@phdthesis{Blankovsky2014, author = {Blankovsky, Yuval}, title = {עבירה לשמה}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-87158}, school = {Universit{\"a}t Potsdam}, year = {2014}, abstract = {A Transgression for the Sake of God -'Averah li-shmah: A Tale of a Radical Idea in Talmudic Literature All cultures, religions, and ethical or legal systems struggle with the role intention plays in evaluating actions. The Talmud compellingly elaborates on the notion of intention through the radical concept that "A sin committed for the sake of God [averah li-shmah] is greater than a commandment fulfilled not for the sake of God [mi-mizvah she-lo li-shmah]." The Babylonian Talmud attributes this concept—which challenges one of rabbinic Judaism's most fundamental dogmas, the obligation to fulfill the commandments and avoid sin—to R. Nahman b. Isaac (RNBI), a renowned 4th century Amora. Considering the normative character of the rabbinic culture in which Halakhah (Jewish religious law) plays such a central role, this concept, seems almost like a foreign body in the Talmudic corpus. The study focuses on the linguistic stratum of RNBI's statement. By tracking the development of the meanings and uses of the word 'li-shmah' the research locates RNBI's statement as part of the broader Talmudic discourse evaluating two levels of performing religious actions 'li-shmah/she-lo li-shmah'. Since we wish to explain the word 'li-shmah' consistently both times it appears in the statement, the best translation would be 'for the sake of God'. This translation is based on the linguistic connection between the word 'li-shmah' and the term 'le-shem shamayim' (for the sake of God) that appears in several rabbinic sources. This linguistic connection is also the key to identifying the possible root of RNBI's concept. RNBI bolsters his idea by quoting a verse about Jael, thus implying that Jael sinned for the sake of God. The research describes at least five statements in Sages' Literature that attribute sins for the sake of God to other biblical figures, all the while using the term 'le-shem shamim'. Therefore we may presume that RNBI's concept has evolved from the exegetical notion of attributing sin for the sake of God to biblical figures. To understand the way RNBI's statement was accepted in Talmudic culture, we must explore the textual witnesses to the literary frame of RNBI's statement: the Talmudic sugya (Nazir 23a; Horayot 10b). We possess five versions of the sugya's dialectical structure. Comparison of these versions, allows us to reconstruct the earlier dialectical structure, from which the familiar versions developed. The radical potential of RNBI's statement led to cultural activity, in the transmission of the sugya, in an effort to mitigate it. This activity is reflected in late additions to the sugya identified by our research—which should be viewed as a process of self-censorship for ideological reasons. This research explores a fundamental issue in rabbinic world: the immanent contradiction between law and intention. The research depicts in detail the movement of a radical idea from the margins culture to mainstream - in this case into the Babylonian Talmud. Therefore, the findings of this research provide substantial insight into our understanding of the interpretive process and of conceptual adaptation in rabbinic culture.}, language = {mul} } @phdthesis{Gurman2014, author = {Gurman, Avraham I.}, title = {איסור נישואי "מעוברת חברו ומנקת חברו" במשפט העברי}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-77081}, school = {Universit{\"a}t Potsdam}, pages = {XIX, 343, P}, year = {2014}, abstract = {The Period of the Sages 1. The stringent approach in the early halakhah: we assume that a pregnant or nursing widow was forbidden to remarry because such a marriage would be considered trespassing on the domain of her late husband. This prohibition was perceived as quite severe since it stemmed from biblical verses. 2. The lenient approach: A different rationale was given for the prohibition, and significant exceptions were made to the prohibition. Furthermore, many rabbinic scholars maintained that the prohibition's duration should be less than twenty-four months. 3. Choosing stringency with the closing of the Talmud: At the end of the amoraic period, or, perhaps, even in the saboraic period, the rabbis decided to adopt the more stringent positions pertaining to the marital prohibition. They ruled that there were to be no exceptions to the law, except if the child died. Likewise, the rabbis ruled that the duration of the waiting period would be twenty-four months from the birth of the child. The Geonic period 4. In the Geonic period differences of opinion between the Babylonian Jews and the Jews living in the Land of Israel were preserved. These differences had their roots in sources in the Babylonian and Jerusalem Talmuds, respectively. Ultimately, the Babylonian Geonim ensured that the Babylonian Talmud's approach became the consensus opinion among the rabbinic decisors. The Period of the Rishonim (Early Authorities) 5. Broadening the scope of the prohibition: In the period of the Early Authorities, the rabbis decided that the prohibition also applied to divorcees who had children from their previous marriages and to single women who had children out of wedlock. These rulings greatly expanded the scope of the prohibition. 6. Exceptions to the prohibition - the case of R. Jacob ha-Kohen of Cracow and its impact on the Spanish sages: R. Jacob of Cracow believed that exceptions could be made to the prohibition. By hiring a wet nurse for the child and creating a mechanism that would prevent her from breaking her commitment, the mother could remarry. This position was vehemently rejected by the sages of Ashkenaz, but Spanish sages seemed to have accepted it. When R. Asher b. Yehiel (Rosh) fled to Spain, he revolutionized the Spanish approach, leading the Spanish sages to adopt the stringent approach that originated in Ashkenaz. The Modern period 7. In the Modern period, with the shortening of the average nursing period, the rabbinic decisors faced a dilemma: on the one hand the classical halakhic literature adopted a stringent approach to the prohibition, but on the other hand, the rationale to the prohibition almost disappeared. The Halakhah reacted to this new reality by adopting two contradictory approaches: the stringent one and the lenient one. 8. The stringent approach fashioned by the Chatam Sofer: The Chatam Sofer and his disciples were only willing to annul the prohibition if forbidding the marriage was likely to cause the child to ultimately forsake religion. The Chatam Sofer's stringent approach was influenced by the fact that one of the early religious reformers, R. Aharon Churin argued that the marital ban should be abrogated. In order to strengthen the prohibition's legitimacy, Sofer's student, the Maharam Schik, argued that the prohibition was biblically mandated and he suggested a new rational to the prohibition. 9. The lenient approach: This approach is the product of a number of lenient rulings issued by various rabbinic decisors. These leniencies reflect the tremendous openness of the text to interpretation. Sources that had been interpreted stringently for hundreds of years were suddenly interpreted in a far more lenient fashion. We presume that the change in interpretation was a result of the change of the surrounding environment. 10. The Chatam Sofer's school's stringent opinion influenced the lenient rabbinic decisors too, vitiating their willingness to cross certain boundaries. Thus, the lenient decisors were willing to adopt lenient interpretations to the ancient sources, but they were not usually willing to recognize the need for a dramatic change in the law's status in light of the changing reality.}, language = {mul} } @phdthesis{Senyuk2014, author = {Senyuk, Ulyana}, title = {Zum Status relativ{\"a}hnlicher S{\"a}tze im Fr{\"u}hneuhochdeutschen}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-91673}, school = {Universit{\"a}t Potsdam}, pages = {vi, 276}, year = {2014}, abstract = {Diese Arbeit befasst sich mit den sogenannten relativ{\"a}hnlichen S{\"a}tzen im Fr{\"u}hneuhochdeutschen und leistet somit einen Beitrag zur Subordinationsforschung des {\"a}lteren Deutsch. Relativ{\"a}hnliche S{\"a}tze sind formal durch ein satzinitiales anaphorisches d-Element und die Endstellung des finiten Verbs gekennzeichnet. Semantisch gesehen beziehen sie sich auf den vorangehenden Satz als Ganzes, indem sie ihn in bestimmter Weise weiterf{\"u}hren oder kommentieren. In der bisherigen Forschung werden diese S{\"a}tze satztypologisch als Haupts{\"a}tze mit Verbendstellung analysiert (vgl. dazu Maurer 1926, Behaghel 1932 und L{\"o}tscher 2000). Nach der ausf{\"u}hrlichen Diskussion der formalen Abh{\"a}ngigkeitsmarker im {\"a}lteren Deutsch sowie anhand einer umfangreichen korpusbasierten Untersuchung wird in dieser Arbeit gezeigt, dass relativ{\"a}hnliche S{\"a}tze im Fr{\"u}hneuhochdeutschen auch als abh{\"a}ngige S{\"a}tze - analog zu den weiterf{\"u}hrenden Relativs{\"a}tzen im Gegenwartsdeutschen - analysiert werden k{\"o}nnen. Die weiterf{\"u}hrenden Relativs{\"a}tze im Gegenwartsdeutschen enthalten satzinitial auch ein anaphorisches Element, das sich auf das Gesagte in dem vorangehenden Satz bezieht. Verbendstellung weisen sie ebenfalls auf (mehr zur Grammatik der weiterf{\"u}hrenden Relativs{\"a}tze vgl. insb. Brandt 1990 und Holler 2005). {\"U}ber die Untersuchung relativ{\"a}hnlicher S{\"a}tze hinaus befasst sich diese Arbeit ausf{\"u}hrlich mit formalen Abh{\"a}ngigkeitsmarkern des {\"a}lteren Deutsch, wie Verbendstellung, Einleiter und afinite Konstruktion.