stacking provides reliable results even from seismograms with low SNR=1. Tests with different presentations of the synthetic seismograms (displacement, velocity, and acceleration) shown that, acceleration seismograms deliver better results in case of high SNR, whereas displacement seismograms provide more accurate results in case of low SNR recordings. In another test, different measures (maximum amplitude, other statistical parameters) were used to determine the source location in the final image function. I found that the statistical approach is the preferred method particularly for low SNR. The work flow of my diffraction stacking method was finally applied to local earthquake data from Sumatra, Indonesia. Recordings from a temporary network of 42 stations deployed for 9 months around the Tarutung pull-apart Basin were analyzed. The seismic event locations resulting from the diffraction stacking method align along a segment of the Sumatran Fault. A more complex distribution of seismicity is imaged within and around the Tarutung Basin. Two lineaments striking N-S were found in the middle of the Tarutung Basin which support independent results from structural geology. These features are interpreted as opening fractures due to local extension. A cluster of seismic events repeatedly occurred in short time which might be related to fluid drainage since two hot springs are observed at the surface near to this cluster.}, language = {en} } @phdthesis{Hentrich2017, author = {Hentrich, Doreen}, title = {Grenzfl{\"a}chen-kontrollierte Mineralisation von Calciumphosphat}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-398236}, school = {Universit{\"a}t Potsdam}, pages = {163}, year = {2017}, abstract = {In der vorliegenden Arbeit konnte gezeigt werden, dass die beiden verwendeten Amphiphile mit Cholesterol als hydrophoben Block, gute Template f{\"u}r die Mineralisation von Calciumphosphat an der Wasser/Luft-Grenzfl{\"a}che sind. Mittels Infrarot-Reflexions-Absorptions-Spektroskopie (IRRAS), R{\"o}ntgenphotoelektronenspektroskopie (XPS), Energie dispersiver R{\"o}ntgenspektroskopie (EDXS), Elektronenbeugung (SAED) und hochaufl{\"o}sende Transmissionselektronenmikroskopie (HRTEM) konnte die erfolgreiche Mineralisation von Calciumphosphat f{\"u}r beide Amphiphile an der Wasser/Luft-Grenzfl{\"a}che nachgewiesen werden. Es konnte auch gezeigt werden, dass das Phasenverhalten der beiden Amphiphile und die bei der Mineralisation von Calciumphosphat gebildeten Kristallphasen nicht identisch sind. Beide Amphiphile {\"u}ben demnach einen unterschiedlichen Einfluss auf den Mineralisationsverlauf aus. Beim CHOL-HEM konnte sowohl nach 3 h als auch nach 5 h Octacalciumphosphat (OCP) als einzige Kristallphase mittels XPS, SAED, HRTEM und EDXS nachgewiesen werden. Das A-CHOL hingegen zeigte bei der Mineralisation von Calciumphosphat nach 1 h zun{\"a}chst eine nicht eindeutig identifizierbare Vorl{\"a}uferphase aus amorphen Calciumphosphat, Brushit (DCPD) oder OCP. Diese wandelte sich dann nach 3 h und 5 h in ein Gemisch, bestehend aus OCP und ein wenig Hydroxylapatit (HAP) um. Die Schlussfolgerung daraus ist, dass das CHOL-HEM in der Lage ist, dass w{\"a}hrend der Mineralisation entstandene OCP zu stabilisieren. Dies geschieht vermutlich durch die Adsorption des Amphiphils bevorzugt an der OCP Oberfl{\"a}che in [100] Orientierung. Dadurch wird die Spaltung entlang der c-Achse unterdr{\"u}ckt und die Hydrolyse zum HAP verhindert. Das A-CHOL ist hingegen sterisch anspruchsvoller und kann wahrscheinlich aufgrund seiner Gr{\"o}ße nicht so gut an der OCP Kristalloberfl{\"a}che adsorbieren verglichen zum CHOL HEM. Das CHOL-HEM kann also die Hydrolyse von OCP zu HAP besser unterdr{\"u}cken als das A-CHOL. Da jedoch auch beim A-CHOL nach einer Mineralisationszeit von 5 h nur wenig HAP zu finden ist, w{\"a}re auch hier ein Stabilisierungseffekt der OCP Kristalle m{\"o}glich. Um eine genaue Aussage dar{\"u}ber treffen zu k{\"o}nnen, sind jedoch zus{\"a}tzliche Kontrollexperimente notwendig. Es w{\"a}re zum einen denkbar, die Mineralisationsexperimente {\"u}ber einen l{\"a}ngeren Zeitraum durchzuf{\"u}hren. Diese k{\"o}nnten zeigen, ob das CHOL-HEM die Hydrolyse vom OCP zum HAP komplett unterdr{\"u}ckt. Außerdem k{\"o}nnte nachgewiesen werden, ob beim A-CHOL das OCP weiter zum HAP umgesetzt wird oder ob ein Gemisch beider Kristallphasen erhalten bleibt. Um die Mineralisation an der Wasser/Luft-Grenzfl{\"a}che mit der Mineralisation in Bulkl{\"o}sung zu vergleichen, wurden zus{\"a}tzlich Mineralisationsexperimente in Bulkl{\"o}sung durchgef{\"u}hrt. Dazu wurden Nitrilotriessigs{\"a}ure (NTA) und Ethylendiamintetraessigs{\"a}ure (EDTA) als Mineralisationsadditive verwendet, da NTA unter anderem der Struktur der hydrophilen Kopfgruppe des A-CHOLs {\"a}hnelt. Es konnte gezeigt werden, dass ein Vergleich der Mineralisation an der Grenzfl{\"a}che mit der Mineralisation in Bulkl{\"o}sung nicht ohne weiteres m{\"o}glich ist. Bei der Mineralisation in Bulkl{\"o}sung wird bei tiefen pH-Werten DCPD und bei h{\"o}heren pH-Werten HAP gebildet. Diese wurde mittels R{\"o}ntgenpulverdiffraktometrie Messungen nachgewiesen und durch Infrarotspektroskopie bekr{\"a}ftigt. Die Bildung von OCP wie an der Wasser/Luft-Grenzfl{\"a}che konnte nicht beobachtet werden. Es konnte auch gezeigt werden, dass beide Additive NTA und EDTA einen unterschiedlichen Einfluss auf den Verlauf der Mineralisation nehmen. So unterscheiden sich zum einen die Morphologien des gebildeten DCPDs und zum anderen wurde beispielsweise in Anwesenheit von 10 und 15 mM NTA neben DCPD auch HAP bei einem Ausgangs-pH-Wert von 7 nachgewiesen. Da unser Augenmerk speziell auf der Mineralisation von Calciumphosphat an der Wasser/Luft-Grenzfl{\"a}che liegt, k{\"o}nnten Folgeexperimente wie beispielsweise GIXD Messungen durchgef{\"u}hrt werden. Dadurch w{\"a}re es m{\"o}glich, einen {\"U}berblick {\"u}ber die gebildeten Kristallphasen nach unterschiedlichen Reaktionszeiten direkt auf dem Trog zu erhalten. Es konnte weiterhin gezeigt werden, dass auch einfache Amphiphile in der Lage sind, die Mineralisation von Calciumphosphat zu steuern. Amphiphile mit Cholesterol als hydrophoben Block bilden offensichtlich besonders stabile Monolagen an der Wasser/Luft-Grenzfl{\"a}che. Eine Untersuchung des Einflusses {\"a}hnlicher Amphiphile mit unterschiedlichen hydrophilen Kopfgruppen auf das Mineralisationsverhalten von Calciumphosphat w{\"a}re durchaus interessant.}, language = {de} } @phdthesis{Herbrich2017, author = {Herbrich, Marcus}, title = {Einfluss der erosionsbedingten Pedogenese auf den Wasserund Stoffhaushalt ackerbaulich genutzter B{\"o}den der Grundmor{\"a}nenbodenlandschaft NO-Deutschlands - hydropedologische Untersuchungen mittels w{\"a}gbarer Pr{\"a}zisionslysimeter}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-408561}, school = {Universit{\"a}t Potsdam}, pages = {186}, year = {2017}, abstract = {In the arable soil landscape of hummocky ground moraines, an erosion-affected spatial differentiation of soils can be observed. Man-made erosion leads to soil profile modifications along slopes with changed solum thickness and modified properties of soil horizons due to water erosion in combination with tillage operations. Soil erosion creates, thereby, spatial patterns of soil properties (e.g., texture and organic matter content) and differences in crop development. However, little is known about the manner in which water fluxes are affected by soil-crop interactions depending on contrasting properties of differently-developed soil horizons and how water fluxes influence the carbon transport in an eroded landscape. To identify such feedbacks between erosion-induced soil profile modifications and the 1D-water and solute balance, high-precision weighing lysimeters equipped with a wide range of sensor technique were filled with undisturbed soil monoliths that differed in the degree of past soil erosion. Furthermore, lysimeter effluent concentrations were analyzed for dissolved carbon fractions in bi-weekly intervals. The water balance components measured by high precision lysimeters varied from the most eroded to the less eroded monolith up to 83 \% (deep drainage) primarily caused due to varying amounts of precipitation and evapotranspiration for a 3-years period. Here, interactions between crop development and contrasting rainfall interception by above ground biomass could explain differences in water balance components. Concentrations of dissolved carbon in soil water samples were relatively constant in time, suggesting carbon leaching was mainly affected by water fluxes in this observation period. For the lysimeter-based water balance analysis, a filtering scheme was developed considering temporal autocorrelation. The minute-based autocorrelation analysis of mass changes from lysimeter time series revealed characteristic autocorrelation lengths ranging from 23 to 76 minutes. Thereby, temporal autocorrelation provided an optimal approximation of precipitation quantities. However, the high temporal resolution in lysimeter time series is restricted by the lengths of autocorrelation. Erosion-induced but also gradual changes in soil properties were reflected by dynamics of soil water retention properties in the lysimeter soils. Short-term and long-term hysteretic water retention data suggested seasonal wettability problems of soils increasingly limited rewetting of previously dried pore regions. Differences in water retention were assigned to soil tillage operations and the erosion history at different slope positions. The threedimensional spatial pattern of soil types that result from erosional soil profile modifications were also reflected in differences of crop root development at different landscape positions. Contrasting root densities revealed positive relations of root and aboveground plant characteristics. Differences in the spatially-distributed root growth between different eroded soil types provided indications that root development was affected by the erosion-induced soil evolution processes. Overall, the current thesis corroborated the hypothesis that erosion-induced soil profile modifications affect the soil water balance, carbon leaching and soil hydraulic properties, but also the crop root system is influenced by erosion-induced spatial patterns of soil properties in the arable hummocky post glacial soil landscape. The results will help to improve model predictions of water and solute movement in arable soils and to understand interactions between soil erosion and carbon pathways regarding sink-or-source terms in landscapes.}, language = {en} } @phdthesis{Hethey2017, author = {Hethey, Christoph Philipp}, title = {Cell physiology based pharmacodynamic modeling of antimicrobial drug combinations}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-401056}, school = {Universit{\"a}t Potsdam}, pages = {102}, year = {2017}, abstract = {Mathematical models of bacterial growth have been successfully applied to study the relationship between antibiotic drug exposure and the antibacterial effect. Since these models typically lack a representation of cellular processes and cell physiology, the mechanistic integration of drug action is not possible on the cellular level. The cellular mechanisms of drug action, however, are particularly relevant for the prediction, analysis and understanding of interactions between antibiotics. Interactions are also studied experimentally, however, a lacking consent on the experimental protocol hinders direct comparison of results. As a consequence, contradictory classifications as additive, synergistic or antagonistic are reported in literature. In the present thesis we developed a novel mathematical model for bacterial growth that integrates cell-level processes into the population growth level. The scope of the model is to predict bacterial growth under antimicrobial perturbation by multiple antibiotics in vitro. To this end, we combined cell-level data from literature with population growth data for Bacillus subtilis, Escherichia coli and Staphylococcus aureus. The cell-level data described growth-determining characteristics of a reference cell, including the ribosomal concentration and efficiency. The population growth data comprised extensive time-kill curves for clinically relevant antibiotics (tetracycline, chloramphenicol, vancomycin, meropenem, linezolid, including dual combinations). The new cell-level approach allowed for the first time to simultaneously describe single and combined effects of the aforementioned antibiotics for different experimental protocols, in particular different growth phases (lag and exponential phase). Consideration of ribosomal dynamics and persisting sub-populations explained the decreased potency of linezolid on cultures in the lag phase compared to exponential phase cultures. The model captured growth rate dependent killing and auto-inhibition of meropenem and - also for vancomycin exposure - regrowth of the bacterial cultures due to adaptive resistance development. Stochastic interaction surface analysis demonstrated the pronounced antagonism between meropenem and linezolid to be robust against variation in the growth phase and pharmacodynamic endpoint definition, but sensitive to a change in the experimental duration. Furthermore, the developed approach included a detailed representation of the bacterial cell-cycle. We used this representation to describe septation dynamics during the transition of a bacterial culture from the exponential to stationary growth phase. Resulting from a new mechanistic understanding of transition processes, we explained the lag time between the increase in cell number and bacterial biomass during the transition from the lag to exponential growth phase. Furthermore, our model reproduces the increased intracellular RNA mass fraction during long term exposure of bacteria to chloramphenicol. In summary, we contribute a new approach to disentangle the impact of drug effects, assay readout and experimental protocol on antibiotic interactions. In the absence of a consensus on the corresponding experimental protocols, this disentanglement is key to translate information between heterogeneous experiments and also ultimately to the clinical setting.}, language = {en} } @phdthesis{Hochrein2017, author = {Hochrein, Lena}, title = {Development of a new DNA-assembly method and its application for the establishment of a red light-sensing regulation system}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-404441}, school = {Universit{\"a}t Potsdam}, pages = {146}, year = {2017}, abstract = {In der hier vorgelegten Doktorarbeit wurde eine Strategie zur schnellen, einfachen und zuverl{\"a}ssigen Assemblierung von DNS-Fragmenten, genannt AssemblX, entwickelt. Diese kann genutzt werden, um komplexe DNS-Konstrukte, wie beispielsweise komplette Biosynthesewege, aufzubauen. Dies dient der Produktion von technisch oder medizinisch relevanten Produkten in biotechnologisch nutzbaren Organismen. Die Vorteile der Klonierungsstrategie liegen in der Schnelligkeit der Klonierung, der Flexibilit{\"a}t bez{\"u}glich des Wirtsorganismus, sowie der hohen Effektivit{\"a}t, die durch gezielte Optimierung erreicht wurde. Die entwickelte Technik erlaubt die nahtlose Assemblierung von Genfragmenten und bietet eine Komplettl{\"o}sung von der Software-gest{\"u}tzten Planung bis zur Fertigstellung von DNS-Konstrukten, welche die Gr{\"o}ße von Mini-Chromosomen erreichen k{\"o}nnen. Mit Hilfe der oben beschriebenen AssemblX Strategie wurde eine optogenetische Plattform f{\"u}r die B{\"a}ckerhefe Saccharomyces cerevisiae etabliert. Diese besteht aus einem Rotlicht-sensitiven Photorezeptor und seinem interagierenden Partner aus Arabidopsis thaliana, welche in lichtabh{\"a}ngiger Weise miteinander agieren. Diese Interaktion wurde genutzt, um zwei Rotlicht-aktivierbare Proteine zu erstellen: Einen Transkriptionsfaktor, der nach Applikation eines Lichtpulses die Produktion eines frei w{\"a}hlbaren Proteins stimuliert, sowie eine Cre Rekombinase, die ebenfalls nach Bestrahlung mit einer bestimmten Wellenl{\"a}nge die zufallsbasierte Reorganisation bestimmter DNS-Konstrukte erm{\"o}glicht. Zusammenfassend wurden damit drei Werkzeuge f{\"u}r die synthetische Biologie etabliert. Diese erm{\"o}glichen den Aufbau von komplexen Biosynthesewegen, deren Licht-abh{\"a}ngige Regulation, sowie die zufallsbasierte Rekombination zu Optimierungszwecken.}, language = {en} } @phdthesis{Hoffmann2017, author = {Hoffmann, Lars}, title = {Lehrkr{\"a}fte als Diagnostikerinnen und Diagnostiker}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-404584}, school = {Universit{\"a}t Potsdam}, pages = {246}, year = {2017}, abstract = {Im Fokus der kumulativen Dissertationsschrift stehen Grundschullehrerinnen und Grundschullehrer in ihrer Rolle als Diagnostikerinnen und Diagnostiker. Exemplarisch werden mit der Einsch{\"a}tzung von Aufgabenschwierigkeiten und der Feststellung von Sprachf{\"o}rderbedarf zwei diagnostische Herausforderungen untersucht, die Lehrkr{\"a}fte an Grundschulen bew{\"a}ltigen m{\"u}ssen. Die vorliegende Arbeit umfasst drei empirische Teilstudien, die in einem Rahmentext integriert sind, in dem zun{\"a}chst die theoretischen Hintergr{\"u}nde und die empirische Befundlage erl{\"a}utert werden. Hierbei wird auf die diagnostische Kompetenz von Lehrkr{\"a}ften bzw. die Genauigkeit von Lehrerurteilen eingegangen. Ferner wird der Einsatz standardisierter Testinstrumente als wichtiger Bestandteil des diagnostischen Aufgabenfeldes von Lehrkr{\"a}ften charakterisiert. Außerdem werden zentrale Aspekte der Sprachdiagnostik in der Grundschule dargestellt. In Teilstudie 1 (Hoffmann \& B{\"o}hme, 2014b) wird der Frage nachgegangen, wie akkurat Grundschullehrerinnen und -lehrer die Schwierigkeit von Deutsch- und Mathematikaufgaben einsch{\"a}tzen. Dar{\"u}ber hinaus wird untersucht, welche Faktoren mit der {\"U}ber- oder Untersch{\"a}tzung der Schwierigkeit von Aufgaben zusammenh{\"a}ngen. In Teilstudie 2 (Hoffmann \& B{\"o}hme, 2017) wird gepr{\"u}ft, inwiefern die Klassifikationsg{\"u}te von Entschei¬dungen zum sprachlichen F{\"o}rderbedarf mit den hierf{\"u}r genutzten diagnostischen Informationsquellen kovariiert. Der Fokus liegt hierbei vor allem auf der Untersuchung von Effekten des Einsatzes von sprachdiagnostischen Verfahren. Teilstudie 3 (Hoffmann, B{\"o}hme \& Stanat, 2017) untersucht schließlich die Frage, welche diagnostischen Verfahren gegenw{\"a}rtig bundesweit an den Grundschulen zur Feststellung sprachlichen F{\"o}rderbedarfs genutzt werden und ob diese Verfahren etwa testtheoretischen G{\"u}tekriterien gen{\"u}gen. Die zentralen Ergebnisse der Teilstudien werden im Rahmentext zusammen¬gefasst und studien{\"u}bergreifend diskutiert. Hierbei wird auch auf methodische St{\"a}rken und Schw{\"a}chen der drei Beitr{\"a}ge sowie auf Implikationen f{\"u}r die zuk{\"u}nftige Forschung und die schulische Praxis hingewiesen.}, language = {de} } @phdthesis{HolzgrefeLang2017, author = {Holzgrefe-Lang, Julia}, title = {Prosodic phrase boundary perception in adults and infants}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-405943}, school = {Universit{\"a}t Potsdam}, pages = {VIII, 141}, year = {2017}, abstract = {Prosody is a rich source of information that heavily supports spoken language comprehension. In particular, prosodic phrase boundaries divide the continuous speech stream into chunks reflecting the semantic and syntactic structure of an utterance. This chunking or prosodic phrasing plays a critical role in both spoken language processing and language acquisition. Aiming at a better understanding of the underlying processing mechanisms and their acquisition, the present work investigates factors that influence prosodic phrase boundary perception in adults and infants. Using the event-related potential (ERP) technique, three experimental studies examined the role of prosodic context (i.e., phrase length) in German phrase boundary perception and of the main prosodic boundary cues, namely pitch change, final lengthening, and pause. With regard to the boundary cues, the dissertation focused on the questions which cues or cue combination are essential for the perception of a prosodic boundary and on whether and how this cue weighting develops during infancy. Using ERPs is advantageous because the technique captures the immediate impact of (linguistic) information during on-line processing. Moreover, as it can be applied independently of specific task demands or an overt response performance, it can be used with both infants and adults. ERPs are particularly suitable to study the time course and underlying mechanisms of boundary perception, because a specific ERP component, the Closure Positive Shift (CPS) is well established as neuro-physiological indicator of prosodic boundary perception in adults. The results of the three experimental studies first underpin that the prosodic context plays an immediate role in the processing of prosodic boundary information. Moreover, the second study reveals that adult listeners perceive a prosodic boundary also on the basis of a sub-set of the boundary cues available in the speech signal. Both ERP and simultaneously collected behavioral data (i.e., prosodic judgements) suggest that the combination of pitch change and final lengthening triggers boundary perception; however, when presented as single cues, neither pitch change nor final lengthening were sufficient. Finally, testing six- and eight-month-old infants shows that the early sensitivity for prosodic information is reflected in a brain response resembling the adult CPS. For both age groups, brain responses to prosodic boundaries cued by pitch change and final lengthening revealed a positivity that can be interpreted as a CPS-like infant ERP component. In contrast, but comparable to the adults' response pattern, pitch change as a single cue does not provoke an infant CPS. These results show that infant phrase boundary perception is not exclusively based on pause detection and hint at an early ability to exploit subtle, relational prosodic cues in speech perception.}, language = {en} } @phdthesis{Hakansson2017, author = {H{\aa}kansson, Nils}, title = {A Dark Matter line search using 3D-modeling of Cherenkov showers below 10 TeV with VERITAS}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-397670}, school = {Universit{\"a}t Potsdam}, pages = {107, xxxvi}, year = {2017}, abstract = {Dark matter, DM, has not yet been directly observed, but it has a very solid theoretical basis. There are observations that provide indirect evidence, like galactic rotation curves that show that the galaxies are rotating too fast to keep their constituent parts, and galaxy clusters that bends the light coming from behind-lying galaxies more than expected with respect to the mass that can be calculated from what can be visibly seen. These observations, among many others, can be explained with theories that include DM. The missing piece is to detect something that can exclusively be explained by DM. Direct observation in a particle accelerator is one way and indirect detection using telescopes is another. This thesis is focused on the latter method. The Very Energetic Radiation Imaging Telescope Array System, V ERITAS, is a telescope array that detects Cherenkov radiation. Theory predicts that DM particles annihilate into, e.g., a γγ pair and create a distinctive energy spectrum when detected by such telescopes, e.i., a monoenergetic line at the same energy as the particle mass. This so called "smoking-gun" signature is sought with a sliding window line search within the sub-range ∼ 0.3 - 10 TeV of the VERITAS energy range, ∼ 0.01 - 30 TeV. Standard analysis within the VERITAS collaboration uses Hillas analysis and look-up tables, acquired by analysing particle simulations, to calculate the energy of the particle causing the Cherenkov shower. In this thesis, an improved analysis method has been used. Modelling each shower as a 3Dgaussian should increase the energy recreation quality. Five dwarf spheroidal galaxies were chosen as targets with a total of ∼ 224 hours of data. The targets were analysed individually and stacked. Particle simulations were based on two simulation packages, CARE and GrISU. Improvements have been made to the energy resolution and bias correction, up to a few percent each, in comparison to standard analysis. Nevertheless, no line with a relevant significance has been detected. The most promising line is at an energy of ∼ 422 GeV with an upper limit cross section of 8.10 · 10^-24 cm^3 s^-1 and a significance of ∼ 2.73 σ, before trials correction and ∼ 1.56 σ after. Upper limit cross sections have also been calculated for the γγ annihilation process and four other outcomes. The limits are in line with current limits using other methods, from ∼ 8.56 · 10^-26 - 6.61 · 10^-23 cm^3s^-1. Future larger telescope arrays, like the upcoming Cherenkov Telescope Array, CTA, will provide better results with the help of this analysis method.}, language = {en} } @phdthesis{Jennerich2017, author = {Jennerich, Christian}, title = {Lebensweltliche Erfahrungen und kollektive Zuschreibungen bei Bildungsausl{\"a}ndern}, publisher = {Universit{\"a}tsverlag Potsdam}, isbn = {978-3-86956-409-8}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-398991}, school = {Universit{\"a}t Potsdam}, pages = {214}, year = {2017}, abstract = {In der vorliegenden Dissertation werden lebensweltliche Erfahrungszusammenh{\"a}nge in 128 Aufs{\"a}tzen ausl{\"a}ndischer Studierender, die oft auch als Bildungsausl{\"a}nder bezeichnet werden, und grunds{\"a}tzliche Prozesse bei der Herausbildung sowie Ver{\"a}nderung kollektiver Zuschreibungen im Rahmen der sozialen Identit{\"a}tsbildung hermeneutisch untersucht. Mit Hilfe der nach der empirischen Methode der Grounded Theory kodierten Interpretationsergebnisse werden in der qualitativen L{\"a}ngsschnittstudie Vergleiche angestellt, sowohl fallintern als auch fall{\"u}bergreifend, um Muster zu entdecken, Typologien zu konstruieren und die jeweiligen (kulturellen) Horizonte in den Aufs{\"a}tzen zu verallgemeinern. Neben der Grounded Theory bildet die Theorie der „allt{\"a}glichen Lebenswelt" (Alfred Sch{\"u}tz) eine Basis der Herangehensweise an die Untersuchung der Aufs{\"a}tze. In diesem Kontext wird ausgehend von der graduellen Unterteilung der Fremdheit in allt{\"a}gliche, strukturelle und radikale Fremdheit sowie ausgehend von Goffmans Identit{\"a}tskonzept der Frage nachgegangen, inwieweit sich in den untersuchten Texten die Bildung und Ver{\"a}nderung sozialer Identit{\"a}ten feststellen lassen. Dabei werden Akkulturationsprozesse und Prozesse der Selbstidentifikation, bez{\"u}glich einer angenommenen Gemeinschaft, analysiert, die von kollektiven (kulturellen) Schemata bestimmt sind. In diesem Zusammenhang kann die vorliegende Dissertation zeigen, dass sich bestimmte kulturelle Schemata in der Auseinandersetzung mit dem vormals neuen Leben in Deutschland herausgebildet haben und bestimmte {\"a}ltere Erfahrungen immer wieder zur Best{\"a}tigung dieser Bilder bzw. Erfahrungsschemata herangezogen und wie der Abdruck in Gestein fossiliert werden.}, language = {de} } @phdthesis{John2017, author = {John, Daniela}, title = {Herstellung anisotroper Kolloide mittels templatgesteuerter Assemblierung und Kontaktdruckverfahren}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-398270}, school = {Universit{\"a}t Potsdam}, pages = {xiii, 122, XVII}, year = {2017}, abstract = {Diese Arbeit befasste sich mit neuen Konzepten zur Darstellung anisotroper Partikelsysteme durch Anordnung von funktionalisierten Partikeln unter Zuhilfenahme etablierter Methoden wie der templatgest{\"u}tzten Assemblierung von Partikeln und dem Mikrokontaktdruck. Das erste Teilprojekt besch{\"a}ftigte sich mit der kontrollierten Herstellung von Faltenstrukturen im Mikro- bis Nanometerbereich. Die Faltenstrukturen entstehen durch die Relaxation eines Systems bestehend aus zwei {\"u}bereinander liegender Schichten unterschiedlicher Elastizit{\"a}t. In diesem Fall wurden Falten auf einem elastischen PDMS-Substrat durch Generierung einer Oxidschicht auf der Substratoberfl{\"a}che mittels Plasmabehandlung erzeugt. Die Dicke der Oxidschicht, die {\"u}ber verschiedene Parameter wie Behandlungszeit, Prozessleistung, Partialdruck des plasmaaktiven Gases, Vernetzungsgrad, Deformation sowie Substratdicke einstellbar war, bestimmte Wellenl{\"a}nge und Amplitude der Falten. Das zweite Teilprojekt hatte die Darstellung komplexer, kolloidaler Strukturen auf Basis supramolekularer Wechselwirkungen zum Ziel. Dazu sollte vor allem die templatgest{\"u}tzte Assemblierung von Partikeln sowohl an fest-fl{\"u}ssig als auch fl{\"u}ssig-fl{\"u}ssig Grenzfl{\"a}chen genutzt werden. F{\"u}r Erstere sollten die in Teilprojekt 1 hergestellten Faltenstrukturen als Templat, f{\"u}r Letztere Pickering-Emulsionen zur Anwendung kommen. Im ersten Fall wurden verschiedene, modifizierte Silicapartikel und Magnetitnanopartikel, deren Gr{\"o}ße und Oberfl{\"a}chenfunktionalit{\"a}t (Cyclodextrin-, Azobenzol- und Arylazopyrazolgruppen) variierte, in Faltenstrukturen angeordnet. Die Anordnung hing dabei nicht nur vom gew{\"a}hlten Verfahren, sondern auch von Faktoren wie der Partikelkonzentration, der Oberfl{\"a}chenladung oder dem Gr{\"o}ßenverh{\"a}ltnis der Partikel zur Faltengeometrie ab. Die Kombination von Cyclodextrin (CD)- und Arylazopyrazol-modifizierten Partikeln erm{\"o}glichte, auf Basis einer Wirt-Gast-Wechselwirkung zwischen den Partikeltypen und einer templatgesteuerten Anordnung, die Bildung komplexer und strukturierter Formen in der Gr{\"o}ßenordnung mehrerer Mikrometer. Dieses System kann einerseits als Grundlage f{\"u}r die Herstellung verschiedener Janus-Partikel herangezogen werden, andererseits stellt die gerichtete Vernetzung zweier Partikelsysteme zu gr{\"o}ßeren Aggregaten den Grundstein f{\"u}r neuartige, funktionale Materialien dar. Neben der Anordnung an fest-fl{\"u}ssig Grenzfl{\"a}chen konnte außerdem nachgewiesen werden, dass Azobenzol-funktionalisierte Silicapartikel in der Lage sind, Pickering-Emulsionen {\"u}ber mehrere Monate zu stabilisieren. Die Stabilit{\"a}t und Gr{\"o}ße der Emulsionsphase kann {\"u}ber Parameter, wie das Volumenverh{\"a}ltnis und die Konzentration, gesteuert werden. CD-funktionalisierte Silicapartikel besaßen dagegen keine Grenzfl{\"a}chenaktivit{\"a}t, w{\"a}hrend es CD-basierten Polymeren wiederum m{\"o}glich war, durch die Ausbildung von Einschlusskomplexen mit den hydrophoben Molek{\"u}len der {\"O}lphase stabile Emulsionen zu bilden. Dagegen zeigte die Kombination zwei verschiedener Partikelsysteme keinen oder einen destabilisierenden Effekt bez{\"u}glich der Ausbildung von Emulsionen. Im letzten Teilprojekt wurde die Herstellung multivalenter Silicapartikel mittels Mikrokontaktdruck untersucht. Die Faltenstrukturen wurden dabei als Stempel verwendet, wodurch es m{\"o}glich war, die Patch-Geometrie {\"u}ber die Wellenl{\"a}nge der Faltenstrukturen zu steuern. Als Tinte diente das positiv geladene Polyelektrolyt Polyethylenimin (PEI), welches {\"u}ber elektrostatische Wechselwirkungen auf unmodifizierten Silicapartikeln haftet. Im Gegensatz zum Drucken mit flachen Stempeln fiel dabei zun{\"a}chst auf, dass sich die Tinte bei den Faltenstrukturen nicht gleichm{\"a}ßig {\"u}ber die gesamte Substratfl{\"a}che verteilt, sondern haupts{\"a}chlich in den Faltent{\"a}lern vorlag. Dadurch handelte es sich bei dem Druckprozess letztlich nicht mehr um ein klassisches Mikrokontaktdruckverfahren, sondern um ein Tiefdruckverfahren. {\"U}ber das Tiefdruckverfahren war es dann aber m{\"o}glich, sowohl eine als auch beide Partikelhemisph{\"a}ren gleichzeitig und mit verschiedenen Funktionalit{\"a}ten zu modifizieren und somit multivalente Silicapartikel zu generieren. In Abh{\"a}ngigkeit der Wellenl{\"a}nge der Falten konnten auf einer Partikelhemisph{\"a}re zwei bis acht Patches abgebildet werden. F{\"u}r die Patch-Geometrie, sprich Gr{\"o}ße und Form der Patches, spielten zudem die Konzentration der Tinte auf dem Stempel, das L{\"o}sungsmittel zum Abl{\"o}sen der Partikel nach dem Drucken sowie die Stempelh{\"a}rte eine wichtige Rolle. Da die Stempelh{\"a}rte aufgrund der variierenden Dicke der Oxidschicht bei verschiedenen Wellenl{\"a}ngen nicht kontant ist, wurden f{\"u}r den Druckprozess meist Abg{\"u}sse der Faltensubstrate verwendet. Auf diese Weise war auch die Vergleichbarkeit bei variierender Wellenl{\"a}nge gew{\"a}hrleistet. Neben dem erfolgreichen Nachweis der Modifikation mittels Tiefdruckverfahren konnte auch gezeigt werden, dass {\"u}ber die Komplexierung mit PEI negativ geladene Nanopartikel auf die Partikeloberfl{\"a}che aufgebracht werden k{\"o}nnen.