}, language = {de} } @phdthesis{Dahlsten2014, author = {Dahlsten, Ulf}, title = {World market governance}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-70168}, school = {Universit{\"a}t Potsdam}, year = {2014}, abstract = {Democratic capitalism or liberal democracy, as the successful marriage of convenience between market liberalism and democracy sometimes is called, is in trouble. The market economy system has become global and there is a growing mismatch with the territoriality of the nation-states. The functional global networks and inter-governmental order can no longer keep pace with the rapid development of the global market economy and regulatory capture is all too common. Concepts like de-globalization, self-regulation, and global government are floated in the debate. The alternatives are analysed and found to be improper, inadequate or plainly impossible. The proposed route is instead to accept that the global market economy has developed into an independent fundamental societal system that needs its own governance. The suggestion is World Market Governance based on the Rule of Law in order to shape the fitness environment for the global market economy and strengthen the nation-states so that they can regain the sovereignty to decide upon the social and cultural conditions in each country. Elements in the proposed Rule of Law are international legislation decided by an Assembly supported by a Council, and an independent Judiciary. Existing international organisations would function as executors. The need for broad sustained demand for regulations in the common interest is identified.}, language = {en} } @phdthesis{Ermeydan2014, author = {Ermeydan, Mahmut Ali}, title = {Wood cell wall modification with hydrophobic molecules}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-71325}, school = {Universit{\"a}t Potsdam}, year = {2014}, abstract = {Wood is used for many applications because of its excellent mechanical properties, relative abundance and as it is a renewable resource. However, its wider utilization as an engineering material is limited because it swells and shrinks upon moisture changes and is susceptible to degradation by microorganisms and/or insects. Chemical modifications of wood have been shown to improve dimensional stability, water repellence and/or durability, thus increasing potential service-life of wood materials. However current treatments are limited because it is difficult to introduce and fix such modifications deep inside the tissue and cell wall. Within the scope of this thesis, novel chemical modification methods of wood cell walls were developed to improve both dimensional stability and water repellence of wood material. These methods were partly inspired by the heartwood formation in living trees, a process, that for some species results in an insertion of hydrophobic chemical substances into the cell walls of already dead wood cells, In the first part of this thesis a chemistry to modify wood cell walls was used, which was inspired by the natural process of heartwood formation. Commercially available hydrophobic flavonoid molecules were effectively inserted in the cell walls of spruce, a softwood species with low natural durability, after a tosylation treatment to obtain "artificial heartwood". Flavonoid inserted cell walls show a reduced moisture absorption, resulting in better dimensional stability, water repellency and increased hardness. This approach was quite different compared to established modifications which mainly address hydroxyl groups of cell wall polymers with hydrophilic substances. In the second part of the work in-situ styrene polymerization inside the tosylated cell walls was studied. It is known that there is a weak adhesion between hydrophobic polymers and hydrophilic cell wall components. The hydrophobic styrene monomers were inserted into the tosylated wood cell walls for further polymerization to form polystyrene in the cell walls, which increased the dimensional stability of the bulk wood material and reduced water uptake of the cell walls considerably when compared to controls. In the third part of the work, grafting of another hydrophobic and also biodegradable polymer, poly(ɛ-caprolactone) in the wood cell walls by ring opening polymerization of ɛ-caprolactone was studied at mild temperatures. Results indicated that polycaprolactone attached into the cell walls, caused permanent swelling of the cell walls up to 5\%. Dimensional stability of the bulk wood material increased 40\% and water absorption reduced more than 35\%. A fully biodegradable and hydrophobized wood material was obtained with this method which reduces disposal problem of the modified wood materials and has improved properties to extend the material's service-life. Starting from a bio-inspired approach which showed great promise as an alternative to standard cell wall modifications we showed the possibility of inserting hydrophobic molecules in the cell walls and supported this fact with in-situ styrene and ɛ-caprolactone polymerization into the cell walls. It was shown in this thesis that despite the extensive knowledge and long history of using wood as a material there is still room for novel chemical modifications which could have a high impact on improving wood properties.}, language = {en} } @phdthesis{Lorey2014, author = {Lorey, Johannes}, title = {What's in a query : analyzing, predicting, and managing linked data access}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-72312}, school = {Universit{\"a}t Potsdam}, year = {2014}, abstract = {The term Linked Data refers to connected information sources comprising structured data about a wide range of topics and for a multitude of applications. In recent years, the conceptional and technical foundations of Linked Data have been formalized and refined. To this end, well-known technologies have been established, such as the Resource Description Framework (RDF) as a Linked Data model or the SPARQL Protocol and RDF Query Language (SPARQL) for retrieving this information. Whereas most research has been conducted in the area of generating and publishing Linked Data, this thesis presents novel approaches for improved management. In particular, we illustrate new methods for analyzing and processing SPARQL queries. Here, we present two algorithms suitable for identifying structural relationships between these queries. Both algorithms are applied to a large number of real-world requests to evaluate the performance of the approaches and the quality of their results. Based on this, we introduce different strategies enabling optimized access of Linked Data sources. We demonstrate how the presented approach facilitates effective utilization of SPARQL endpoints by prefetching results relevant for multiple subsequent requests. Furthermore, we contribute a set of metrics for determining technical characteristics of such knowledge bases. To this end, we devise practical heuristics and validate them through thorough analysis of real-world data sources. We discuss the findings and evaluate their impact on utilizing the endpoints. Moreover, we detail the adoption of a scalable infrastructure for improving Linked Data discovery and consumption. As we outline in an exemplary use case, this platform is eligible both for processing and provisioning the corresponding information.}, language = {en} } @phdthesis{Burdack2014, author = {Burdack, Doreen}, title = {Water management policies and their impact on irrigated crop production in the Murray-Darling Basin, Australia}, publisher = {Universit{\"a}tsverlag Potsdam}, address = {Potsdam}, isbn = {978-3-86956-306-0}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-72245}, school = {Universit{\"a}t Potsdam}, pages = {307}, year = {2014}, abstract = {The economic impact analysis contained in this book shows how irrigation farming is particularly susceptible when applying certain water management policies in the Australian Murray-Darling Basin, one of the world largest river basins and Australia's most fertile region. By comparing different pricing and non-pricing water management policies with the help of the Water Integrated Market Model, it is found that the impact of water demand reducing policies is most severe on crops that need to be intensively irrigated and are at the same time less water productive. A combination of increasingly frequent and severe droughts and the application of policies that decrease agricultural water demand, in the same region, will create a situation in which the highly water dependent crops rice and cotton cannot be cultivated at all.