}, language = {de} } @phdthesis{Jordan2017, author = {Jordan, Thomas}, title = {CxNy-materials from supramolecular precursors for "All-Carbon" composite materials}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-398855}, school = {Universit{\"a}t Potsdam}, pages = {157}, year = {2017}, abstract = {Among modern functional materials, the class of nitrogen-containing carbons combines non-toxicity and sustainability with outstanding properties. The versatility of this materials class is based on the opportunity to tune electronic and catalytic properties via the nitrogen content and -motifs: This ranges from the electronically conducting N-doped carbon, where few carbon atoms in the graphitic lattice are substituted by nitrogen, to the organic semiconductor graphitic carbon nitride (g-C₃N₄), with a structure based on tri-s-triazine units. In general, composites can reveal outstanding catalytic properties due to synergistic behavior, e.g. the formation of electronic heterojunctions. In this thesis, the formation of an "all-carbon" heterojunction was targeted, i.e. differences in the electronic properties of the single components were achieved by the introduction of different nitrogen motives into the carbon lattice. Such composites are promising as metal-free catalysts for the photocatalytic water splitting. Here, hydrogen can be generated from water by light irradiation with the use of a photocatalyst. As first part of the heterojunction, the organic semiconductor g-C₃N₄ was employed, because of its suitable band structure for photocatalytic water splitting, high stability and non-toxicity. The second part was chosen as C₂N, a recently discovered semiconductor. Compared to g-C₃N₄, the less nitrogen containing C₂N has a smaller band gap and a higher absorption coefficient in the visible light range, which is expected to increase the optical absorption in the composite eventually leading to an enhanced charge carrier separation due to the formation of an electronic heterojunction. The aim of preparing an "all-carbon" composite included the research on appropriate precursors for the respective components g-C₃N₄ and C₂N, as well as strategies for appropriate structuring. This was targeted by applying precursors which can form supramolecular pre-organized structures. This allows for more control over morphology and atom patterns during the carbonization process. In the first part of this thesis, it was demonstrated how the photocatalytic activity of g-C₃N₄ can be increased by the targeted introduction of defects or surface terminations. This was achieved by using caffeine as a "growth stopping" additive during the formation of the hydrogen-bonded supramolecular precursor complexes. The increased photocatalytic activity of the obtained materials was demonstrated with dye degradation experiments. The second part of this thesis was focused on the synthesis of the second component C₂N. Here, a deep eutectic mixture from hexaketocyclohexane and urea was structured using the biopolymer chitosan. This scaffolding resulted in mesoporous nitrogen-doped carbon monoliths and beads. CO₂- and dye-adsorption experiments with the obtained monolith material revealed a high isosteric heat of CO₂-adsorption and showed the accessibility of the monolithic pore system to larger dye molecules. Furthermore, a novel precursor system for C₂N was explored, based on organic crystals from squaric acid and urea. The respective C₂N carbon with an unusual sheet-like morphology could be synthesized by carbonization of the crystals at 550 °C. With this precursor system, also microporous C₂N carbon with a BET surface area of 865 m²/g was obtained by "salt-templating" with ZnCl₂. Finally, the preparation of a g-C₃N₄/C₂N "all carbon" composite heterojunction was attempted by the self-assembly of g-C₃N₄ and C₂N nanosheets and tested for photocatalytic water splitting. Indeed, the composites revealed high rates of hydrogen evolution when compared to bulk g-C₃N₄. However, the increased catalytic activity was mainly attributed to the high surface area of the nanocomposites rather than to the composition. With regard to alternative composite synthesis ways, first experiments indicated N-Methyl-2-pyrrolidon to be suitable for higher concentrated dispersion of C₂N nanosheets. Eventually, the results obtained in this thesis provide precious synthetic contributions towards the preparation and processing of carbon/nitrogen compounds for energy applications.}, language = {en} } @phdthesis{Kaliga2017, author = {Kaliga, Sarah Ninette}, title = {Eine Frage der Zeit. Wie Einfl{\"u}sse individueller Merkmale auf Einkommen bei Frauen {\"u}ber ihre famili{\"a}ren Verpflichtungen vermittelt werden}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-407353}, school = {Universit{\"a}t Potsdam}, pages = {259}, year = {2017}, abstract = {Die vorliegende Arbeit mit dem Titel „Eine Frage der Zeit. Wie Einfl{\"u}sse individueller Merkmale auf Einkommen bei Frauen {\"u}ber ihre famili{\"a}ren Verpflichtungen vermittelt werden" geht der Frage der Heterogenit{\"a}t bei weiblichen Einkommensergebnissen nach. Dabei steht die Thematik der individuellen Investitionen in die famili{\"a}re Arbeit als erkl{\"a}render Faktor im Vordergrund und es wird der Frage nachgegangen, warum die einen Frauen viele und andere weniger h{\"a}usliche Verpflichtungen {\"u}bernehmen. Hierf{\"u}r werden das individuelle Humankapital der Frauen, ihre Werteorientierungen und individuelle berufliche Motivationen aus der Jugendzeit und im Erwachsenenalter herangezogen. Die analysierten Daten (Daten der LifE-Studie) repr{\"a}sentieren eine Langzeitperspektive vom 16. bis zum 45. Lebensjahr der befragten Frauen. Zusammenfassend kann im Ergebnis gezeigt werden, dass ein Effekt famili{\"a}rer Verpflichtungen auf Einkommensergebnisse bei Frauen im fr{\"u}hen und mittleren Erwachsenenalter als Zeiteffekt {\"u}ber die investierte Erwerbsarbeitszeit vermittelt wird. Die Relevanz privater Routinearbeiten f{\"u}r Berufserfolge von Frauen und insbesondere M{\"u}ttern stellt somit eine Frage der Zeit dar. Weiterhin kann f{\"u}r individuelle Einfl{\"u}sse auf Einkommen bei Frauen gezeigt werden, dass h{\"o}here zeitliche Investitionen in den Beruf von Frauen mit hohem Bildungsniveau als indirect-only-Mediation nur {\"u}ber die Umverteilung h{\"a}uslicher Arbeiten erkl{\"a}rbar werden. Frauen sind demnach zwar Gewinnerinnen der Bildungsexpansion. Die Bildungsexpansion stellt jedoch auch die Geschichte der Entstehung eines Vereinbarkeitskonflikts f{\"u}r eben diese Frauen dar, weil die bis heute virulenten Beharrungskr{\"a}fte hinsichtlich der Frauen zugeschriebenen famili{\"a}ren Verpflichtungen mit ihren gestiegenen beruflichen Erwartungen und Chancen kollidieren. Die Arbeit leistet in ihren Analyseresultaten einen wichtigen Beitrag zur Erkl{\"a}rung heterogener Investitionen von Frauen in den Beruf und ihrer Einkommensergebnisse aus dem Privaten heraus.}, language = {de} } @phdthesis{Kasch2017, author = {Kasch, Juliane}, title = {Impact of maternal high-fat consumption on offspring exercise performance, skeletal muscle energy metabolism, and obesity susceptibility}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-409703}, school = {Universit{\"a}t Potsdam}, pages = {XII, 95, XXV}, year = {2017}, abstract = {Background: Obesity is thought to be the consequence of an unhealthy nutrition and a lack of physical activity. Although the resulting metabolic alterations such as impaired glucose homeostasis and insulin sensitivity can usually be improved by physical activity, some obese patients fail to enhance skeletal muscle metabolic health with exercise training. Since this might be largely heritable, maternal nutrition during pregnancy and lactation is hypothesized to impair offspring skeletal muscle physiology. Objectives: This PhD thesis aims to investigate the consequences of maternal high-fat diet (mHFD) consumption on offspring skeletal muscle physiology and exercise performance. We could show that maternal high-fat diet during gestation and lactation decreases the offspring's training efficiency and endurance performance by influencing the epigenetic profile of their skeletal muscle and altering the adaptation to an acute exercise bout, which in long-term, increases offspring obesity susceptibility. Experimental setup: To investigate this issue in detail, we conducted several studies with a similar maternal feeding regime. Dams (C57BL/6J) were either fed a low-fat diet (LFD; 10 energy\% from fat) or high-fat diet (HFD; 40 energy\% from fat) during pregnancy and lactation. After weaning, male offspring of both maternal groups were switched to a LFD, on which they remained until sacrifice in week 6, 15 or 25. In one study, LFD feeding was followed by HFD provision from week 15 until week 25 to elucidate the effects on offspring obesity susceptibility. In week 7, all mice were randomly allocated to a sedentary group (without running wheel) or an exercised group (with running wheel for voluntary exercise training). Additionally, treadmill endurance tests were conducted to investigate training performance and efficiency. In order to uncover regulatory mechanisms, each study was combined with a specific analytical setup, such as whole genome microarray analysis, gene and protein expression analysis, DNA methylation analyses, and enzyme activity assays. Results: mHFD offspring displayed a reduced training efficiency and endurance capacity. This was not due to an altered skeletal muscle phenotype with changes in fiber size, number, and type. DNA methylation measurements in 6 week old offspring showed a hypomethylation of the Nr4a1 gene in mHFD offspring leading to an increased gene expression. Since Nr4a1 plays an important role in the regulation of skeletal muscle energy metabolism and early exercise adaptation, this could affect offspring training efficiency and exercise performance in later life. Investigation of the acute response to exercise showed that mHFD offspring displayed a reduced gene expression of vascularization markers (Hif1a, Vegfb, etc) pointing towards a reduced angiogenesis which could possibly contribute to their reduced endurance capacity. Furthermore, an impaired glucose utilization of skeletal muscle during the acute exercise bout by an impaired skeletal muscle glucose handling was evidenced by higher blood glucose levels, lower GLUT4 translocation and diminished Lactate dehydrogenase activity in mHFD offspring immediately after the endurance test. These points towards a disturbed use of glucose as a substrate during endurance exercise. Prolonged HFD feeding during adulthood increases offspring fat mass gain in mHFD offspring compared to offspring from low-fat fed mothers and also reduces their insulin sensitivity pointing towards a higher obesity and diabetes susceptibility despite exercise training. Consequently, mHFD reduces offspring responsiveness to the beneficial effects of voluntary exercise training. Conclusion: The results of this PhD thesis demonstrate that mHFD consumption impairs the offspring's training efficiency and endurance capacity, and reduced the beneficial effects of exercise on the development of diet-induced obesity and insulin resistance in the offspring. This might be due to changes in skeletal muscle epigenetic profile and/or an impaired skeletal muscle angiogenesis and glucose utilization during an acute exercise bout, which could contribute to a disturbed adaptive response to exercise training.}, language = {en} } @phdthesis{Kayser2017, author = {Kayser, Markus}, title = {Wechselwirkung der atmosph{\"a}rischen Grenzschicht mit synoptisch-skaligen Prozessen w{\"a}hrend der N-ICE2015 Kampagne}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-411124}, school = {Universit{\"a}t Potsdam}, pages = {147}, year = {2017}, abstract = {Die Arktis erw{\"a}rmt sich schneller als der Rest der Erde. Die Auswirkungen manifestieren sich unter Anderem in einer verst{\"a}rkten Erw{\"a}rmung der arktischen Grenzschicht. Diese Arbeit befasst sich mit Wechselwirkungen zwischen synoptischen Zyklonen und der arktischen Atmosph{\"a}re auf lokalen bis {\"u}berregionalen Skalen. Ausgangspunkt daf{\"u}r sind Messdaten und Modellsimulationen f{\"u}r den Zeitraum der N-ICE2015 Expedition, die von Anfang Januar bis Ende Juni 2015 im arktischen Nordatlantiksektor stattgefunden hat. Anhand von Radiosondenmessungen lassen sich Auswirkungen von synoptischen Zyklonen am deutlichsten im Winter erkennen, da sie durch die Advektion warmer und feuchter Luftmassen in die Arktis den Zustand der Atmosph{\"a}re von einem strahlungs-klaren in einen strahlungs-opaken {\"a}ndern. Obwohl dieser scharfe Kontrast nur im Winter existiert, zeigt die Analyse, dass der integrierte Wasserdampf als Indikator f{\"u}r die Advektion von Luftmassen aus niedrigen Breiten in die Arktis auch im Fr{\"u}hjahr geeignet ist. Neben der Advektion von Luftmassen wird der Einfluss der Zyklonen auf die statische Stabilit{\"a}t charakterisiert. Beim Vergleich der N-ICE2015 Beobachtungen mit der SHEBA Kampagne (1997/1998), die {\"u}ber dickerem Eis stattfand, finden sich trotz der unterschiedlichen Meereisregime {\"A}hnlichkeiten in der statischen Stabilit{\"a}t der Atmosph{\"a}re. Die beobachteten Differenzen in der Stabilit{\"a}t lassen sich auf Unterschiede in der synoptischen Aktivit{\"a}t zur{\"u}ckf{\"u}hren. Dies l{\"a}sst vermuten, dass die d{\"u}nnere Eisdecke auf saisonalen Zeitskalen nur einen geringen Einfluss auf die thermodynamische Struktur der arktischen Troposph{\"a}re besitzt, solange eine dicke Schneeschicht sie bedeckt. Ein weiterer Vergleich mit den parallel zur N-ICE2015 Kampagne gestarteten Radiosonden der AWIPEV Station in Ny-{\AA}esund, Spitzbergen, macht deutlich, dass die synoptischen Zyklonen oberhalb der Orographie auf saisonalen Zeitskalen das Wettergeschehen bestimmen. Des Weiteren werden f{\"u}r Februar 2015 die Auswirkungen von in der Vertikalen variiertem Nudging auf die Entwicklung der Zyklonen am Beispiel des hydrostatischen regionalen Klimamodells HIRHAM5 untersucht. Es zeigt sich, dass die Unterschiede zwischen den acht Modellsimulationen mit abnehmender Anzahl der genudgten Level zunehmen. Die gr{\"o}ßten Differenzen resultieren vornehmlich aus dem zeitlichen Versatz der Entwicklung synoptischer Zyklonen. Zur Korrektur des Zeitversatzes der Zykloneninitiierung gen{\"u}gt es bereits, Nudging in den unterstem 250 m der Troposph{\"a}re anzuwenden. Daneben findet sich zwischen den genudgten HIRHAM5-Simulation und den in situ Messungen der gleiche positive Temperaturbias, den auch ERA-Interim besitzt. Das freie HIRHAM hingegen reproduziert das positive Ende der N-ICE2015 Temperaturverteilung gut, besitzt aber einen starken negativen Bias, der sehr wahrscheinlich aus einer Untersch{\"a}tzung des Feuchtegehalts resultiert. An Beispiel einer Zyklone wird gezeigt, dass Nudging Einfluss auf die Lage der H{\"o}hentiefs besitzt, die ihrerseits die Zyklonenentwicklung am Boden beeinflussen. Im Weiteren wird mittels eines f{\"u}r kleine Ensemblegr{\"o}ßen geeigneten Varianzmaßes eine statistische Einsch{\"a}tzung der Wirkung des Nudgings auf die Vertikale getroffen. Es wird festgestellt, dass die {\"A}hnlichkeit der Modellsimulationen in der unteren Troposph{\"a}re generell h{\"o}her ist als dar{\"u}ber und in 500 hPa ein lokales Minimum besitzt. Im letzten Teil der Analyse wird die Wechselwirkung der oberen und unteren Stratosph{\"a}re anhand zuvor betrachteter Zyklonen mit Daten der ERA-Interim Reanalyse untersucht. Lage und Ausrichtung des Polarwirbels erzeugten ab Anfang Februar 2015 eine ungew{\"o}hnlich große Meridionalkomponente des Tropopausenjets, die Zugbahnen in die zentrale Arktis beg{\"u}nstigte. Am Beispiel einer Zyklone wird die {\"U}bereinstimmung der synoptischen Entwicklung mit den theoretischen Annahmen {\"u}ber den abw{\"a}rts gerichteten Einfluss der Stratosph{\"a}re auf die Troposph{\"a}re hervorgehoben. Dabei spielt die nicht-lineare Wechselwirkung zwischen der Orographie Gr{\"o}nlands, einer Intrusion stratosph{\"a}rischer Luft in die Troposph{\"a}re sowie einer in Richtung Arktis propagierender Rossby-Welle eine tragende Rolle. Als Indikator dieser Wechselwirkung werden horizontale Signaturen aus abwechselnd aufsteigender und absinkender Luft innerhalb der Troposph{\"a}re identifiziert.}, language = {de} } @phdthesis{Kellermann2017, author = {Kellermann, Patric}, title = {Assessing natural risks for railway infrastructure and transportation in Austria}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-103877}, school = {Universit{\"a}t Potsdam}, pages = {x, 113}, year = {2017}, abstract = {Natural hazards can have serious societal and economic impacts. Worldwide, around one third of economic losses due to natural hazards are attributable to floods. The majority of natural hazards are triggered by weather-related extremes such as heavy precipitation, rapid snow melt, or extreme temperatures. Some of them, and in particular floods, are expected to further increase in terms of frequency and/or intensity in the coming decades due to the impacts of climate change. In this context, the European Alps areas are constantly disclosed as being particularly sensitive. In order to enhance the resilience of societies to natural hazards, risk assessments are substantial as they can deliver comprehensive risk information to be used as a basis for effective and sustainable decision-making in natural hazards management. So far, current assessment approaches mostly focus on single societal or economic sectors - e.g. flood damage models largely concentrate on private-sector housing - and other important sectors, such as the transport infrastructure sector, are widely neglected. However, transport infrastructure considerably contributes to economic and societal welfare, e.g. by ensuring mobility of people and goods. In Austria, for example, the national railway network is essential for the European transit of passengers and freights as well as for the development of the complex Alpine topography. Moreover, a number of recent experiences show that railway infrastructure and transportation is highly vulnerable to natural hazards. As a consequence, the Austrian Federal Railways had to cope with economic losses on the scale of several million euros as a result of flooding and other alpine hazards. The motivation of this thesis is to contribute to filling the gap of knowledge about damage to railway infrastructure caused by natural hazards by providing new risk information for actors and stakeholders involved in the risk management of railway transportation. Hence, in order to support the decision-making towards a more effective and sustainable risk management, the following two shortcomings in natural risks research are approached: i) the lack of dedicated models to estimate flood damage to railway infrastructure, and ii) the scarcity of insights into possible climate change impacts on the frequency of extreme weather events with focus on future implications for railway transportation in Austria. With regard to flood impacts to railway infrastructure, the empirically derived damage model Railway Infrastructure Loss (RAIL) proved expedient to reliably estimate both structural flood damage at exposed track sections of the Northern Railway and resulting repair cost. The results show that the RAIL model is capable of identifying flood risk hot spots along the railway network and, thus, facilitates the targeted planning and implementation of (technical) risk reduction measures. However, the findings of this study also show that the development and validation of flood damage models for railway infrastructure is generally constrained by the continuing lack of detailed event and damage data. In order to provide flood risk information on the large scale to support strategic flood risk management, the RAIL model was applied for the Austrian Mur River catchment using three different hydraulic scenarios as input as well as considering an increased risk aversion of the railway operator. Results indicate that the model is able to deliver comprehensive risk information also on the catchment level. It is furthermore demonstrated that the aspect of risk aversion can have marked influence on flood damage estimates for the study area and, hence, should be considered with regard to the development of risk management strategies. Looking at the results of the investigation on future frequencies of extreme weather events jeopardizing railway infrastructure and transportation in Austria, it appears that an increase in intense rainfall events and heat waves has to be expected, whereas heavy snowfall and cold days are likely to decrease. Furthermore, results indicate that frequencies of extremes are rather sensitive to changes of the underlying thresholds. It thus emphasizes the importance to carefully define, validate, and — if needed — to adapt the thresholds that are used to detect and forecast meteorological extremes. For this, continuous and standardized documentation of damaging events and near-misses is a prerequisite. Overall, the findings of the research presented in this thesis agree on the necessity to improve event and damage documentation procedures in order to enable the acquisition of comprehensive and reliable risk information via risk assessments and, thus, support strategic natural hazards management of railway infrastructure and transportation.}, language = {en} } @phdthesis{KianiAlibagheri2017, author = {Kiani Alibagheri, Bahareh}, title = {On structural properties of magnetosome chains}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-398849}, school = {Universit{\"a}t Potsdam}, pages = {XIV, 117}, year = {2017}, abstract = {Magnetotaktische Bakterien besitzen eine intrazellul{\"a}re Struktur, die Magnetosomenkette genannt wird. Magnetosomenketten enthalten Nanopartikel von Eisenkristallen, die von einer Membran umschlossen und entlang eines Zytoskelettfilaments ausgerichtet sind. Dank der Magnetosomenkette ist es magnetotaktischen Bakterien m{\"o}glich sich in Magnetfeldern auszurichten und entlang magnetischer Feldlinien zu schwimmen. Die ausf{\"u}hrliche Untersuchung der strukturellen Eigenschaften der Magnetosomenkette in magnetotaktischen Bakterien sind von grundlegendem wissenschaftlichen Interesse, weil sie Einblicke in die Anordnung des Zytoskeletts von Bakterien erlauben. In dieser Studie haben wir ein neues theoretisches Modell entwickelt, dass sich dazu eignet, die strukturellen Eigenschaften der Magnetosomenketten in magnetotaktischen Bakterien zu erforschen. Zuerst wenden wir uns der Biegesteifigkeit von Magnetosomenketten zu, die von zwei Faktoren beeinflusst wird: Die magnetische Wechselwirkung der Magnetosomenpartikel und der Biegesteifigkeit des Zytoskelettfilaments auf welchem die Magnetosome verankert sind. Unsere Analyse zeigt, dass sich die lineare Konfiguration von Magnetosomenpartikeln ohne die Stabilisierung durch das Zytoskelett zu einer ring{\"o}rmigen Struktur biegen w{\"u}rde, die kein magnetisches Moment aufweist und daher nicht die Funktion eines Kompass in der zellul{\"a}ren Navigation einnehmen k{\"o}nnte. Wir schlussfolgern, dass das Zytoskelettfilament eine stabilisierende Wirkung auf die lineare Konfiguration hat und eine ringf{\"o}rmige Anordnung verhindert. Wir untersuchen weiter die Gleichgewichtskonfiguration der Magnetosomenpartikel in einer linearen Kette und in einer geschlossenen ringf{\"o}rmigen Struktur. Dabei beobachteten wir ebenfalls, dass f{\"u}r eine stabile lineare Anordnung eine Bindung an ein Zytoskelettfilament notwendig ist. In einem externen magnetischen Feld wird die Stabilit{\"a}t der Magnetosomenketten durch die Dipol-Dipol-Wechselwirkung, {\"u}ber die Steifheit und die Bindungsenergie der Proteinstruktur, die die Partikel des Magnetosomen mit dem Filament verbinden, erreicht. Durch Beobachtungen w{\"a}hrend und nach der Behandlung einer Magnetosomenkette mit einem externen magnetischen Feld, l{\"a}sst sich begr{\"u}nden, dass die Stabilisierung von Magnetosomenketten durch Zytoskelettfilamente {\"u}ber proteinhaltige Bindeglieder und die dynamischen Eigenschaften dieser Strukturen realisiert wird. Abschließend wenden wir unser Modell bei der Untersuchung von ferromagnetischen Resonanz-Spektren von Magnetosomenketten in einzelnen Zellen von magnetotaktischen Bakterien an. Wir erforschen den Effekt der magnetokristallinen Anistropie in ihrer dreifach-Symmetrie, die in ferromagnetischen Ressonanz Spektren beobachtet wurden und die Besonderheit von verschiedenen Spektren, die bei Mutanten dieser Bakterien auftreten.}, language = {en} } @phdthesis{Kirsch2017, author = {Kirsch, Fabian}, title = {Intrapersonal risk factors of aggressive behavior in childhood}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-407369}, school = {Universit{\"a}t Potsdam}, pages = {X, 182}, year = {2017}, abstract = {BACKGROUND: Aggressive behavior at an early age is linked to a broad range of psychosocial problems in later life. That is why risk factors of the occurrence and the development of aggression have been examined for a long time in psychological science. The present doctoral dissertation aims to expand this research by investigating risk factors in three intrapersonal domains using the prominent social-information processing approach by Crick and Dodge (1994) as a framework model. Anger regulation was examined as an affective, theory of mind as a cognitive, and physical attractiveness as an appearance-related developmental factor of aggression in middle childhood. An additional goal of this work was to develop and validate a behavioral observation assessment of anger regulation as past research lacked in ecologically valid measures of anger regulation that are applicable for longitudinal studies. METHODS: Three empirical studies address the aforementioned intrapersonal risk factors. In each study, data from the PIER-project were used, a three-wave-longitudinal study covering three years with a total sample size of 1,657 children in the age between 6 and 11 years (at the first measurement point). The central constructs were assessed via teacher-reports (aggression), behavioral observation (anger regulation), computer tests (theory of mind), and independent ratings (physical attractiveness). The predictive value of each proposed risk factor for the development of aggressive behavior was examined via structural equation modeling. RESULTS AND CONCLUSION: The newly developed behavioral observation measure was found to be a reliable and valid tool to assess anger regulation in middle childhood, but limited in capturing a full range of relevant regulation strategies. That might be the reason, why maladaptive anger regulation was not found to function as a risk factor of subsequent aggressive behavior. However, children's deficits in theory of mind and a low level in physical attractiveness significantly predicted later aggression. Problematic peer relationships were identified as underlying the link between low attractiveness and aggression. Thus, fostering children's skills in theory of mind and their ability to call existing beliefs about the nature of more versus less attractive individuals into question may be important starting points for the prevention of aggressive behavior in middle childhood.}, language = {en} } @phdthesis{Korzeniowska2017, author = {Korzeniowska, Karolina}, title = {Object-based image analysis for detecting landforms diagnostic of natural hazards}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-402240}, school = {Universit{\"a}t Potsdam}, pages = {XV, 139}, year = {2017}, abstract = {Natural and potentially hazardous events occur on the Earth's surface every day. The most destructive of these processes must be monitored, because they may cause loss of lives, infrastructure, and natural resources, or have a negative effect on the environment. A variety of remote sensing technologies allow the recoding of data to detect these processes in the first place, partly based on the diagnostic landforms that they form. To perform this effectively, automatic methods are desirable. Universal detection of natural hazards is challenging due to their differences in spatial impacts, timing and longevity of consequences, and the spatial resolution of remote-sensing data. Previous studies have reported that topographic metrics such as roughness, which can be captured from digital elevation data, can reveal landforms diagnostic of natural hazards, such as gullies, dunes, lava fields, landslides and snow avalanches, as these landforms tend to be more heterogeneous than the surrounding landscape. A single roughness metric is often limited in such detections; however, a more complex approach that exploits the spatial relation and the location of objects, such as object-based image analysis (OBIA), is desirable. In this thesis, I propose a topographic roughness measure derived from an airborne laser scanning (ALS) digital terrain model (DTM) and discuss its performance in detecting landforms principally diagnostic of natural hazards. I further develop OBIA-based algorithms for the detection of snow avalanches using near-infrared (NIR) aerial images, and the size (changes) of mountain lakes using LANDSAT satellite images. I quantitatively test and document how the level of difficulty in detecting these very challenging landforms depends on the input data resolution, the derivatives that could be evaluated from images and DTMs, the size, shape and complexity of landforms, and the capabilities of obtaining the information in the data. I demonstrate that surface roughness is a promising metric for detecting different landforms in diverse environments, and that OBIA assists significantly in detecting parts of lakes and snow avalanches that may not be correctly assigned by applying only the thresholding of spectral properties of data and their derivatives. The curvature-based surface roughness parameter allows the detection of gullies, dunes, lava fields and landslides with a user's accuracy of 0.63, 0.21, 0.53, and 0.45, respectively. The OBIA algorithms for detecting lakes and snow avalanches obtained user's accuracy of 0.98, and 0.78, respectively. Most of the analysed landforms constituted only a small part of the entire dataset, and therefore the user's accuracy is the most appropriate performance measure that should be given in a such classification, because it tells how many automatically-extracted pixels in fact represent the object that one wants to classify, and its calculation does not take the second (background) class into account. One advantage of the proposed roughness parameter is that it allows the extraction of the heterogeneity of the surface without the need for data detrending. The OBIA approach is novel in that it allows the classification of lakes regardless of the physical state of their water, and also allows the separation of frozen lakes from glaciers that have very similar water indices used in purely optical remote sensing applications. The algorithm proposed for snow avalanches allows the detection of release zones, tracks, and deposition zones by verifying the snow heterogeneity based on a roughness metric evaluated from a water index, and by analysing the local relation of segments with their neighbouring objects. This algorithm contains few steps, which allows for the simultaneous classification of avalanches that occur on diverse mountain slopes and differ in size and shape. This thesis contributes to natural hazard research as it provides automatic solutions to tracking six different landforms that are diagnostic of natural hazards over large regions. This is a step toward delineating areas susceptible to the processes producing these landforms and the improvement of hazard maps.