}, language = {en} } @phdthesis{Riemer2014, author = {Riemer, Martin}, title = {Vom Phenol zum Naturstoff : Entwicklung nachhaltiger Mikrowellen-vermittelter SUZUKI-MIYAURA-Kupplungen und Tandem-Reaktionen}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-72525}, school = {Universit{\"a}t Potsdam}, year = {2014}, abstract = {Ziel dieser Arbeit war die Entwicklung von Methoden zur Synthese von auf Phenol basierenden Naturstoffen. Insbesondere wurde bei der Methodenentwicklung die Nachhaltigkeit in den Vordergrund ger{\"u}ckt. Dies bedeutet, dass durch die Zusammenfassung mehrerer Syntheseschritte zu einem (Tandem-Reaktion) beispielsweise unn{\"o}tige Reaktionsschritte vermieden werden sollten. Ferner sollten im Sinne der Nachhaltigkeit m{\"o}glichst ungiftige Reagenzien und L{\"o}sungmittel verwendet werden, ebenso wie mehrfach wiederverwertbare Katalysatoren zum Einsatz kommen. Im Rahmen dieser Arbeit wurden Methoden zum Aufbau von Biphenolen mittels Pd/C-katalysierten Suzuki-Miyaura-Kupplungen entwickelt. Diese Methoden sind insofern {\"a}ußerst effizient, da der ansonsten gebr{\"a}uchliche Syntheseweg {\"u}ber drei Reaktionsschritte somit auf lediglich eine Reaktionsstufe reduziert wurde. Weiterhin wurden die Reaktionsbedingungen so gestaltet, dass einfaches Wasser als vollkommen ungiftiges L{\"o}sungsmittel verwendet werden konnte. Des Weiteren wurde f{\"u}r diese Reaktionen ein Katalysator gew{\"a}hlt, der einfach durch Filtration vom Reaktionsgemisch abgetrennt und f{\"u}r weitere Reaktionen mehrfach wiederverwendet werden konnte. Dar{\"u}ber hinaus konnte durch die Synthese von mehr als 100 Verbindungen die breite Anwendbarkeit der Methoden aufgezeigt werden. Mit den entwickelten Methoden konnten 14 Naturstoffe - z. T. erstmals - synthetisiert werden. Derartige Stoffe werden u. a. von den {\"o}konomisch bedeutenden Kernobstgew{\"a}chsen ({\"A}pfeln, Birnen) als Abwehrmittel gegen{\"u}ber Sch{\"a}dlingen erzeugt. Folglich konnte mit Hilfe dieser Methoden ein Syntheseweg f{\"u}r potentielle Pflanzenschutzmittel entwickelt werden. Im zweiten Teil dieser Arbeit wurde ein Zugang zu den sich ebenfalls vom Phenol ableitenden Chromanonen, Chromonen und Cumarinen untersucht. Bei diesen Untersuchungen konnte durch die Entwicklung zweier neuer Tandem-Reaktionen ein nachhaltiger und stufen{\"o}konomischer Syntheseweg zur Darstellung substituierter Benzo(dihydro)pyrone aufgezeigt werden. Durch die erstmalige Kombination der Claisen-Umlagerung mit einer Oxa-Michael-Addition bzw. konjugierten-Addition wurden zwei vollkommen atom{\"o}konomische Reaktionen miteinander verkn{\"u}pft und somit eine {\"u}beraus effiente Synthese von allyl- bzw. prenylsubstituierten Chromanonen und Chromonen erm{\"o}glicht. Ferner konnten durch die Anwendung einer Claisen-Umlagerung-Wittig-Laktonisierungs-Reaktion allyl- bzw. prenylsubstituierte Cumarine erhalten werden. Herausragendes Merkmal dieser Methoden war, dass in nur einem Schritt der jeweilige Naturstoffgrundk{\"o}rper aufgebaut und eine lipophile Seitenkette generiert werden konnte. Die Entwicklung dieser Methoden ist von hohem pharmazeutischem Stellenwert, da auf diesen Wegen Verbindungen synthetisiert werden k{\"o}nnen, die zum einem {\"u}ber das notwendige pharmakologische Grundger{\"u}st verf{\"u}gen und zum anderen {\"u}ber eine Seitenkette, welche die Aufnahmef{\"a}higkeit und damit die Wirksamkeit im Organismus betr{\"a}chtlich erh{\"o}ht. Insgesamt konnten mittels der entwickelten Methoden 15 Chromanon-, Chromon- und Cumarin-Naturstoffe z. T. erstmals synthetisiert werden.}, language = {de} } @phdthesis{Truemper2014, author = {Tr{\"u}mper, Jonas}, title = {Visualization techniques for the analysis of software behavior and related structures}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-72145}, school = {Universit{\"a}t Potsdam}, year = {2014}, abstract = {Software maintenance encompasses any changes made to a software system after its initial deployment and is thereby one of the key phases in the typical software-engineering lifecycle. In software maintenance, we primarily need to understand structural and behavioral aspects, which are difficult to obtain, e.g., by code reading. Software analysis is therefore a vital tool for maintaining these systems: It provides - the preferably automated - means to extract and evaluate information from their artifacts such as software structure, runtime behavior, and related processes. However, such analysis typically results in massive raw data, so that even experienced engineers face difficulties directly examining, assessing, and understanding these data. Among other things, they require tools with which to explore the data if no clear question can be formulated beforehand. For this, software analysis and visualization provide its users with powerful interactive means. These enable the automation of tasks and, particularly, the acquisition of valuable and actionable insights into the raw data. For instance, one means for exploring runtime behavior is trace visualization. This thesis aims at extending and improving the tool set for visual software analysis by concentrating on several open challenges in the fields of dynamic and static analysis of software systems. This work develops a series of concepts and tools for the exploratory visualization of the respective data to support users in finding and retrieving information on the system artifacts concerned. This is a difficult task, due to the lack of appropriate visualization metaphors; in particular, the visualization of complex runtime behavior poses various questions and challenges of both a technical and conceptual nature. This work focuses on a set of visualization techniques for visually representing control-flow related aspects of software traces from shared-memory software systems: A trace-visualization concept based on icicle plots aids in understanding both single-threaded as well as multi-threaded runtime behavior on the function level. The concept's extensibility further allows the visualization and analysis of specific aspects of multi-threading such as synchronization, the correlation of such traces with data from static software analysis, and a comparison between traces. Moreover, complementary techniques for simultaneously analyzing system structures and the evolution of related attributes are proposed. These aim at facilitating long-term planning of software architecture and supporting management decisions in software projects by extensions to the circular-bundle-view technique: An extension to 3-dimensional space allows for the use of additional variables simultaneously; interaction techniques allow for the modification of structures in a visual manner. The concepts and techniques presented here are generic and, as such, can be applied beyond software analysis for the visualization of similarly structured data. The techniques' practicability is demonstrated by several qualitative studies using subject data from industry-scale software systems. The studies provide initial evidence that the techniques' application yields useful insights into the subject data and its interrelationships in several scenarios.}, language = {en} } @phdthesis{Vu2014, author = {Vu, Dinh Phuong}, title = {Using video study to investigate eighth-grade mathematics classrooms in Vietnam}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-72464}, school = {Universit{\"a}t Potsdam}, pages = {273}, year = {2014}, abstract = {The International Project for the Evaluation of Educational Achievement (IEA) was formed in the 1950s (Postlethwaite, 1967). Since that time, the IEA has conducted many studies in the area of mathematics, such as the First International Mathematics Study (FIMS) in 1964, the Second International Mathematics Study (SIMS) in 1980-1982, and a series of studies beginning with the Third International Mathematics and Science Study (TIMSS) which has been conducted every 4 years since 1995. According to Stigler et al. (1999), in the FIMS and the SIMS, U.S. students achieved low scores in comparison with students in other countries (p. 1). The TIMSS 1995 "Videotape Classroom Study" was therefore a complement to the earlier studies conducted to learn "more about the instructional and cultural processes that are associated with achievement" (Stigler et al., 1999, p. 1). The TIMSS Videotape Classroom Study is known today as the TIMSS Video Study. From the findings of the TIMSS 1995 Video Study, Stigler and Hiebert (1999) likened teaching to "mountain ranges poking above the surface of the water," whereby they implied that we might see the mountaintops, but we do not see the hidden parts underneath these mountain ranges (pp. 73-78). By watching the videotaped lessons from Germany, Japan, and the United States again and again, they discovered that "the systems of teaching within each country look similar from lesson to lesson. At least, there are certain recurring features [or patterns] that typify many of the lessons within a country and distinguish the lessons among countries" (pp. 77-78). They also discovered that "teaching is a cultural activity," so the systems of teaching "must be understood in relation to the cultural beliefs and assumptions that surround them" (pp. 85, 88). From this viewpoint, one of the purposes of this dissertation was to study some cultural aspects of mathematics teaching and relate the results to mathematics teaching and learning in Vietnam. Another research purpose was to carry out a video study in Vietnam to find out the characteristics of Vietnamese mathematics teaching and compare these characteristics with those of other countries. In particular, this dissertation carried out the following research tasks: - Studying the characteristics of teaching and learning in different cultures and relating the results to mathematics teaching and learning in Vietnam - Introducing the TIMSS, the TIMSS Video Study and the advantages of using video study in investigating mathematics teaching and learning - Carrying out the video study in Vietnam to identify the image, scripts and patterns, and the lesson signature of eighth-grade mathematics teaching in Vietnam - Comparing some aspects of mathematics teaching in Vietnam and other countries and identifying the similarities and differences across countries - Studying the demands and challenges of innovating mathematics teaching methods in Vietnam - lessons from the video studies Hopefully, this dissertation will be a useful reference material for pre-service teachers at education universities to understand the nature of teaching and develop their teaching career.}, language = {en} } @phdthesis{Hutter2014, author = {Hutter, Anne}, title = {Unveiling the epoch of reionization by simulations and high-redshift galaxies}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-76998}, school = {Universit{\"a}t Potsdam}, pages = {vi, 155}, year = {2014}, abstract = {The Epoch of Reionization marks after recombination the second major change in the ionization state of the universe, going from a neutral to an ionized state. It starts with the appearance of the first stars and galaxies; a fraction of high-energy photons emitted from galaxies permeate into the intergalactic medium (IGM) and gradually ionize the hydrogen, until the IGM is completely ionized at z~6 (Fan et al., 2006). While the progress of reionization is driven by galaxy evolution, it changes the ionization and thermal state of the IGM substantially and affects subsequent structure and galaxy formation by various feedback mechanisms. Understanding this interaction between reionization and galaxy formation is further impeded by a lack of understanding of the high-redshift galactic properties such as the dust distribution and the escape fraction of ionizing photons. Lyman Alpha Emitters (LAEs) represent a sample of high-redshift galaxies that are sensitive to all these galactic properties and the effects of reionization. In this thesis we aim to understand the progress of reionization by performing cosmological simulations, which allows us to investigate the limits of constraining reionization by high-redshift galaxies as LAEs, and examine how galactic properties and the ionization state of the IGM affect the visibility and observed quantities of LAEs and Lyman Break galaxies (LBGs). In the first part of this thesis we focus on performing radiative transfer calculations to simulate reionization. We have developed a mapping-sphere-scheme, which, starting from spherically averaged temperature and density fields, uses our 1D radiative transfer code and computes the effect of each source on the IGM temperature and ionization (HII, HeII, HeIII) profiles, which are subsequently mapped onto a grid. Furthermore we have updated the 3D Monte-Carlo radiative transfer pCRASH, enabling detailed reionization simulations which take individual source characteristics into account. In the second part of this thesis we perform a reionization simulation by post-processing a smoothed-particle hydrodynamical (SPH) simulation (GADGET-2) with 3D radiative transfer (pCRASH), where the ionizing sources are modelled according to the characteristics of the stellar populations in the hydrodynamical simulation. Following the ionization fractions of hydrogen (HI) and helium (HeII, HeIII), and temperature in our simulation, we find that reionization starts at z~11 and ends at z~6, and high density regions near sources are ionized earlier than low density regions far from sources. In the third part of this thesis we couple the cosmological SPH simulation and the radiative transfer simulations with a physically motivated, self-consistent model for LAEs, in order to understand the importance of the ionization state of the IGM, the escape fraction of ionizing photons from galaxies and dust in the interstellar medium (ISM) on the visibility of LAEs. Comparison of our models results with the LAE Lyman Alpha (Lya) and UV luminosity functions at z~6.6 reveals a three-dimensional degeneracy between the ionization state of the IGM, the ionizing photons escape fraction and the ISM dust distribution, which implies that LAEs act not only as tracers of reionization but also of the ionizing photon escape fraction and of the ISM dust distribution. This degeneracy does not even break down when we compare simulated with observed clustering of LAEs at z~6.6. However, our results show that reionization has the largest impact on the amplitude of the LAE angular correlation functions, and its imprints are clearly distinguishable from those of properties on galactic scales. These results show that reionization cannot be constrained tightly by exclusively using LAE observations. Further observational constraints, e.g. tomographies of the redshifted hydrogen 21cm line, are required. In addition we also use our LAE model to probe the question when a galaxy is visible as a LAE or a LBG. Within our model galaxies above a critical stellar mass can produce enough luminosity to be visible as a LBG and/or a LAE. By finding an increasing duty cycle of LBGs with Lya emission as the UV magnitude or stellar mass of the galaxy rises, our model reveals that the brightest (and most massive) LBGs most often show Lya emission. Predicting the Lya equivalent width (Lya EW) distribution and the fraction of LBGs showing Lya emission at z~6.6, we reproduce the observational trend of the Lya EWs with UV magnitude. However, the Lya EWs of the UV brightest LBGs exceed observations and can only be reconciled by accounting for an increased Lya attenuation of massive galaxies, which implies that the observed Lya brightest LAEs do not necessarily coincide with the UV brightest galaxies. We have analysed the dependencies of LAE observables on the properties of the galactic and intergalactic medium and the LAE-LBG connection, and this enhances our understanding of the nature of LAEs.}, language = {en} } @phdthesis{Merkel2014, author = {Merkel, Roswitha}, title = {Untersuchung zur Synthese und Eigenschaften von komplexen Oligospiroketalen}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-72561}, school = {Universit{\"a}t Potsdam}, year = {2014}, abstract = {Es ist in dieser Arbeit gelungen, starre Oligospiroketal(OSK)-St{\"a}be als Grundbausteine f{\"u}r komplexe 2D- und 3D-Systeme zu verwenden. Dazu wurde ein difunktionalisierter starrer Stab synthetisiert, der mit seines Gleichen und anderen verzweigten Funktionalisierungseinheiten in Azid-Alkin-Klickreaktionen eingesetzt wurde. An zwei {\"u}ber Klickreaktion verkn{\"u}pften OSK-St{\"a}ben konnten mittels theoretischer Berechnungen Aussagen {\"u}ber die neuartige Bimodalit{\"a}t der Konformation getroffen werden. Es wurde daf{\"u}r der Begriff Gelenkstab eingef{\"u}hrt, da die Molek{\"u}le um ein Gelenk gedreht sowohl gestreckt als auch geknickt vorliegen k{\"o}nnen. Aufbauend auf diesen Erkenntnissen konnte gezeigt werden, dass nicht nur gezielt große Polymere aus bis zu vier OSK-St{\"a}ben synthetisiert werden k{\"o}nnen, sondern es auch m{\"o}glich ist, durch gezielte {\"A}nderung von Reaktionsbedingungen der Klickreaktion auch Cyclen aus starren OSK-St{\"a}ben herzustellen. Die neu entwickelte Substanzklasse der Gelenkst{\"a}be wurde im Hinblick auf die Steuerung des vorliegenden Gleichgewichts zwischen geknicktem und gestrecktem Gelenkstab hin untersucht. Daf{\"u}r wurde der Gelenkstab mit Pyrenylresten in terminaler Position versehen. Es wurde durch Fluoreszenzmessungen festgestellt, dass das Gleichgewicht z. B. durch die Temperatur oder die Wahl des L{\"o}sungsmittels beeinflussbar ist. F{\"u}r vielfache Anwendungen wurde eine vereinfachte Synthesestrategie gefunden, mit der eine beliebige Funktionalisierung in nur einem Syntheseschritt erreicht werden konnte. Es konnten photoaktive Gelenkst{\"a}be synthetisiert werden, die gezielt zur intramolekularen Dimerisierung gef{\"u}hrt werden konnten. Zus{\"a}tzlich wurde durch Aminos{\"a}uren ein Verkn{\"u}pfungselement am Ende der Gelenkst{\"a}be gefunden, das eine stereoselektive Synthese von Mehrfachfunktionalisierungen zul{\"a}sst. Die Synthese der komplexen Gelenkst{\"a}be wurde als ein neuartiges Gebiet aufgezeigt und bietet ein breites Forschungspotential f{\"u}r weitere Anwendungen z. B. in der Biologie (als molekulare Schalter f{\"u}r Ionentransporte) und in der Materialchemie (als Ladungs- oder Energietransporteure).}, language = {de} } @phdthesis{Orgis2014, author = {Orgis, Thomas}, title = {Unstetige Galerkin-Diskretisierung niedriger Ordnung in einem atmosph{\"a}rischen Multiskalenmodell}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-70687}, school = {Universit{\"a}t Potsdam}, year = {2014}, abstract = {Die Dynamik der Atmosph{\"a}re der Erde umfasst einen Bereich von mikrophysikalischer Turbulenz {\"u}ber konvektive Prozesse und Wolkenbildung bis zu planetaren Wellenmustern. F{\"u}r Wettervorhersage und zur Betrachtung des Klimas {\"u}ber Jahrzehnte und Jahrhunderte ist diese Gegenstand der Modellierung mit numerischen Verfahren. Mit voranschreitender Entwicklung der Rechentechnik sind Neuentwicklungen der dynamischen Kerne von Klimamodellen, die mit der feiner werdenden Aufl{\"o}sung auch entsprechende Prozesse aufl{\"o}sen k{\"o}nnen, notwendig. Der dynamische Kern eines Modells besteht in der Umsetzung (Diskretisierung) der grundlegenden dynamischen Gleichungen f{\"u}r die Entwicklung von Masse, Energie und Impuls, so dass sie mit Computern numerisch gel{\"o}st werden k{\"o}nnen. Die vorliegende Arbeit untersucht die Eignung eines unstetigen Galerkin-Verfahrens niedriger Ordnung f{\"u}r atmosph{\"a}rische Anwendungen. Diese Eignung f{\"u}r Gleichungen mit Wirkungen von externen Kr{\"a}ften wie Erdanziehungskraft und Corioliskraft ist aus der Theorie nicht selbstverst{\"a}ndlich. Es werden n{\"o}tige Anpassungen beschrieben, die das Verfahren stabilisieren, ohne sogenannte „slope limiter" einzusetzen. F{\"u}r das unmodifizierte Verfahren wird belegt, dass es nicht geeignet ist, atmosph{\"a}rische Gleichgewichte stabil darzustellen. Das entwickelte stabilisierte Modell reproduziert eine Reihe von Standard-Testf{\"a}llen der atmosph{\"a}rischen Dynamik mit Euler- und Flachwassergleichungen in einem weiten Bereich von r{\"a}umlichen und zeitlichen Skalen. Die L{\"o}sung der thermischen Windgleichung entlang der mit den Isobaren identischen charakteristischen Kurven liefert atmosph{\"a}rische Gleichgewichtszust{\"a}nde mit durch vorgegebenem Grundstrom einstellbarer Neigung zu(barotropen und baroklinen)Instabilit{\"a}ten, die f{\"u}r die Entwicklung von Zyklonen wesentlich sind. Im Gegensatz zu fr{\"u}heren Arbeiten sind diese Zust{\"a}nde direkt im z-System(H{\"o}he in Metern)definiert und m{\"u}ssen nicht aus Druckkoordinaten {\"u}bertragen werden.Mit diesen Zust{\"a}nden, sowohl als Referenzzustand, von dem lediglich die Abweichungen numerisch betrachtet werden, und insbesondere auch als Startzustand, der einer kleinen St{\"o}rung unterliegt, werden verschiedene Studien der Simulation von barotroper und barokliner Instabilit{\"a}t durchgef{\"u}hrt. Hervorzuheben ist dabei die durch die Formulierung von Grundstr{\"o}men mit einstellbarer Baroklinit{\"a}t erm{\"o}glichte simulationsgest{\"u}tzte Studie des Grades der baroklinen Instabilit{\"a}t verschiedener Wellenl{\"a}ngen in Abh{\"a}ngigkeit von statischer Stabilit{\"a}t und vertikalem Windgradient als Entsprechung zu Stabilit{\"a}tskarten aus theoretischen Betrachtungen in der Literatur.