}, language = {en} } @phdthesis{Krueger2017, author = {Kr{\"u}ger, Stefanie}, title = {Seidenbasierte anorganische Funktionsmaterialien}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-404635}, school = {Universit{\"a}t Potsdam}, pages = {143}, year = {2017}, abstract = {In der vorliegenden Arbeit konnten erfolgreich zwei unterschiedliche Hybridmaterialien (HM) {\"u}ber die Sol-Gel-Methode synthetisiert werden. Bei den HM handelt es sich um Monolithe mit einem Durchmesser von bis zu 4,5 cm. Das erste HM besteht aus Titandioxid und Bombyx mori Seide und wird als TS bezeichnet, w{\"a}hrend das zweite weniger Seide und zus{\"a}tzlich Polyethylenoxid (PEO) enth{\"a}lt und daher als TPS abgek{\"u}rzt wird. Einige der HM wurden nach der Synthese in eine w{\"a}ssrige Tetrachloridogolds{\"a}ure-L{\"o}sung getaucht, wodurch sich auf der Oberfl{\"a}che Goldnanopartikel gebildet haben. Die Materialien wurden mittels Elektronenmikroskopie, energiedispersiver R{\"o}ntgenspektroskopie, Ramanspektroskopie sowie R{\"o}ntgenpulverdiffraktometrie charakterisiert. Die Ergebnisse zeigen, dass beide HM aus etwa 5 nm großen, sph{\"a}rischen Titandioxidnanopartikeln aufgebaut sind, die prim{\"a}r aus Anatas und zu einem geringen Anteil aus Brookit bestehen. Die Goldnanopartikel bei TPS_Au waren gr{\"o}ßer und polydisperser als die Goldnanopartikel auf dem TS_Au HM. Dar{\"u}ber hinaus sind die Goldnanopartikel im TS HM tiefer in das Material eingedrungen als beim TPS HM. Die weiterf{\"u}hrende Analyse der HM mittels Elementaranalyse und thermogravimetrischer Analyse ergab f{\"u}r TPS einen geringeren Anteil an organischen Bestandteilen im HM als f{\"u}r TS, obwohl f{\"u}r beide Synthesen die gleiche Masse an organischen Materialien eingesetzt wurde. Es wird vermutet, dass das PEO w{\"a}hrend der Synthese teilweise wieder aus dem Material herausgewaschen wird. Diese Theorie korreliert mit den Ergebnissen aus der Stickstoffsorption und der Quecksilberporosimetrie, die f{\"u}r das TPS HM eine h{\"o}here Oberfl{\"a}che als f{\"u}r das TS HM anzeigten. Die Variation einiger Syntheseparameter wie die Menge an Seide und PEO oder die Zusammensetzung der Titandioxidvorl{\"a}uferl{\"o}sung hatte einen großen Einfluss auf die synthetisierten HM. W{\"a}hrend unterschiedliche Mengen an PEO die Gr{\"o}ße des HM beeinflussten, konnte ohne Seide kein HM in einer {\"a}hnlichen Gr{\"o}ße hergestellt werden. Die Bildung der HM wird stark von der Zusammensetzung der Titandioxidvorl{\"a}uferl{\"o}sung beeinflusst. Eine Ver{\"a}nderung f{\"u}hrte daher nur selten zur Bildung eines homogenen HM. Die in dieser Arbeit synthetisierten HM wurden als Photokatalysatoren f{\"u}r die Wasserspaltung und den Abbau von Methylenblau eingesetzt. Bei der photokatalytischen Wasserspaltung wurde zun{\"a}chst der Einfluss unterschiedlicher Goldkonzentrationen beim TPS HM auf die Wasserstoffausbeute untersucht. Die besten Ergebnisse wurden bei einer Menge von 2,5 mg Tetrachloridogolds{\"a}ure erhalten. Dar{\"u}ber hinaus wurde gezeigt, dass mit dem TPS HM eine deutlich h{\"o}here Menge an Wasserstoff gewonnen werden konnte als mit dem TS HM. Die Ursachen f{\"u}r die schlechtere Aktivit{\"a}t werden in der geringeren spezifischen Oberfl{\"a}che, der unterschiedlichen Porenstruktur, dem h{\"o}heren Anteil an Seide und besonders in der geringeren Gr{\"o}ße und h{\"o}heren Eindringtiefe der Goldnanopartikel vermutet. Dar{\"u}ber hinaus konnte mit einem h{\"o}heren UV-Anteil in der Lichtquelle sowie durch die Zugabe von Ethanol als Opferreagenz eine Zunahme der Wasserstoffausbeute erzielt werden. Bei dem Methylenblauabbau wurde f{\"u}r beide HM zun{\"a}chst nur eine Adsorption des Methylenblaus beobachtet. Nach der Zugabe von Wasserstoffperoxid konnte nach 8 h bereits eine fast vollst{\"a}ndige Oxidation des Methylenblaus unter sichtbarem Licht beobachtet werden. Die Ursache f{\"u}r die etwas h{\"o}here Aktivit{\"a}t von TPS gegen{\"u}ber TS wird in der unterschiedlichen Porenstruktur und dem h{\"o}heren Anteil an Seide im TS HM vermutet. Insgesamt zeigen beide HM eine gute photokatalytische Aktivit{\"a}t f{\"u}r den Abbau von Methylenblau im Vergleich zu den erhaltenen Werten aus der Literatur.}, language = {de} } @phdthesis{Kunstmann2017, author = {Kunstmann, Ruth Sonja}, title = {Design of a high-affinity carbohydrate binding protein}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-403458}, school = {Universit{\"a}t Potsdam}, pages = {XI, 169}, year = {2017}, abstract = {Kohlenhydrat-Protein Interaktionen sind in der Natur weitverbreitet. Sie stellen die Grundlage f{\"u}r viele biologische Prozesse dar, wie zum Beispiel Immunantworten, Wundheilung und Infektionsprozesse von pathogenen Viren oder Bakterien mit einem Wirt wie dem Menschen. Neben der Infektion von Menschen k{\"o}nnen aber auch Bakterien selbst durch so genannte Bakteriophagen infiziert werden, welche f{\"u}r den Menschen ungef{\"a}hrlich sind. Diese Infektion involviert die spezifische Erkennung der pathogenen Bakterien, die Vermehrung der Bakteriophagen und schließlich die Abt{\"o}tung der Bakterien. Dabei k{\"o}nnen die Mechanismen der spezifischen Erkennung genutzt werden, pathogene Bakterien auf Lebensmitteln zu detektieren oder die Diagnose von Infektionen zu vereinfachen. Die spezifische Erkennung von Enteritis-erzeugenden Bakterien wie Escherichia coli, Salmonella spp. oder Shigella flexneri durch Bakteriophagen der Familie der Podoviridae erfolgt {\"u}ber die Bindung eines sogenannten tailspike proteins des Bakteriophagen an das aus Kohlenhydraten-bestehende O-Antigen des Lipopolysaccharids von Gram-negativen Bakterien. Das tailspike protein spaltet das O-Antigen um den Bakteriophage an die Oberfl{\"a}che des Bakteriums zu f{\"u}hren, damit eine Infektion stattfinden kann. Die Affinit{\"a}t des tailspike proteins zum O-Antigen ist dabei sehr niedrig, um nach Spaltung des O-Antigens das Spaltungsprodukt zu l{\"o}sen und wiederum neues Substrat zu binden. In dieser Arbeit wurde ein tailspike protein des Bakteriophagen Sf6 verwendet (Sf6 TSP), das spezifisch an das O-Antigen von Shigella flexneri Y bindet. Eine inaktive Variante des Sf6 TSP wurde verwendet um einen hoch-affin bindenden Sensor f{\"u}r pathogene Shigella zu entwickeln. Der Shigella-Sensor wurde durch Kopplung von unterschiedlichen Proteinmutanten mit einem fluoreszierendem Molek{\"u}l erhalten. Dabei zeigte eine dieser Mutanten bei Bindung von Shigella O-Antigen ein Fluoreszenz-Signal im Bereich des sichtbaren Lichts. Molekulardynamische Simulationen wurde anhand der erzeugten Proteinmutanten als Methode zum rationalen Design von hoch-affin Kohlenhydrat-bindenden Proteinen getestet und die resultierenden Affinit{\"a}tsvorhersagen wurden {\"u}ber Oberfl{\"a}chenplasmonresonanz-Experimente {\"u}berpr{\"u}ft. Aus weiteren experimentellen und simulierten Daten konnten schließlich Schlussfolgerungen {\"u}ber die Urspr{\"u}nge von Kohlenhydrat-Protein Interaktionen gezogen werden, die eine Einsicht {\"u}ber den Einfluss von Wasser in diesem Bindungsprozess lieferten.}, language = {en} } @phdthesis{Lacroix2017, author = {Lacroix, Andr{\´e}}, title = {Factors influencing the effectiveness of balance and resistance training in older adults}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-411826}, school = {Universit{\"a}t Potsdam}, pages = {viii, 235}, year = {2017}, abstract = {Hintergrund und Ziele: Altersbedingte Kraft- und Gleichgewichtsverluste sind mit Funktionseinschr{\"a}nkungen und einem erh{\"o}hten Sturzrisiko assoziiert. Kraft- und Gleichgewichtstraining haben das Potenzial, das Gleichgewicht und die Maximalkraft/Schnellkraft von gesunden {\"a}lteren Menschen zu verbessern. Es ist jedoch noch nicht hinreichend untersucht, wie die Effektivit{\"a}t solcher {\"U}bungsprogramme von verschiedenen Faktoren beeinflusst wird. Hierzu geh{\"o}ren die Rolle der Rumpfmuskulatur, die Effekte von kombiniertem Kraft- und Gleichgewichtstraining sowie die Effekte der Trainingsanleitung. Die prim{\"a}ren Ziele dieser Dissertation bestehen daher in der {\"U}berpr{\"u}fung der Zusammenh{\"a}nge von Rumpfkraft und Gleichgewichtsvariablen und der Effekte von kombiniertem Kraft- und Gleichgewichtstraining auf ein breites Spektrum an intrinsischen Sturzrisikofaktoren bei {\"a}lteren Menschen. Ein wesentliches Ziel dieser Dissertation ist zudem die {\"U}berpr{\"u}fung der Auswirkungen von angeleitetem gegen{\"u}ber unangeleitetem Kraft- und/oder Gleichgewichtstraining auf Variablen des Gleichgewichts und der Maximal-/Schnellkraft bei {\"a}lteren Menschen. Methoden: Gesunde {\"a}ltere Erwachsene im Alter zwischen 63 und 80 Jahren wurden in einer Querschnittsstudie, einer L{\"a}ngsschnittstudie und einer Metaanalyse untersucht (Gruppenmittelwerte Meta-Analyse: 65.3-81.1 Jahre). Messungen des Gleichgewichts (statisches/dynamisches, proaktives, reaktives Gleichgewicht) wurden mittels klinischer (z. B. Romberg Test) und instrumentierter Tests (z. B. 10 Meter Gangtest inklusive elektrischer Erfassung von Gangparametern) durchgef{\"u}hrt. Die isometrische Maximalkraft der Rumpfmuskulatur wurde mit speziellen Rumpfkraft-Maschinen gemessen. F{\"u}r die {\"U}berpr{\"u}fung der dynamischen Maximal-/Schnellkraft der unteren Extremit{\"a}t wurden klinische Tests (z. B. Chair Stand Test) verwendet. Weiterhin wurde ein kombiniertes Kraft- und Gleichgewichtstraining durchgef{\"u}hrt, um trainingsbedingte Effekte auf Gleichgewicht und Maximal-/Schnellkraft sowie die Effekte der Trainingsanleitung bei {\"a}lteren Erwachsenen zu untersuchen. Ergebnisse: Die Ergebnisse zeigten signifikante Korrelationen zwischen Rumpfkraft und statischem sowie ausgew{\"a}hlten Parametern des dynamischen Gleichgewichts (0.42 ≤ r ≤ 0.57). Kombiniertes Kraft- und Gleichgewichtstraining verbesserte das statische/dynamische (z. B. Romberg Test, Ganggeschwindigkeit), proaktive (z. B. Timed Up und Go Test) und reaktive Gleichgewicht (z. B. Push and Release Test) sowie die Maximal-/Schnellkraft (z. B. Chair Stand Test) von gesunden {\"a}lteren Menschen (0.62 ≤ Cohen's d ≤ 2.86; alle p < 0.05). Angeleitetes Training f{\"u}hrte verglichen mit unangeleitetem Training zu gr{\"o}ßeren Effekten bei Gleichgewicht und Maximal-/Schnellkraft [L{\"a}ngsschnittstudie: Effekte in der angeleiteten Gruppe 0.26 ≤ d ≤ 2.86, Effekte in der unangeleiteten Gruppe 0.06 ≤ d ≤ 2.30; Metaanalyse: alle Standardisierte Mittelwertdifferenzen (SMDbs) zugunsten der angeleiteten Programme 0.24-0.53]. Die Metaanalyse zeigte zudem gr{\"o}ßere Effekte zugunsten der angeleiteten Programme, wenn diese mit komplett unbeaufsichtigten Programmen verglichen wurden (0.28 ≤ SMDbs ≤ 1.24). Diese Effekte zugunsten der angeleiteten Interventionen wurden jedoch abgeschw{\"a}cht, wenn sie mit unangeleiteten Interventionen verglichen wurden, die wenige zus{\"a}tzliche angeleitete Einheiten integrierten (-0.06 ≤ SMDbs ≤ 0.41). Schlussfolgerungen: Eine Aufnahme von Rumpfkraft{\"u}bungen in sturzpr{\"a}ventive Trainingsprogramme f{\"u}r {\"a}ltere Menschen k{\"o}nnte die Verbesserung von Gleichgewichtsparametern positiv beeinflussen. Die positiven Effekte auf eine Vielzahl wichtiger intrinsischer Sturzrisikofaktoren (z. B. Gleichgewichts-, Kraftdefizite) implizieren, dass besonders die Kombination aus Kraft- und Gleichgewichtstraining eine durchf{\"u}hrbare und effektive sturzpr{\"a}ventive Intervention ist. Aufgrund gr{\"o}ßerer Effekte von angeleitetem im Vergleich zu unangeleitetem Training sollten angeleitete Einheiten in sturzpr{\"a}ventive {\"U}bungsprogramme f{\"u}r {\"a}ltere Erwachsene integriert werden.}, language = {en} } @phdthesis{Lenz2017, author = {Lenz, Susanne}, title = {Der konsularische Schutz}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-406069}, school = {Universit{\"a}t Potsdam}, pages = {288}, year = {2017}, abstract = {Anl{\"a}sslich der Zunahme von Entf{\"u}hrungen deutscher Staatsangeh{\"o}riger im Ausland und des im Jahr 2009 ergangenen Urteils des Bundesverwaltungsgerichts zu diesem Thema legt die vorliegende Arbeit eine detaillierte und umfassende Analyse der Rechtsgrundlagen f{\"u}r die Gew{\"a}hrung konsularischen Schutzes durch die Auslandsvertretungen der Bundesrepublik Deutschland vor. Das erste Kapitel beinhaltet eine detaillierte Darstellung der sich aus dem V{\"o}lker-, Europa- und Verfassungsrecht sowie aus dem Konsulargesetz ergebenen staatlichen Handlungspflichten sowie m{\"o}glicher damit einhergehender Individualanspr{\"u}che auf die Aus{\"u}bung konsularischen Schutzes im Einzelfall. Im zweiten Kapitel werden die Voraussetzungen der Gew{\"a}hrung konsularischen Schutzes nach dem Konsulargesetz dargestellt. Den Schwerpunkt bildet hierbei die Bestimmung des Anwendungsbereiches des \S 5 Abs. 1 Satz 1 Konsulargesetz unter Ber{\"u}cksichtigung des Urteils des Bundesverwaltungsgerichtes vom 28.05.2009, welches nach Auffassung der Verfasserin den Anwendungsbereich dieser Norm verkennt. Bei \S 5 Abs. 1 Satz 1 Konsulargesetz handelt es sich um eine besondere sozialhilferechtliche Norm außerhalb der SGB XII, welche die konsularische Hilfe allein in wirtschaftlichen Notlagen regelt. Das dritte Kapitel analysiert die bestehenden Regelungen {\"u}ber die Erstattung der im Rahmen der Gew{\"a}hrung konsularischen Schutzes entstandenen Kosten und erkl{\"a}rt deren Systematik. Ferner erfolgt ein Ausblick auf die k{\"u}nftigen Regelungen der Kostenerstattung nach dem Bundesgeb{\"u}hrengesetz sowie der damit einhergehenden Rechtsverordnung. Zum Abschluss werden die Ergebnisse anhand eines historischen Falles zusammengefasst sowie ein Gesetzesvorschlag vorgestellt, welcher die gefundenen Unklarheiten und Unstimmigkeiten im Konsulargesetz beheben kann.}, language = {de} } @phdthesis{Leonhardt2017, author = {Leonhardt, Helmar}, title = {Chemotaxis, shape and adhesion dynamics of amoeboid cells studied by impedance fluctuations in open and confined spaces}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-405016}, school = {Universit{\"a}t Potsdam}, pages = {98}, year = {2017}, abstract = {Die vorliegende Arbeit befasst sich mit elektrischen Impedanzmessungen von ameoboiden Zellen auf Mikroelektroden. Der Modellorganismus Dictyostelium discoideum zeigt unter der Bedingung des Nahrungsentzugs einen {\"U}bergang zum kollektiven Verhalten, bei dem sich chemotaktische Zellen zu einem multizellul{\"a}ren Aggregat zusammenschliessen. Wir zeigen wie Impedanzaufnahmen {\"u}ber die Dynamik der Zell-substrat Adh{\"a}sion ein pr{\"a}zises Bild der Phasen der Aggregation liefern. Dar{\"u}berhinaus zeigen wir zum ersten mal systematische Einzelzellmessungen von Wildtyp-Zellen und vier Mutanten, die sich in der St{\"a}rke der Substratadh {\"a}sion unterscheiden. Wir zeichneten die projizierte Zellfl{\"a}che durch Zeitverlaufsmikroskopie auf und fanden eine Korrelation zwischen den quasi-periodischen Oszillationen in der Kinetik der projizierten Fl{\"a}che - der Zellform-Oszillation - und dem Langzeittrend des Impedanzsignals. Amoeboidale Motilit{\"a}t offenbart sich typischerweise durch einen Zyklus von Membranausst{\"u}lpung, Substratadh{\"a}sion, Vorw{\"a}rtsziehen des Zellk{\"o}rpers und Einziehen des hinteren Teils der Zelle. Dieser Motilit{\"a}tszyklus resultiert in quasi-periodischen Oszillationen der projizierten Zellfl{\"a}che und der Impedanz. In allen gemessenen Zelllinien wurden f{\"u}r diesen Zyklus {\"a}hnliche Periodendauern beobachtet trotz der Unterschiede in der Anhaftungsst{\"a}rke. Wir beobachteten, dass die St{\"a}rke der Zell-substrat Anhaftung die Impedanz stark beeinflusst, indem die Abweichungen vom Mittelwert (die Gr{\"o}sse der Fluktuationen) vergr{\"o}ssert sind bei Zellen, die die vom Zytoskelett generierten Kr{\"a}fte effektiv auf das Substrat {\"u}bertragen. Zum Beispiel sind bei talA- Zellen, in welchen das Actin verankernde Protein Talin fehlt, die Fluktuationen stark reduziert. Einzelzellkraft-Spektroskopie und Ergebnisse eines Abl{\"o}sungsassays, bei dem Adh{\"a}sionskraft gemessen wird indem Zellen einer Scherspannung ausgesetzt werden, best{\"a}tigen, dass die Gr{\"o}sse der Impedanz-fluktuationen ein korrektes Mass f{\"u}r die St{\"a}rke der Substratadh{\"a}sion ist. Schliesslich haben wir uns auch mit dem Einbau von Zell-substrat-Impedanz-Sensoren in mikro-fluidische Apparaturen befasst. Ein chip-basierter elektrischer Chemotaxis Assay wurde entwickelt, der die Geschwindigkeit chemotaktischer Zellen misst, welche entlang eines chemischen Konzentrationsgradienten {\"u}ber Mikroelektroden wandern.