}, language = {de} } @phdthesis{Beck2014, author = {Beck, Andreas}, title = {Unionsrechtliche Staatshaftung der EU-Mitgliedstaaten f{\"u}r judikatives Unrecht}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-80211}, school = {Universit{\"a}t Potsdam}, pages = {XIX, 260}, year = {2014}, abstract = {Obwohl in den unionalen Vertr{\"a}gen bis heute keine Vorschrift bez{\"u}glich einer Staatshaftung der Mitgliedstaaten f{\"u}r Entscheidungen ihrer Gerichte existiert, hat der Gerichtshof der Europ{\"a}ischen Union (EuGH) in einer Reihe von Entscheidungen eine solche Haftung entwickelt und pr{\"a}zisiert. Die vorliegende Arbeit analysiert eingehend diese Rechtsprechung mitsamt den sich daraus ergebenden facettenreichen Rechtsfragen. Im ersten Kapitel widmet sich die Arbeit der historischen Entwicklung der unionsrechtlichen Staatshaftung im Allgemeinen, ausgehend von dem bekannten Francovich-Urteil aus dem Jahr 1991. Sodann werden im zweiten Kapitel die zur Haftung f{\"u}r judikatives Unrecht grundlegenden Entscheidungen in den Rechtssachen K{\"o}bler und Traghetti vorgestellt. In dem sich anschließenden dritten Kapitel wird der Rechtscharakter der unionsrechtlichen Staatshaftung - einschließlich der Frage einer Subsidiarit{\"a}t des unionsrechtlichen Anspruchs gegen{\"u}ber bestehenden nationalen Staatshaftungsanspr{\"u}chen - untersucht. Das vierte Kapitel widmet sich der Frage, ob eine unionsrechtliche Staatshaftung f{\"u}r judikatives Unrecht prinzipiell anzuerkennen ist, wobei die wesentlichen f{\"u}r und gegen eine solche Haftung sprechenden Argumente ausf{\"u}hrlich behandelt und bewertet werden. Im f{\"u}nften Kapitel werden die im Zusammenhang mit den unionsrechtlichen Haftungsvoraussetzungen stehenden Probleme der Haftung f{\"u}r letztinstanzliche Gerichtsentscheidungen detailliert er{\"o}rtert. Zugleich wird der Frage nachgegangen, ob eine Haftung f{\"u}r fehlerhafte unterinstanzliche Gerichtsentscheidungen zu bef{\"u}rworten ist. Das sechste Kapitel befasst sich mit der Ausgestaltung der unionsrechtlichen Staatshaftung f{\"u}r letztinstanzliche Gerichtsentscheidungen durch die Mitgliedstaaten, wobei u.a. zur Anwendbarkeit der deutschen Haftungsprivilegien bei judikativem Unrecht auf den unionsrechtlichen Staatshaftungsanspruch Stellung genommen wird. Im letzten Kapitel wird der Frage nachgegangen, ob der EuGH {\"u}berhaupt {\"u}ber eine Kompetenz zur Schaffung der Staatshaftung f{\"u}r letztinstanzliche Gerichtsentscheidungen verf{\"u}gte. Abschließend werden die wichtigsten Ergebnisse der Arbeit pr{\"a}sentiert und ein Ausblick auf weitere m{\"o}gliche Auswirkungen und Entwicklungen der unionsrechtlichen Staatshaftung f{\"u}r judikatives Unrecht gegeben.}, language = {de} } @phdthesis{Logačev2014, author = {Logačev, Pavel}, title = {Underspecification and parallel processing in sentence comprehension}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-82047}, school = {Universit{\"a}t Potsdam}, year = {2014}, abstract = {The aim of the present thesis is to answer the question to what degree the processes involved in sentence comprehension are sensitive to task demands. A central phenomenon in this regard is the so-called ambiguity advantage, which is the finding that ambiguous sentences can be easier to process than unambiguous sentences. This finding may appear counterintuitive, because more meanings should be associated with a higher computational effort. Currently, two theories exist that can explain this finding. The Unrestricted Race Model (URM) by van Gompel et al. (2001) assumes that several sentence interpretations are computed in parallel, whenever possible, and that the first interpretation to be computed is assigned to the sentence. Because the duration of each structure-building process varies from trial to trial, the parallelism in structure-building predicts that ambiguous sentences should be processed faster. This is because when two structures are permissible, the chances that some interpretation will be computed quickly are higher than when only one specific structure is permissible. Importantly, the URM is not sensitive to task demands such as the type of comprehension questions being asked. A radically different proposal is the strategic underspecification model by Swets et al. (2008). It assumes that readers do not attempt to resolve ambiguities unless it is absolutely necessary. In other words, they underspecify. According the strategic underspecification hypothesis, all attested replications of the ambiguity advantage are due to the fact that in those experiments, readers were not required to fully understand the sentence. In this thesis, these two models of the parser's actions at choice-points in the sentence are presented and evaluated. First, it is argued that the Swets et al.'s (2008) evidence against the URM and in favor of underspecification is inconclusive. Next, the precise predictions of the URM as well as the underspecification model are refined. Subsequently, a self-paced reading experiment involving the attachment of pre-nominal relative clauses in Turkish is presented, which provides evidence against strategical underspecification. A further experiment is presented which investigated relative clause attachment in German using the speed-accuracy tradeoff (SAT) paradigm. The experiment provides evidence against strategic underspecification and in favor of the URM. Furthermore the results of the experiment are used to argue that human sentence comprehension is fallible, and that theories of parsing should be able to account for that fact. Finally, a third experiment is presented, which provides evidence for the sensitivity to task demands in the treatment of ambiguities. Because this finding is incompatible with the URM, and because the strategic underspecification model has been ruled out, a new model of ambiguity resolution is proposed: the stochastic multiple-channel model of ambiguity resolution (SMCM). It is further shown that the quantitative predictions of the SMCM are in agreement with experimental data. In conclusion, it is argued that the human sentence comprehension system is parallel and fallible, and that it is sensitive to task-demands.}, language = {en} } @phdthesis{Goswami2014, author = {Goswami, Bedartha}, title = {Uncertainties in climate data analysis}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-78312}, school = {Universit{\"a}t Potsdam}, year = {2014}, abstract = {Scientific inquiry requires that we formulate not only what we know, but also what we do not know and by how much. In climate data analysis, this involves an accurate specification of measured quantities and a consequent analysis that consciously propagates the measurement errors at each step. The dissertation presents a thorough analytical method to quantify errors of measurement inherent in paleoclimate data. An additional focus are the uncertainties in assessing the coupling between different factors that influence the global mean temperature (GMT). Paleoclimate studies critically rely on `proxy variables' that record climatic signals in natural archives. However, such proxy records inherently involve uncertainties in determining the age of the signal. We present a generic Bayesian approach to analytically determine the proxy record along with its associated uncertainty, resulting in a time-ordered sequence of correlated probability distributions rather than a precise time series. We further develop a recurrence based method to detect dynamical events from the proxy probability distributions. The methods are validated with synthetic examples and demonstrated with real-world proxy records. The proxy estimation step reveals the interrelations between proxy variability and uncertainty. The recurrence analysis of the East Asian Summer Monsoon during the last 9000 years confirms the well-known `dry' events at 8200 and 4400 BP, plus an additional significantly dry event at 6900 BP. We also analyze the network of dependencies surrounding GMT. We find an intricate, directed network with multiple links between the different factors at multiple time delays. We further uncover a significant feedback from the GMT to the El Ni{\~n}o Southern Oscillation at quasi-biennial timescales. The analysis highlights the need of a more nuanced formulation of influences between different climatic factors, as well as the limitations in trying to estimate such dependencies.