}, language = {en} } @phdthesis{Leupelt2017, author = {Leupelt, Anke Verena}, title = {Hormonelle K{\"o}rpergewichtsregulation nach Gewichtsreduktion im Rahmen der multimodalen randomisierten Interventionsstudie MAINTAIN}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-413181}, school = {Universit{\"a}t Potsdam}, pages = {XIII, 104}, year = {2017}, abstract = {Adipositas wird mit einer Vielzahl schwerwiegender Folgeerkrankungen in Verbindung gebracht. Eine Gewichtsreduktion f{\"u}hrt zu einer Verbesserung der metabolischen Folgen der Adipositas. Es ist bekannt, dass die Mehrzahl der adip{\"o}sen Personen in den Monaten nach der Gewichtsreduktion einen Großteil des abgenommenen Gewichts wieder zunimmt. Nichtsdestotrotz existiert eine hohe Variabilit{\"a}t hinsichtlich des Langzeiterfolges einer Gewichtsreduktion. Der erfolgreiche Erhalt des reduzierten K{\"o}rpergewichts einiger Personen f{\"u}hrt zu der Frage nach den Faktoren, die einen Gewichtserhalt beeinflussen, mit dem Ziel einen Ansatzpunkt f{\"u}r m{\"o}gliche Therapiestrategien zu identifizieren. In der vorliegenden Arbeit wurde im Rahmen einer kontrollierten, randomisierten Studie mit 143 {\"u}bergewichtigen Probanden untersucht, ob nach einer dreimonatigen Gewichtsreduktion eine zw{\"o}lfmonatige gewichtsstabilisierende Lebensstilintervention einen Einfluss auf die Ver{\"a}nderungen der neuroendokrinen Regelkreisl{\"a}ufe und damit auf den langfristigen Gewichtserhalt {\"u}ber einen Zeitraum von achtzehn Monaten hat. Hierbei wurde im Vergleich der beiden Behandlungsgruppen prim{\"a}r festgestellt, dass die multimodale Lebensstilintervention zu einer Gewichtstabilisierung {\"u}ber die Dauer dieser zw{\"o}lfmonatigen Behandlungsphase f{\"u}hrte. In der Kontrollgruppe kam es zu einer moderaten Gewichtszunahme . Dadurch war nach Beendigung der Interventionsphase der BMI der Teilnehmer in der Kontrollgruppe h{\"o}her als der in der Interventionsgruppe (34,1±6,0 kg*m-2 vs. 32,4±5,7 kg*m-2; p<0,01). W{\"a}hrend der Nachbeobachtungszeit war die Interventionsgruppe durch eine signifikant st{\"a}rkere Gewichtswiederzunahme im Vergleich zur Kontrollgruppe gekennzeichnet, so dass der BMI zwischen beiden Behandlungsgruppen bereits sechs Monate nach der Intervention keinen Unterschied mehr aufwies. Bez{\"u}glich der hormonellen Ver{\"a}nderung durch die Gewichtsreduktion wurde, wie erwartet, eine Auslenkung des endokrinen Systems beobachtet. Jedoch konnte kein Unterschied der untersuchten Hormone im Vergleich der beiden Behandlungsgruppen ausfindig gemacht werden. Im Verlauf der Gewichtsabnahme und der anschließenden Studienphasen zeigten sich tendenziell drei verschiedene Verlaufsmuster in den hormonellen Ver{\"a}nderungen. Nach einer zus{\"a}tzlichen Adjustierung auf den jeweiligen BMI des Untersuchungszeitpunktes konnte f{\"u}r die TSH-Spiegel (p<0,05), die Schilddr{\"u}senhormone (p<0,001) und f{\"u}r die IGF 1-Spiegel (p<0,001) eine {\"u}ber die Studienzeit anhaltende Ver{\"a}nderung festgestellt werden. Abschließend wurde behandlungsgruppenunabh{\"a}ngig untersucht, ob die Hormonspiegel nach Gewichtsreduktion oder ob die relative hormonelle Ver{\"a}nderung w{\"a}hrend der Gewichtsreduktion pr{\"a}diktiv f{\"u}r den Erfolg der Gewichterhaltungsphase ist. Hier fand sich f{\"u}r die Mehrzahl der hormonellen Parameter kein Effekt auf die Langzeitentwicklung der Gewichtszunahme. Jedoch konnte gezeigt werden, dass eine geringere Abnahme der 24h Urin-Metanephrin-Ausscheidung w{\"a}hrend der Gewichtsabnahmephase mit einem besseren Erfolg bez{\"u}glich des Gewichtserhalts {\"u}ber die achtzehnmonatige Studienzeit assoziiert war (standardisiertes Beta= -0,365; r2=0,133 p<0,01). Die anderen hormonellen Achsen zeigten keinen nachweislichen Effekt.}, language = {de} } @phdthesis{LindbladPetersen2017, author = {Lindblad Petersen, Oliver}, title = {The Cauchy problem for the linearised Einstein equation and the Goursat problem for wave equations}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-410216}, school = {Universit{\"a}t Potsdam}, pages = {108}, year = {2017}, abstract = {In this thesis, we study two initial value problems arising in general relativity. The first is the Cauchy problem for the linearised Einstein equation on general globally hyperbolic spacetimes, with smooth and distributional initial data. We extend well-known results by showing that given a solution to the linearised constraint equations of arbitrary real Sobolev regularity, there is a globally defined solution, which is unique up to addition of gauge solutions. Two solutions are considered equivalent if they differ by a gauge solution. Our main result is that the equivalence class of solutions depends continuously on the corre- sponding equivalence class of initial data. We also solve the linearised constraint equations in certain cases and show that there exist arbitrarily irregular (non-gauge) solutions to the linearised Einstein equation on Minkowski spacetime and Kasner spacetime. In the second part, we study the Goursat problem (the characteristic Cauchy problem) for wave equations. We specify initial data on a smooth compact Cauchy horizon, which is a lightlike hypersurface. This problem has not been studied much, since it is an initial value problem on a non-globally hyperbolic spacetime. Our main result is that given a smooth function on a non-empty, smooth, compact, totally geodesic and non-degenerate Cauchy horizon and a so called admissible linear wave equation, there exists a unique solution that is defined on the globally hyperbolic region and restricts to the given function on the Cauchy horizon. Moreover, the solution depends continuously on the initial data. A linear wave equation is called admissible if the first order part satisfies a certain condition on the Cauchy horizon, for example if it vanishes. Interestingly, both existence of solution and uniqueness are false for general wave equations, as examples show. If we drop the non-degeneracy assumption, examples show that existence of solution fails even for the simplest wave equation. The proof requires precise energy estimates for the wave equation close to the Cauchy horizon. In case the Ricci curvature vanishes on the Cauchy horizon, we show that the energy estimates are strong enough to prove local existence and uniqueness for a class of non-linear wave equations. Our results apply in particular to the Taub-NUT spacetime and the Misner spacetime. It has recently been shown that compact Cauchy horizons in spacetimes satisfying the null energy condition are necessarily smooth and totally geodesic. Our results therefore apply if the spacetime satisfies the null energy condition and the Cauchy horizon is compact and non-degenerate.}, language = {en} } @phdthesis{LorenteSanchez2017, author = {Lorente S{\´a}nchez, Alejandro Jose}, title = {Synthesis of side-chain polystyrenes for all organic solution processed OLEDs}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-398006}, school = {Universit{\"a}t Potsdam}, pages = {xiv, 131}, year = {2017}, abstract = {In the present work side-chain polystyrenes were synthesized and characterized, in order to be applied in multilayer OLEDs fabricated by solution process techniques. Manufacture of optoelectronic devices by solution process techniques is meant to decrease significantly fabrication cost and allow large scale production of such devices. This dissertation focusses in three series, enveloped in two material classes. The two classes differ to each other in the type of charge transport exhibited, either ambipolar transport or electron transport. All materials were applied in all-organic solution processed green Ir-based devices. In the first part, a series of ambipolar host materials were developed to transport both charge types, holes and electrons, and be applied especially as matrix for green Ir-based emitters. It was possible to increase devices efficacy by modulating the predominant charge transport type. This was achieved by modification of molecules electron transport part with more electron-deficient heterocycles or by extending the delocalization of the LUMO. Efficiencies up to 28.9 cd/A were observed for all-organic solution-process three layer devices. In the second part, suitability of triarylboranes and tetraphenylsilanes as electron transport materials was studied. High triplet energies were obtained, up to 2.95 eV, by rational combination of both molecular structures. Although the combination of both elements had a low effect in materials electron transport properties, high efficiencies around 24 cd/A were obtained for the series in all-organic solution-processed two layer devices. In the last part, benzene and pyridine were chosen as the series electron-transport motif. By controlling the relative pyridine content (RPC) solubility into methanol was induced for polystyrenes with bulky side-chains. Materials with RPC ≥ 0.5 could be deposited orthogonally from solution without harming underlying layers. From the best of our knowledge, this is the first time such materials are applied in this architecture showing moderate efficiencies around 10 cd/A in all-organic solution processed OLEDs. Overall, the outcome of these studies will actively contribute to the current research on materials for all-solution processed OLEDs.}, language = {en} } @phdthesis{Lubitz2017, author = {Lubitz, Christin}, title = {Investigating local surface displacements associated with anthropogenic activities by satellite radar interferometry}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-416001}, school = {Universit{\"a}t Potsdam}, pages = {III, vii, 96, xii}, year = {2017}, abstract = {Direct anthropogenic influences on the Earth's subsurface during drilling, extraction or injection activities, can affect land stability by causing subsidence, uplifts or lateral displacements. They can occur in localized as well as in uninhabited and inhabited regions. Thus the associated risks for humans, infrastructure, and environment must be minimized. To achieve this, appropriate surveillance methods must be found that can be used for simultaneous monitoring during such activities. Multi-temporal synthetic aperture radar interferometry (MT-InSAR) methods like the Persistent Scatterer Interferometry (PSI) and the Small BAseline Subsets (SBAS) have been developed as standard approaches for satellite-based surface displacement monitoring. With increasing spatial resolution and availability of SAR sensors in recent years, MT-InSAR can be valuable for the detection and mapping of even the smallest man-made displacements. This doctoral thesis aims at investigating the capacities of the mentioned standard methods for this purpose, and comprises three main objectives against the backdrop of a user-friendly surveillance service: (1) the spatial and temporal significance assessment against leveling, (2) the suitability evaluation of PSI and SBAS under different conditions, and (3) the analysis of the link between surface motion and subsurface processes. Two prominent case studies on anthropogenic induced subsurface processes in Germany serve as the basis for this goal. The first is the distinct urban uplift with severe damages at Staufen im Breisgau that has been associated since 2007 with a failure to implement a shallow geothermal energy supply for an individual building. The second case study considers the pilot project of geological carbon dioxide (CO2) storage at Ketzin, and comprises borehole drilling and fluid injection of more than 67 kt CO2 between 2008 and 2013. Leveling surveys at Staufen and comprehensive background knowledge of the underground processes gained from different kinds of in-situ measurements at both locations deliver a suitable basis for this comparative study and the above stated objectives. The differences in location setting, i.e. urban versus rural site character, were intended to investigate the limitations in the applicability of PSI and SBAS. For the MT-InSAR analysis, X-band images from the German TerraSAR-X and TanDEM-X satellites were acquired in the standard Stripmap mode with about 3 m spatial resolution in azimuth and range direction. Data acquisition lasted over a period of five years for Staufen (2008-2013), and four years for Ketzin (2009-2013). For the first approximation of the subsurface source, an inversion of the InSAR outcome in Staufen was applied. The modeled uplift based on complex hydromechanical simulations and a correlation analysis with bottomhole pressure data were used for comparison with MT-InSAR measurements at Ketzin. In response to the defined objectives of this thesis, a higher level of detail can be achieved in mapping surface displacements without in-situ effort by using MT-InSAR in comparison to leveling (1). A clear delineation of the elliptical shaped uplift border and its magnitudes at different parts was possible at Staufen, with the exception of a vegetated area in the northwest. Vegetation coverage and the associated temporal signal decorrelation are the main limitations of MT-InSAR as clearly demonstrated at the Ketzin test site. They result in insufficient measurement point density and unwrapping issues. Therefore, spatial resolutions of one meter or better are recommended to achieve an adequate point density for local displacement analysis and to apply signal noise reduction. Leveling measurements can provide a complementary data source here, but require much effort pertaining to personnel even at the local scale. Horizontal motions could be identified at Staufen by only comparing the temporal evolution of the 1D line of sight (LOS) InSAR measurements with the available leveling data. An exception was the independent LOS decomposition using ascending and descending data sets for the period 2012-2013. The full 3D displacement field representation failed due to insufficient orbit-related, north-south sensitivity of the satellite-based measurements. By using the dense temporal mapping capabilities of the TerraSAR-X/TanDEM-X satellites after every 11 days, the temporal displacement evolution could be captured as good as that with leveling. With respect to the tested methods and in the view of generality, SBAS should be preferred over PSI (2). SBAS delivered a higher point density, and was therefore less affected by phase unwrapping issues in both case studies. Linking surface motions with subsurface processes is possible when considering simplified geophysical models (3), but it still requires intensive research to gain a deep understanding.