}, language = {en} } @phdthesis{Trabant2014, author = {Trabant, Christoph}, title = {Ultrafast photoinduced phase transitions in complex materials probed by time-resolved resonant soft x-ray diffraction}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-71377}, school = {Universit{\"a}t Potsdam}, year = {2014}, abstract = {In processing and data storage mainly ferromagnetic (FM) materials are being used. Approaching physical limits, new concepts have to be found for faster, smaller switches, for higher data densities and more energy efficiency. Some of the discussed new concepts involve the material classes of correlated oxides and materials with antiferromagnetic coupling. Their applicability depends critically on their switching behavior, i.e., how fast and how energy efficient material properties can be manipulated. This thesis presents investigations of ultrafast non-equilibrium phase transitions on such new materials. In transition metal oxides (TMOs) the coupling of different degrees of freedom and resulting low energy excitation spectrum often result in spectacular changes of macroscopic properties (colossal magneto resistance, superconductivity, metal-to-insulator transitions) often accompanied by nanoscale order of spins, charges, orbital occupation and by lattice distortions, which make these material attractive. Magnetite served as a prototype for functional TMOs showing a metal-to-insulator-transition (MIT) at T = 123 K. By probing the charge and orbital order as well as the structure after an optical excitation we found that the electronic order and the structural distortion, characteristics of the insulating phase in thermal equilibrium, are destroyed within the experimental resolution of 300 fs. The MIT itself occurs on a 1.5 ps timescale. It shows that MITs in functional materials are several thousand times faster than switching processes in semiconductors. Recently ferrimagnetic and antiferromagnetic (AFM) materials have become interesting. It was shown in ferrimagnetic GdFeCo, that the transfer of angular momentum between two opposed FM subsystems with different time constants leads to a switching of the magnetization after laser pulse excitation. In addition it was theoretically predicted that demagnetization dynamics in AFM should occur faster than in FM materials as no net angular momentum has to be transferred out of the spin system. We investigated two different AFM materials in order to learn more about their ultrafast dynamics. In Ho, a metallic AFM below T ≈ 130 K, we found that the AFM Ho can not only be faster but also ten times more energy efficiently destroyed as order in FM comparable metals. In EuTe, an AFM semiconductor below T ≈ 10 K, we compared the loss of magnetization and laser-induced structural distortion in one and the same experiment. Our experiment shows that they are effectively disentangled. An exception is an ultrafast release of lattice dynamics, which we assign to the release of magnetostriction. The results presented here were obtained with time-resolved resonant soft x-ray diffraction at the Femtoslicing source of the Helmholtz-Zentrum Berlin and at the free-electron laser in Stanford (LCLS). In addition the development and setup of a new UHV-diffractometer for these experiments will be reported.}, language = {en} } @phdthesis{Schollaen2014, author = {Schollaen, Karina}, title = {Tracking climate signals in tropical trees}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-71947}, school = {Universit{\"a}t Potsdam}, year = {2014}, abstract = {The tropical warm pool waters surrounding Indonesia are one of the equatorial heat and moisture sources that are considered as a driving force of the global climate system. The climate in Indonesia is dominated by the equatorial monsoon system, and has been linked to El Ni{\~n}o-Southern Oscillation (ENSO) events, which often result in severe droughts or floods over Indonesia with profound societal and economic impacts on the populations living in the world's fourth most populated country. The latest IPCC report states that ENSO will remain the dominant mode in the tropical Pacific with global effects in the 21st century and ENSO-related precipitation extremes will intensify. However, no common agreement exists among climate simulation models for projected change in ENSO and the Australian-Indonesian Monsoon. Exploring high-resolution palaeoclimate archives, like tree rings or varved lake sediments, provide insights into the natural climate variability of the past, and thus helps improving and validating simulations of future climate changes. Centennial tree-ring stable isotope records | Within this doctoral thesis the main goal was to explore the potential of tropical tree rings to record climate signals and to use them as palaeoclimate proxies. In detail, stable carbon (δ13C) and oxygen (δ18O) isotopes were extracted from teak trees in order to establish the first well-replicated centennial (AD 1900-2007) stable isotope records for Java, Indonesia. Furthermore, different climatic variables were tested whether they show significant correlation with tree-ring proxies (ring-width, δ13C, δ18O). Moreover, highly resolved intra-annual oxygen isotope data were established to assess the transfer of the seasonal precipitation signal into the tree rings. Finally, the established oxygen isotope record was used to reveal possible correlations with ENSO events. Methodological achievements | A second goal of this thesis was to assess the applicability of novel techniques which facilitate and optimize high-resolution and high-throughput stable isotope analysis of tree rings. Two different UV-laser-based microscopic dissection systems were evaluated as a novel sampling tool for high-resolution stable isotope analysis. Furthermore, an improved procedure of tree-ring dissection from thin cellulose laths for stable isotope analysis was designed. The most important findings of this thesis are: I) The herein presented novel sampling techniques improve stable isotope analyses for tree-ring studies in terms of precision, efficiency and quality. The UV-laser-based microdissection serve as a valuable tool for sampling plant tissue at ultrahigh-resolution and for unprecedented precision. II) A guideline for a modified method of cellulose extraction from wholewood cross-sections and subsequent tree-ring dissection was established. The novel technique optimizes the stable isotope analysis process in two ways: faster and high-throughput cellulose extraction and precise tree-ring separation at annual to high-resolution scale. III) The centennial tree-ring stable isotope records reveal significant correlation with regional precipitation. High-resolution stable oxygen values, furthermore, allow distinguishing between dry and rainy season rainfall. IV) The δ18O record reveals significant correlation with different ENSO flavors and demonstrates the importance of considering ENSO flavors when interpreting palaeoclimatic data in the tropics. The findings of my dissertation show that seasonally resolved δ18O records from Indonesian teak trees are a valuable proxy for multi-centennial reconstructions of regional precipitation variability (monsoon signals) and large-scale ocean-atmosphere phenomena (ENSO) for the Indo-Pacific region. Furthermore, the novel methodological achievements offer many unexplored avenues for multidisciplinary research in high-resolution palaeoclimatology.}, language = {en} } @phdthesis{Biegholdt2014, author = {Biegholdt, Georg}, title = {Theorie und Praxis der Lerngruppensprache im Musikunterricht}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-69657}, school = {Universit{\"a}t Potsdam}, year = {2014}, abstract = {Der Umgang mit der musikalischen Fachsprache wird in den meisten Lehrpl{\"a}nen f{\"u}r den Musikunterricht der Sekundarstufe I gefordert. Allerdings fehlt nicht nur in den Lehrpl{\"a}nen, sondern auch in der musikdidaktischen Literatur eine inhaltliche Ausgestaltung dieser Forderung. {\"U}ber Inhalt, Umfang und Ziel der in der Schule anzuwendenden musikalischen Fachsprache herrscht daher keine Klarheit. Empirische Untersuchungen zu den sprachlichen Inhalten im Musikunterricht liegen ebenfalls nicht vor. Auch in vielen anderen Unterrichtsf{\"a}chern ist die Forschungslage die sprachlichen Inhalte betreffend {\"u}berschaubar. Mit der Verwendung von Sprache sind jedoch nicht nur Kommunikationsprozesse verbunden, sondern gleichzeitig Lernprozesse innerhalb der Sprache, von der Wortschatzerweiterung bis zur Herstellung von inhaltlich-thematischen Zusammenh{\"a}ngen. Diese Lernprozesse werden beeinflusst von der Wortwahl der Lernenden und Lehrenden. Die Wortwahl der Lernenden l{\"a}sst gleichzeitig einen Schluss zu auf den Stand des Wissens und dessen Vernetzung. Auf dieser Basis ist der sprachliche Inhalt des Musikunterrichtes der Gegenstand der vorgelegten Arbeit. Ziel der Studie war herauszu¬finden, inwieweit es gelingen kann, durch die Art und Weise des Einsatzes und den Umfang von Fachsprache im Musikunterricht Lernprozesse effektiver und erfolgreicher zu gestalten und besser an Gegenwarts- und Zukunftsbed{\"u}rfnissen der Lernenden auszurichten.}, language = {de} } @phdthesis{BacskaiAtkari2014, author = {Bacskai-Atkari, Julia}, title = {The syntax of comparative constructions : operators, ellipsis phenomena and functional left peripheries}, publisher = {Universit{\"a}tsverlag Potsdam}, address = {Potsdam}, isbn = {978-3-86956-301-5}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-71255}, school = {Universit{\"a}t Potsdam}, pages = {xiii, 310}, year = {2014}, abstract = {Adopting a minimalist framework, the dissertation provides an analysis for the syntactic structure of comparatives, with special attention paid to the derivation of the subclause. The proposed account explains how the comparative subclause is connected to the matrix clause, how the subclause is formed in the syntax and what additional processes contribute to its final structure. In addition, it casts light upon these problems in cross-linguistic terms and provides a model that allows for synchronic and diachronic differences. This also enables one to give a more adequate explanation for the phenomena found in English comparatives since the properties of English structures can then be linked to general settings of the language and hence need no longer be considered as idiosyncratic features of the grammar of English. First, the dissertation provides a unified analysis of degree expressions, relating the structure of comparatives to that of other degrees. It is shown that gradable adjectives are located within a degree phrase (DegP), which in turn projects a quantifier phrase (QP) and that these two functional layers are always present, irrespectively of whether there is a phonologically visible element in these layers. Second, the dissertation presents a novel analysis of Comparative