}, language = {en} } @phdthesis{Lysyakova2017, author = {Lysyakova, Liudmila}, title = {Interaction of azobenzene containing surfactants with plasmonic nanoparticles}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-403359}, school = {Universit{\"a}t Potsdam}, pages = {viii, 155}, year = {2017}, abstract = {The goal of this thesis is related to the question how to introduce and combine simultaneously plasmonic and photoswitching properties to different nano-objects. In this thesis I investigate the complexes between noble metal nanoparticles and cationic surfactants containing azobenzene units in their hydrophobic tail, employing absorption spectroscopy, surface zeta-potential, and electron microscopy. In the first part of the thesis, the formation of complexes between negatively charged laser ablated spherical gold nanoparticles and cationic azobenzene surfactants in trans- conformation is explored. It is shown that the constitution of the complexes strongly depends on a surfactant-to-gold molar ratio. At certain molar ratios, particle self-assembly into nanochains and their aggregation have been registered. At higher surfactant concentrations, the surface charge of nanoparticles turned positive, attributed to the formation of the stabilizing double layer of azobenzene surfactants on gold nanoparticle surfaces. These gold-surfactant complexes remained colloidally stable. UV light induced trans-cis isomerization of azobenzene surfactant molecules and thus perturbed the stabilizing surfactant shell, causing nanoparticle aggregation. The results obtained with silver and silicon nanoparticles mimick those for the comprehensively studied gold nanoparticles, corroborating the proposed model of complex formation. In the second part, the interaction between plasmonic metal nanoparticles (Au, Ag, Pd, alloy Au-Ag, Au-Pd), as well as silicon nanoparticles, and cis-isomers of azobenzene containing compounds is addressed. Cis-trans thermal isomerization of azobenzenes was enhanced in the presence of gold, palladium, and alloy gold-palladium nanoparticles. The influence of the surfactant structure and nanoparticle material on the azobenzene isomerization rate is expounded. Gold nanoparticles showed superior catalytic activity for thermal cis-trans isomerization of azobenzenes. In a joint project with theoretical chemists, we demonstrated that the possible physical origin of this phenomenon is the electron transfer between azobenzene moieties and nanoparticle surfaces. In the third part, complexes between gold nanorods and azobenzene surfactants with different tail length were exposed to UV and blue light, inducing trans-cis and cis-trans isomerization of surfactant, respectively. At the same time, the position of longitudinal plasmonic absorption maximum of gold nanorods experienced reversible shift responding to the changes in local dielectric environment. Surface plasmon resonance condition allowed the estimation of the refractive index of azobenzene containing surfactants in solution.}, language = {en} } @phdthesis{Mahlstedt2017, author = {Mahlstedt, Robert}, title = {Essays on job search behavior and labor market policies}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-397081}, school = {Universit{\"a}t Potsdam}, pages = {252}, year = {2017}, abstract = {Persistently high unemployment rates are a major threat to the social cohesion in many societies. To moderate the consequences of unemployment industrialized countries spend substantial shares of their GDP on labor market policies, while in recent years there has been a shift from passive measures, such as transfer payments, towards more activating elements which aim to promote the reintegration into the labor market. Although, there exists a wide range of evidence about the effects of traditional active labor market policies (ALMP) on participants' subsequent labor market outcomes, a deeper understanding of the impact of these programs on the job search behavior and the interplay with long-term labor market outcomes is necessary. This allows policy makers to improve the design of labor market policies and the allocation of unemployed workers into specific programs. Moreover, previous studies have shown that many traditional ALMP programs, like public employment or training schemes, do not achieve the desired results. This underlines the importance of understanding the effect mechanisms, but also the need to develop innovative programs that are more effective. This thesis extends the existing literature with respect to several dimensions. First, it analyzes the impact of job seekers' beliefs about upcoming ALMPs programs on the effectiveness of realized treatments later during the unemployment spell. This provides important insights with respect to the job search process and relates potential anticipation effects (on the job seekers behavior before entering a program) to the vast literature evaluating the impact of participating in an ALMP program on subsequent outcomes. The empirical results show that training programs are more effective if the participants expect participation ex ante, while expected treatment effects are unrelated to the actual labor market outcomes of participants. A subsequent analysis of the effect mechanisms shows that job seekers who expect to participate also receive more information by their caseworker and show a higher willingness to adjust their search behavior in association with an upcoming ALMP program. The findings suggest that the effectiveness of training programs can be improved by providing more detailed information about the possibility of a future treatment early during the unemployment spell. Second, the thesis investigates the effects of a relatively new class of programs that aim to improve the geographical mobility of unemployed workers with respect to the job search behavior, the subsequent job finding prospects and the returns to labor market mobility. To estimate the causal impact of these programs, it is exploited that local employment agencies have a degree of autonomy when deciding about the regional-specific policy mix. The findings show that the policy style of the employment agency indeed affects the job search behavior of unemployed workers. Job seekers who are assigned to agencies with higher preferences for mobility programs increase their search radius without affecting the total number of job applications. This shift of the search effort to distant regions leads to a higher probability to find a regular job and higher wages. Moreover, it is shown that participants in one of the subsidy programs who move to geographically distant region a earn significantly higher wages, end up in more stable jobs and face a higher long-run employment probability compared to non-participants. Third, the thesis offers an empirical assessment of the unconfoundedness assumption with respect to the relevance of variables that are usually unobserved in studies evaluating ALMP programs. A unique dataset that combines administrative records and survey data allows us to observe detailed information on typical covariates, as well as usually unobserved variables including personality traits, attitudes, expectations, intergenerational information, as well as indicators about social networks and labor market flexibility. The findings show that, although our set of usually unobserved variables indeed has a significant effect on the selection into ALMP programs, the overall impact when estimating treatment effects is rather small. Finally, the thesis also examines the importance of gender differences in reservation wages that allows assessing the importance of special ALMP programs targeting women. In particular, when including reservation wages in a wage decomposition exercise, the gender gap in realized wages becomes small and statistically insignificant. The strong connection between gender differences in reservation wages and realized wages raises the question how these differences in reservation wages are set in the first place. Since traditional covariates cannot sufficiently explain the gender gap in reservation wages, we perform subgroup analysis to better understand what the driving forces behind this gender gap are.}, language = {en} } @phdthesis{Martin2017, author = {Martin, Thorsten}, title = {Advances in spatial econometrics and the political economy of local housing supply}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-406836}, school = {Universit{\"a}t Potsdam}, pages = {207}, year = {2017}, abstract = {This cumulative dissertation consists of five chapters. In terms of research content, my thesis can be divided into two parts. Part one examines local interactions and spillover effects between small regional governments using spatial econometric methods. The second part focuses on patterns within municipalities and inspects which institutions of citizen participation, elections and local petitions, influence local housing policies.}, language = {en} } @phdthesis{MbayaMani2017, author = {Mbaya Mani, Christian}, title = {Functional nanoporous carbon-based materials derived from oxocarbon-metal coordination complexes}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-407866}, school = {Universit{\"a}t Potsdam}, pages = {IV, 135}, year = {2017}, abstract = {Nanoporous carbon based materials are of particular interest for both science and industry due to their exceptional properties such as a large surface area, high pore volume, high electroconductivity as well as high chemical and thermal stability. Benefiting from these advantageous properties, nanoporous carbons proved to be useful in various energy and environment related applications including energy storage and conversion, catalysis, gas sorption and separation technologies. The synthesis of nanoporous carbons classically involves thermal carbonization of the carbon precursors (e.g. phenolic resins, polyacrylonitrile, poly(vinyl alcohol) etc.) followed by an activation step and/or it makes use of classical hard or soft templates to obtain well-defined porous structures. However, these synthesis strategies are complicated and costly; and make use of hazardous chemicals, hindering their application for large-scale production. Furthermore, control over the carbon materials properties is challenging owing to the relatively unpredictable processes at the high carbonization temperatures. In the present thesis, nanoporous carbon based materials are prepared by the direct heat treatment of crystalline precursor materials with pre-defined properties. This synthesis strategy does not require any additional carbon sources or classical hard- or soft templates. The highly stable and porous crystalline precursors are based on coordination compounds of the squarate and croconate ions with various divalent metal ions including Zn2+, Cu2+, Ni2+, and Co2+, respectively. Here, the structural properties of the crystals can be controlled by the choice of appropriate synthesis conditions such as the crystal aging temperature, the ligand/metal molar ratio, the metal ion, and the organic ligand system. In this context, the coordination of the squarate ions to Zn2+ yields porous 3D cube crystalline particles. The morphology of the cubes can be tuned from densely packed cubes with a smooth surface to cubes with intriguing micrometer-sized openings and voids which evolve on the centers of the low index faces as the crystal aging temperature is raised. By varying the molar ratio, the particle shape can be changed from truncated cubes to perfect cubes with right-angled edges. These crystalline precursors can be easily transformed into the respective carbon based materials by heat treatment at elevated temperatures in a nitrogen atmosphere followed by a facile washing step. The resulting carbons are obtained in good yields and possess a hierarchical pore structure with well-organized and interconnected micro-, meso- and macropores. Moreover, high surface areas and large pore volumes of up to 1957 m2 g-1 and 2.31 cm3 g-1 are achieved, respectively, whereby the macroscopic structure of the precursors is preserved throughout the whole synthesis procedure. Owing to these advantageous properties, the resulting carbon based materials represent promising supercapacitor electrode materials for energy storage applications. This is exemplarily demonstrated by employing the 3D hierarchical porous carbon cubes derived from squarate-zinc coordination compounds as electrode material showing a specific capacitance of 133 F g-1 in H2SO4 at a scan rate of 5 mV s-1 and retaining 67\% of this specific capacitance when the scan rate is increased to 200 mV s-1. In a further application, the porous carbon cubes derived from squarate-zinc coordination compounds are used as high surface area support material and decorated with nickel nanoparticles via an incipient wetness impregnation. The resulting composite material combines a high surface area, a hierarchical pore structure with high functionality and well-accessible pores. Moreover, owing to their regular micro-cube shape, they allow for a good packing of a fixed-bed flow reactor along with high column efficiency and a minimized pressure drop throughout the packed reactor. Therefore, the composite is employed as heterogeneous catalyst in the selective hydrogenation of 5-hydroxymethylfurfural to 2,5-dimethylfuran showing good catalytic performance and overcoming the conventional problem of column blocking. Thinking about the rational design of 3D carbon geometries, the functions and properties of the resulting carbon-based materials can be further expanded by the rational introduction of heteroatoms (e.g. N, B, S, P, etc.) into the carbon structures in order to alter properties such as wettability, surface polarity as well as the electrochemical landscape. In this context, the use of crystalline materials based on oxocarbon-metal ion complexes can open a platform of highly functional materials for all processes that involve surface processes.}, language = {en} } @phdthesis{Meier2017, author = {Meier, Sebastian}, title = {Personal Big Data}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-406696}, school = {Universit{\"a}t Potsdam}, pages = {xxiv, 133}, year = {2017}, abstract = {Many users of cloud-based services are concerned about questions of data privacy. At the same time, they want to benefit from smart data-driven services, which require insight into a person's individual behaviour. The modus operandi of user modelling is that data is sent to a remote server where the model is constructed and merged with other users' data. This thesis proposes selective cloud computing, an alternative approach, in which the user model is constructed on the client-side and only an abstracted generalised version of the model is shared with the remote services. In order to demonstrate the applicability of this approach, the thesis builds an exemplary client-side user modelling technique. As this thesis is carried out in the area of Geoinformatics and spatio-temporal data is particularly sensitive, the application domain for this experiment is the analysis and prediction of a user's spatio-temporal behaviour. The user modelling technique is grounded in an innovative conceptual model, which builds upon spatial network theory combined with time-geography. The spatio-temporal constraints of time-geography are applied to the network structure in order to create individual spatio-temporal action spaces. This concept is translated into a novel algorithmic user modelling approach which is solely driven by the user's own spatio-temporal trajectory data that is generated by the user's smartphone. While modern smartphones offer a rich variety of sensory data, this thesis only makes use of spatio-temporal trajectory data, enriched by activity classification, as the input and foundation for the algorithmic model. The algorithmic model consists of three basal components: locations (vertices), trips (edges), and clusters (neighbourhoods). After preprocessing the incoming trajectory data in order to identify locations, user feedback is used to train an artificial neural network to learn temporal patterns for certain location types (e.g. work, home, bus stop, etc.). This Artificial Neural Network (ANN) is used to automatically detect future location types by their spatio-temporal patterns. The same is done in order to predict the duration of stay at a certain location. Experiments revealed that neural nets were the most successful statistical and machine learning tool to detect those patterns. The location type identification algorithm reached an accuracy of 87.69\%, the duration prediction on binned data was less successful and deviated by an average of 0.69 bins. A challenge for the location type classification, as well as for the subsequent components, was the imbalance of trips and connections as well as the low accuracy of the trajectory data. The imbalance is grounded in the fact that most users exhibit strong habitual patterns (e.g. home > work), while other patterns are rather rare by comparison. The accuracy problem derives from the energy-saving location sampling mode, which creates less accurate results. Those locations are then used to build a network that represents the user's spatio-temporal behaviour. An initial untrained ANN to predict movement on the network only reached 46\% average accuracy. Only lowering the number of included edges, focusing on more common trips, increased the performance. In order to further improve the algorithm, the spatial trajectories were introduced into the predictions. To overcome the accuracy problem, trips between locations were clustered into so-called spatial corridors, which were intersected with the user's current trajectory. The resulting intersected trips were ranked through a k-nearest-neighbour algorithm. This increased the performance to 56\%. In a final step, a combination of a network and spatial clustering algorithm was built in order to create clusters, therein reducing the variety of possible trips. By only predicting the destination cluster instead of the exact location, it is possible to increase the performance to 75\% including all classes. A final set of components shows in two exemplary ways how to deduce additional inferences from the underlying spatio-temporal data. The first example presents a novel concept for predicting the 'potential memorisation index' for a certain location. The index is based on a cognitive model which derives the index from the user's activity data in that area. The second example embeds each location in its urban fabric and thereby enriches its cluster's metadata by further describing the temporal-semantic activity in an area (e.g. going to restaurants at noon). The success of the client-side classification and prediction approach, despite the challenges of inaccurate and imbalanced data, supports the claimed benefits of the client-side modelling concept. Since modern data-driven services at some point do need to receive user data, the thesis' computational model concludes with a concept for applying generalisation to semantic, temporal, and spatial data before sharing it with the remote service in order to comply with the overall goal to improve data privacy. In this context, the potentials of ensemble training (in regards to ANNs) are discussed in order to highlight the potential of only sharing the trained ANN instead of the raw input data. While the results of our evaluation support the assets of the proposed framework, there are two important downsides of our approach compared to server-side modelling. First, both of these server-side advantages are rooted in the server's access to multiple users' data. This allows a remote service to predict spatio-in the user-specific data, which represents the second downside. While minor classes will likely be minor classes in a bigger dataset as well, for each class, there will still be more variety than in the user-specific dataset. The author emphasises that the approach presented in this work holds the potential to change the privacy paradigm in modern data-driven services. Finding combinations of client- and server-side modelling could prove a promising new path for data-driven innovation. Beyond the technological perspective, throughout the thesis the author also offers a critical view on the data- and technology-driven development of this work. By introducing the client-side modelling with user-specific artificial neural networks, users generate their own algorithm. Those user-specific algorithms are influenced less by generalised biases or developers' prejudices. Therefore, the user develops a more diverse and individual perspective through his or her user model. This concept picks up the idea of critical cartography, which questions the status quo of how space is perceived and represented.}, language = {en} } @phdthesis{Meier2017, author = {Meier, Tobias}, title = {Borehole Breakouts in Transversely Isotropic Posidonia Shale}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-400019}, school = {Universit{\"a}t Potsdam}, pages = {xviii, 133}, year = {2017}, abstract = {Borehole instabilities are frequently encountered when drilling through finely laminated, organic rich shales ({\O}kland and Cook, 1998; Ottesen, 2010; etc.); such instabilities should be avoided to assure a successful exploitation and safe production of the contained unconventional hydrocarbons. Borehole instabilities, such as borehole breakouts or drilling induced tensile fractures, may lead to poor cementing of the borehole annulus, difficulties with recording and interpretation of geophysical logs, low directional control and in the worst case the loss of the well. If these problems are not recognized and expertly remedied, pollution of the groundwater or the emission of gases into the atmosphere can occur since the migration paths of the hydrocarbons in the subsurface are not yet fully understood (e.g., Davies et al., 2014; Zoback et al., 2010). In addition, it is often mentioned that the drilling problems encountered and the resulting downtimes of the wellbore system in finely laminated shales significantly increase drilling costs (Fjaer et al., 2008; Aadnoy and Ong, 2003). In order to understand and reduce the borehole instabilities during drilling in unconventional shales, we investigate stress-induced irregular extensions of the borehole diameter, which are also referred to as borehole breakouts. For this purpose, experiments with different borehole diameters, bedding plane angles and stress boundary conditions were performed on finely laminated Posidonia shales. The Lower Jurassic Posidonia shale is one of the most productive source rocks for conventional reservoirs in Europe and has the greatest potential for unconventional oil and gas in Europe (Littke et al., 2011). In this work, Posidonia shale specimens from the North (PN) and South (PS) German basins were selected and characterized petrophysically and mechanically. The composition of the two shales is dominated by calcite (47-56\%) followed by clays (23-28\%) and quartz (16-17\%). The remaining components are mainly pyrite and organic matter. The porosity of the shales varies considerably and is up to 10\% for PS and 1\% for PN, which is due to a larger deposition depth of PN. Both shales show marked elasticity and strength anisotropy, which can be attributed to a macroscopic distribution and orientation of soft and hard minerals. Under load the hard minerals form a load-bearing, supporting structure, while the soft minerals compensate the deformation. Therefore, if loaded parallel to the bedding, the Posidonia shale is more brittle than loaded normal to the bedding. The resulting elastic anisotropy, which can be defined by the ratio of the modulus of elasticity parallel and normal to the bedding, is about 50\%, while the strength anisotropy (i.e., the ratio of uniaxial compressive strength normal and parallel to the bedding) is up to 66\%. Based on the petrophysical characterization of the two rocks, a transverse isotropy (TVI) was derived. In general, PS is softer and weaker than PN, which is due to the stronger compaction of the material due to the higher burial depth. Conventional triaxial borehole breakout experiments on specimens with different borehole diameters showed that, when the diameter of the borehole is increased, the stress required to initiate borehole breakout decreases to a constant value. This value can be expressed as the ratio of the tangential stress and the uniaxial compressive strength of the rock. The ratio increases exponentially with decreasing borehole diameter from about 2.5 for a 10 mm diameter hole to ~ 7 for a 1 mm borehole (increase of initiation stress by 280\%) and can be described by a fracture mechanic based criterion. The reduction in borehole diameter is therefore a considerable aspect in reducing the risk of breakouts. New drilling techniques with significantly reduced borehole diameters, such as "fish-bone" holes, are already underway and are currently being tested (e.g., Xing et al., 2012). The observed strength anisotropy and the TVI material behavior are also reflected in the observed breakout processes at the borehole wall. Drill holes normal to the bedding develop breakouts in a plane of isotropy and are not affected by the strength or elasticity anisotropy. The observed breakouts are point-symmetric and form compressive shear failure planes, which can be predicted by a Mohr-Coulomb failure approach. If the shear failure planes intersect, conjugate breakouts can be described as "dog-eared" breakouts. While the initiation of breakouts for wells oriented normal to the stratification has been triggered by random local defects, reduced strengths parallel to bedding planes are the starting point for breakouts for wells parallel to the bedding. In the case of a deflected borehole trajectory, therefore, the observed failure type changes from shear-induced failure surfaces to buckling failure of individual layer packages. In addition, the breakout depths and widths increased, resulting in a stress-induced enlargement of the borehole cross-section and an increased output of rock material into the borehole. With the transition from shear to buckling failure and changing bedding plane angle with respect to the borehole axis, the stress required for inducing wellbore breakouts drops by 65\%. These observations under conventional triaxial stress boundary conditions could also be confirmed under true triaxial stress conditions. Here breakouts grew into the rock as a result of buckling failure, too. In this process, the broken layer packs rotate into the pressure-free drill hole and detach themselves from the surrounding rock by tensile cracking. The final breakout shape in Posidonia shale can be described as trapezoidal when the bedding planes are parallel to the greatest horizontal stress and to the borehole axis. In the event that the largest horizontal stress is normal to the stratification, breakouts were formed entirely by shear fractures between the stratification and required higher stresses to initiate similar to breakouts in conventional triaxial experiments with boreholes oriented normal to the bedding. In the content of this work, a fracture mechanics-based failure criterion for conventional triaxial loading conditions in isotropic rocks (Dresen et al., 2010) has been successfully extended to true triaxial loading conditions in the transverse isotropic rock to predict the initiation of borehole breakouts. The criterion was successfully verified on the experiments carried out. The extended failure criterion and the conclusions from the laboratory and numerical work may help to reduce the risk of borehole breakouts in unconventional shales.}, language = {en} } @phdthesis{Meiling2017, author = {Meiling, Till Thomas}, title = {Development of a reliable and environmentally friendly synthesis for fluorescence carbon nanodots}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-410160}, school = {Universit{\"a}t Potsdam}, pages = {198}, year = {2017}, abstract = {Carbon nanodots (CNDs) have generated considerable attention due to their promising properties, e.g. high water solubility, chemical inertness, resistance to photobleaching, high biocompatibility and ease of functionalization. These properties render them ideal for a wide range of functions, e.g. electrochemical applications, waste water treatment, (photo)catalysis, bio-imaging and bio-technology, as well as chemical sensing, and optoelectronic devices like LEDs. In particular, the ability to prepare CNDs from a wide range of accessible organic materials makes them a potential alternative for conventional organic dyes and semiconductor quantum dots (QDs) in various applications. However, current synthesis methods are typically expensive and depend on complex and time-consuming processes or severe synthesis conditions and toxic chemicals. One way to reduce overall preparation costs is the use of biological waste as starting material. Hence, natural carbon sources such as pomelo peal, egg white and egg yolk, orange juice, and even eggshells, to name a few; have been used for the preparation of CNDs. While the use of waste is desirable, especially to avoid competition with essential food production, most starting-materials lack the essential purity and structural homogeneity to obtain homogeneous carbon dots. Furthermore, most synthesis approaches reported to date require extensive purification steps and have resulted in carbon dots with heterogeneous photoluminescent properties and indefinite composition. For this reason, among others, the relationship between CND structure (e.g. size, edge shape, functional groups and overall composition) and photophysical properties is yet not fully understood. This is particularly true for carbon dots displaying selective luminescence (one of their most intriguing properties), i.e. their PL emission wavelength can be tuned by varying the excitation wavelength. In this work, a new reliable, economic, and environmentally-friendly one-step synthesis is established to obtain CNDs with well-defined and reproducible photoluminescence (PL) properties via the microwave-assisted hydrothermal treatment of starch, carboxylic acids and Tris-EDTA (TE) buffer as carbon- and nitrogen source, respectively. The presented microwave-assisted hydrothermal precursor carbonization (MW-hPC) is characterized by its cost-efficiency, simplicity, short reaction times, low environmental footprint, and high yields of approx. 80\% (w/w). Furthermore, only a single synthesis step is necessary to obtain homogeneous water-soluble CNDs with no need for further purification. Depending on starting materials and reaction conditions different types of CNDs have been prepared. The as-prepared CNDs exhibit reproducible, highly homogeneous and favourable PL properties with narrow emission bands (approx. 70nm FWHM), are non-blinking, and are ready to use without need for further purification, modification or surface passivation agents. Furthermore, the CNDs are comparatively small (approx. 2.0nm to 2.4nm) with narrow size distributions; are stable over a long period of time (at least one year), either in solution or as a dried solid; and maintain their PL properties when re-dispersed in solution. Depending on CND type, the PL quantum yield (PLQY) can be adjusted from as low as 1\% to as high as 90\%; one of the highest reported PLQY values (for CNDs) so far. An essential part of this work was the utilization of a microwave synthesis reactor, allowing various batch sizes and precise control over reaction temperature and -time, pressure, and heating- and cooling rate, while also being safe to operate at elevated reaction conditions (e.g. 230 ±C and 30 bar). The hereby-achieved high sample throughput allowed, for the first time, the thorough investigation of a wide range of synthesis parameters, providing valuable insight into the CND formation. The influence of carbon- and nitrogen source, precursor concentration and -combination, reaction time and -temperature, batch size, and post-synthesis purification steps were carefully investigated regarding their influence on the optical properties of as-synthesized CNDs. In addition, the change in photophysical properties resulting from the conversion of CND solution into solid and back into the solution was investigated. Remarkably, upon freeze-drying the initial brown CND-solution turns into a non-fluorescent white/slightly yellow to brown solid which recovers PL in aqueous solution. Selected CND samples were also subject to EDX, FTIR, NMR, PL lifetime (TCSPC), particle size (TEM), TGA and XRD analysis. Besides structural characterization, the pH- and excitation dependent PL characteristics (i.e. selective luminescence) were examined; giving inside into the origin of photophysical properties and excitation dependent behaviour of CNDs. The obtained results support the notion that for CNDs the nature of the surface states determines the PL properties and that excitation dependent behaviour is caused by the "Giant Red-Edge Excitation Shift" (GREES).}, language = {en} }