Deletion by reducing it to an overtness constraint holding on operators: in this way, it is reduced to morphological differences and cross-linguistic variation is not conditioned by way of postulating an arbitrary parameter. Cross-linguistic differences are ultimately dependent on whether a language has overt operators equipped with the relevant - [+compr] and [+rel] - features. Third, the dissertation provides an adequate explanation for the phenomenon of Attributive Comparative Deletion, as attested in English, by way of relating it to the regular mechanism of Comparative Deletion. I assume that Attributive Comparative Deletion is not a universal phenomenon, and its presence in English can be conditioned by independent, more general rules, while the absence of such restrictions leads to its absence in other languages. Fourth, the dissertation accounts for certain phenomena related to diachronic changes, examining how the changes in the status of comparative operators led to changes in whether Comparative Deletion is attested in a given language: I argue that only operators without a lexical XP can be grammaticalised. The underlying mechanisms underlying are essentially general economy principles and hence the processes are not language-specific or exceptional. Fifth, the dissertation accounts for optional ellipsis processes that play a crucial role in the derivation of typical comparative subclauses. These processes are not directly related to the structure of degree expressions and hence the elimination of the quantified expression from the subclause; nevertheless, they are shown to be in interaction with the mechanisms underlying Comparative Deletion or the absence thereof.}, language = {en} } @phdthesis{Schmitt2014, author = {Schmitt, Clemens Nikolaus Zeno}, title = {The role of protein metal complexes in the mechanics of Mytilus californianus byssal threads}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-74216}, school = {Universit{\"a}t Potsdam}, pages = {VIII, 93}, year = {2014}, abstract = {Protein-metal coordination complexes are well known as active centers in enzymatic catalysis, and to contribute to signal transduction, gas transport, and to hormone function. Additionally, they are now known to contribute as load-bearing cross-links to the mechanical properties of several biological materials, including the jaws of Nereis worms and the byssal threads of marine mussels. The primary aim of this thesis work is to better understand the role of protein-metal cross-links in the mechanical properties of biological materials, using the mussel byssus as a model system. Specifically, the focus is on histidine-metal cross-links as sacrificial bonds in the fibrous core of the byssal thread (Chapter 4) and L-3,4-dihydroxyphenylalanine (DOPA)-metal bonds in the protective thread cuticle (Chapter 5). Byssal threads are protein fibers, which mussels use to attach to various substrates at the seashore. These relatively stiff fibers have the ability to extend up to about 100 \% strain, dissipating large amounts of mechanical energy from crashing waves, for example. Remarkably, following damage from cyclic loading, initial mechanical properties are subsequently recovered by a material-intrinsic self-healing capability. Histidine residues coordinated to transition metal ions in the proteins comprising the fibrous thread core have been suggested as reversible sacrificial bonds that contribute to self-healing; however, this remains to be substantiated in situ. In the first part of this thesis, the role of metal coordination bonds in the thread core was investigated using several spectroscopic methods. In particular, X-ray absorption spectroscopy (XAS) was applied to probe the coordination environment of zinc in Mytilus californianus threads at various stages during stretching and subsequent healing. Analysis of the extended X-ray absorption fine structure (EXAFS) suggests that tensile deformation of threads is correlated with the rupture of Zn-coordination bonds and that self-healing is connected with the reorganization of Zn-coordination bond topologies rather than the mere reformation of Zn-coordination bonds. These findings have interesting implications for the design of self-healing metallopolymers. The byssus cuticle is a protective coating surrounding the fibrous thread core that is both as hard as an epoxy and extensible up to 100 \% strain before cracking. It was shown previously that cuticle stiffness and hardness largely depend on the presence of Fe-DOPA coordination bonds. However, the byssus is known to concentrate a large variety of metals from seawater, some of which are also capable of binding DOPA (e.g. V). Therefore, the question arises whether natural variation of metal composition can affect the mechanical performance of the byssal thread cuticle. To investigate this hypothesis, nanoindentation and confocal Raman spectroscopy were applied to the cuticle of native threads, threads with metals removed (EDTA treated), and threads in which the metal ions in the native tissue were replaced by either Fe or V. Interestingly, replacement of metal ions with either Fe or V leads to the full recovery of native mechanical properties with no statistical difference between each other or the native properties. This likely indicates that a fixed number of metal coordination sites are maintained within the byssal thread cuticle - possibly achieved during thread formation - which may provide an evolutionarily relevant mechanism for maintaining reliable mechanics in an unpredictable environment. While the dynamic exchange of bonds plays a vital role in the mechanical behavior and self-healing in the thread core by allowing them to act as reversible sacrificial bonds, the compatibility of DOPA with other metals allows an inherent adaptability of the thread cuticle to changing circumstances. The requirements to both of these materials can be met by the dynamic nature of the protein-metal cross-links, whereas covalent cross-linking would fail to provide the adaptability of the cuticle and the self-healing of the core. In summary, these studies of the thread core and the thread cuticle serve to underline the important and dynamic roles of protein-metal coordination in the mechanical function of load-bearing protein fibers, such as the mussel byssus.}, language = {en} } @phdthesis{Schaefer2014, author = {Schaefer, Laura}, title = {Synchronisationsph{\"a}nomene myotendin{\"o}ser Oszillationen interagierender neuromuskul{\"a}rer Systeme}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-72445}, school = {Universit{\"a}t Potsdam}, year = {2014}, abstract = {Muskeln oszillieren nachgewiesener Weise mit einer Frequenz um 10 Hz. Doch was geschieht mit myofaszialen Oszillationen, wenn zwei neuromuskul{\"a}re Systeme interagieren? Die Dissertation widmet sich dieser Fragestellung bei isometrischer Interaktion. W{\"a}hrend der Testmessungen ergaben sich Hinweise f{\"u}r das Vorhandensein von m{\"o}glicherweise zwei verschiedenen Formen der Isometrie. Arbeiten zwei Personen isometrisch gegeneinander, k{\"o}nnen subjektiv zwei Modi eingenommen werden: man kann entweder isometrisch halten - der Kraft des Partners widerstehen - oder isometrisch dr{\"u}cken - gegen den isometrischen Widerstand des Partners arbeiten. Daher wurde zus{\"a}tzlich zu den Messungen zur Interaktion zweier Personen an einzelnen Individuen gepr{\"u}ft, ob m{\"o}glicherweise zwei Formen der Isometrie existieren. Die Promotion besteht demnach aus zwei inhaltlich und methodisch getrennten Teilen: I „Single-Isometrie" und II „Paar-Isometrie". F{\"u}r Teil I wurden mithilfe eines pneumatisch betriebenen Systems die hypothetischen Messmodi Halten und Dr{\"u}cken w{\"a}hrend isometrischer Aktion untersucht. Bei n = 10 Probanden erfolgte parallel zur Aufzeichnung des Drucksignals w{\"a}hrend der Messungen die Erfassung der Kraft (DMS) und der Beschleunigung sowie die Aufnahme der mechanischen Muskeloszillationen folgender myotendin{\"o}ser Strukturen via Mechanomyo- (MMG) bzw. Mechanotendografie (MTG): M. triceps brachii (MMGtri), Trizepssehne (MTGtri), M. obliquus externus abdominis (MMGobl). Pro Proband wurden bei 80 \% der MVC sowohl sechs 15-Sekunden-Messungen (jeweils drei im haltenden bzw. dr{\"u}ckenden Modus; Pause: 1 Minute) als auch vier Erm{\"u}dungsmessungen (jeweils zwei im haltenden bzw. dr{\"u}ckenden Modus; Pause: 2 Minuten) durchgef{\"u}hrt. Zum Vergleich der Messmodi Halten und Dr{\"u}cken wurden die Amplituden der myofaszialen Oszillationen sowie die Kraftausdauer herangezogen. Signifikante Unterschiede zwischen dem haltenden und dem dr{\"u}ckenden Modus zeigten sich insbesondere im Bereich der Erm{\"u}dungscharakteristik. So lassen Probanden im haltenden Modus signifikant fr{\"u}her nach als im dr{\"u}ckenden Modus (t(9) = 3,716; p = .005). Im dr{\"u}ckenden Modus macht das l{\"a}ngste isometrische Plateau durchschnittlich 59,4 \% der Gesamtdauer aus, im haltenden sind es 31,6 \% (t(19) = 5,265, p = .000). Die Amplituden der Single-Isometrie-Messungen unterscheiden sich nicht signifikant. Allerdings variieren die Amplituden des MMGobl zwischen den Messungen im dr{\"u}ckenden Modus signifikant st{\"a}rker als im haltenden Modus. Aufgrund dieser teils signifikanten Unterschiede zwischen den beiden Messmodi wurde dieses Setting auch im zweiten Teil „Paar-Isometrie" ber{\"u}cksichtigt. Dort wurden n = 20 Probanden - eingeteilt in zehn gleichgeschlechtliche Paare - w{\"a}hrend isometrischer Interaktion untersucht. Die Sensorplatzierung erfolgte analog zu Teil I. Die Oszillationen der erfassten MTG- sowie MMG-Signale wurden u.a. mit Algorithmen der Nichtlinearen Dynamik auf ihre Koh{\"a}renz hin untersucht. Durch die Paar-Isometrie-Messungen zeigte sich, dass die Muskeln und die Sehnen beider neuromuskul{\"a}rer Systeme bei Interaktion im bekannten Frequenzbereich von 10 Hz oszillieren. Außerdem waren sie in der Lage, sich bei Interaktion so aufeinander abzustimmen, dass sich eine signifikante Koh{\"a}renz entwickelte, die sich von Zufallspaarungen signifikant unterscheidet (Patchanzahl: t(29) = 3,477; p = .002; Summe der 4 l{\"a}ngsten Patches: t(29) = 7,505; p = .000). Es wird der Schluss gezogen, dass neuromuskul{\"a}re Komplement{\"a}rpartner in der Lage sind, sich im Sinne koh{\"a}renten Verhaltens zu synchronisieren. Bez{\"u}glich der Parameter zur Untersuchung der m{\"o}glicherweise vorhandenen zwei Formen der Isometrie zeigte sich bei den Paar-Isometrie-Messungen zwischen Halten und Dr{\"u}cken ein signifikanter Unterschied bei der Erm{\"u}dungscharakteristik sowie bez{\"u}glich der Amplitude der MMGobl. Die Ergebnisse beider Teilstudien best{\"a}rken die Hypothese, dass zwei Formen der Isometrie existieren. Fraglich ist, ob man {\"u}berhaupt von Isometrie sprechen kann, da jede isometrische Muskelaktion aus feinen Oszillationen besteht, die eine per Definition postulierte Isometrie ausschließen. Es wird der Vorschlag unterbreitet, die Isometrie durch den Begriff der Hom{\"o}ometrie auszutauschen. Die Ergebnisse der Paar-Isometrie-Messungen zeigen u.a., dass neuromuskul{\"a}re Systeme in der Lage sind, ihre myotendin{\"o}sen Oszillationen so aufeinander abzustimmen, dass koh{\"a}rentes Verhalten entsteht. Es wird angenommen, dass hierzu beide neuromuskul{\"a}ren Systeme funktionell intakt sein m{\"u}ssen. Das Verfahren k{\"o}nnte f{\"u}r die Diagnostik funktioneller St{\"o}rungen relevant werden.}, language = {de} } @phdthesis{Pussak2014, author = {Pussak, Marcin}, title = {Seismic characterization of geothermal reservoirs by application of the common-reflection-surface stack method and attribute analysis}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-77565}, school = {Universit{\"a}t Potsdam}, pages = {viii, 140}, year = {2014}, abstract = {An important contribution of geosciences to the renewable energy production portfolio is the exploration and utilization of geothermal resources. For the development of a geothermal project at great depths a detailed geological and geophysical exploration program is required in the first phase. With the help of active seismic methods high-resolution images of the geothermal reservoir can be delivered. This allows potential transport routes for fluids to be identified as well as regions with high potential of heat extraction to be mapped, which indicates favorable conditions for geothermal exploitation. The presented work investigates the extent to which an improved characterization of geothermal reservoirs can be achieved with the new methods of seismic data processing. The summations of traces (stacking) is a crucial step in the processing of seismic reflection data. The common-reflection-surface (CRS) stacking method can be applied as an alternative for the conventional normal moveout (NMO) or the dip moveout (DMO) stack. The advantages of the CRS stack beside an automatic determination of stacking operator parameters include an adequate imaging of arbitrarily curved geological boundaries, and a significant increase in signal-to-noise (S/N) ratio by stacking far more traces than used in a conventional stack. A major innovation I have shown in this work is that the quality of signal attributes that characterize the seismic images can be significantly improved by this modified type of stacking in particular. Imporoved attribute analysis facilitates the interpretation of seismic images and plays a significant role in the characterization of reservoirs. Variations of lithological and petro-physical properties are reflected by fluctuations of specific signal attributes (eg. frequency or amplitude characteristics). Its further interpretation can provide quality assessment of the geothermal reservoir with respect to the capacity of fluids within a hydrological system that can be extracted and utilized. The proposed methodological approach is demonstrated on the basis on two case studies. In the first example, I analyzed a series of 2D seismic profile sections through the Alberta sedimentary basin on the eastern edge of the Canadian Rocky Mountains. In the second application, a 3D seismic volume is characterized in the surroundings of a geothermal borehole, located in the central part of the Polish basin. Both sites were investigated with the modified and improved stacking attribute analyses. The results provide recommendations for the planning of future geothermal plants in both study areas.}, language = {en} } @phdthesis{Schulz2014, author = {Schulz, Anneli}, title = {Search for gamma-ray emission from bow shocks of runaway stars}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-73905}, school = {Universit{\"a}t Potsdam}, pages = {123}, year = {2014}, abstract = {The mystery of the origin of cosmic rays has been tackled for more than hundred years and is still not solved. Cosmic rays are detected with energies spanning more than 10 orders of magnitude and reaching energies up to ~10²¹ eV, far higher than any man-made accelerator can reach. Different theories on the astrophysical objects and processes creating such highly energetic particles have been proposed. A very prominent explanation for a process producing highly energetic particles is shock acceleration. The observation of high-energy gamma rays from supernova remnants, some of them revealing a shell like structure, is clear evidence that particles are accelerated to ultrarelativistic energies in the shocks of these objects. The environments of supernova remnants are complex and challenge detailed modelling of the processes leading to high-energy gamma-ray emission. The study of shock acceleration at bow shocks, created by the supersonic movement of individual stars through the interstellar medium, offers a unique possibility to determine the physical properties of shocks in a less complex environment. The shocked medium is heated by the stellar and the shock excited radiation, leading to thermal infrared emission. 28 bow shocks have been discovered through their infrared emission. Nonthermal radiation in radio and X-ray wavelengths has been detected from two bow shocks, pointing to the existence of relativistic particles in these systems. Theoretical models of the emission processes predict high-energy and very high-energy emission at a flux level in reach of current instruments. This work presents the search for gamma-ray emission from bow shocks of runaway stars in the energy regime from 100MeV to ~100TeV. The search is performed with the large area telescope (LAT) on-board the Fermi satellite and the H.E.S.S. telescopes located in the Khomas Highland in Namibia. The Fermi-LAT was launched in 2008 and is continuously scanning the sky since then. It detects photons with energies from 20MeV to over 300 GeV and has an unprecedented sensitivity. The all-sky coverage allows us to study all 28 bow shocks of runaway stars listed in the E-BOSS catalogue of infrared bow shocks. No significant emission was detected from any of the objects, although predicted by several theoretical models describing the non-thermal emission of bow shocks of runaway stars. The H.E.S.S. experiment is the most sensitive system of imaging atmospheric Cherenkov telescopes. It detects photons from several tens of GeV to ~100TeV. Seven of the bow shocks have been observed with H.E.S.S. and the data analysis is presented in this thesis. The analyses of the very-high energy data did not reveal significant emission from any of the sources either. This work presents the first systematic search for gamma-ray emission from bow shocks of runaway stars. For the first time Fermi-LAT data was specifically analysed to reveal emission from bow shocks of runaway stars. In the TeV regime no searches for emission from theses objects have been published so far, the study presented here is the first in this energy regime. The level of the gamma-ray emission from bow shocks of runaway stars is constrained by the calculated upper limits over six orders in magnitude in energy. The upper limits calculated for the bow shocks of runaway stars in the course of this work, constrain several models. For the best candidate, ζ Ophiuchi, the upper limits in the Fermi-LAT energy range are lower than the predictions by a factor ~5. This challenges the assumptions made in this model and gives valuable input for further modelling approaches. The analyses were performed with the software packages provided by the H.E.S.S. and Fermi collaborations. The development of a unified analysis framework for gamma-ray data, namely GammaLib/ctools, is rapidly progressing within the CTA consortium. Recent implementations and cross-checks with current software frameworks are presented in the Appendix.}, language = {en} } @phdthesis{Kirchhecker2014, author = {Kirchhecker, Sarah}, title = {Renewable imidazolium zwitterions as platform molecules for the synthesis of ionic liquids and materials}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-77412}, school = {Universit{\"a}t Potsdam}, pages = {136}, year = {2014}, abstract = {Following the principles of green chemistry, a simple and efficient synthesis of functionalised imidazolium zwitterionic compounds from renewable resources was developed based on a modified one-pot Debus-Radziszewski reaction. The combination of different carbohydrate-derived 1,2-dicarbonyl compounds and amino acids is a simple way to modulate the properties and introduce different functionalities. A representative compound was assessed as an acid catalyst, and converted into acidic ionic liquids by reaction with several strong acids. The reactivity of the double carboxylic functionality was explored by esterification with long and short chain alcohols, as well as functionalised amines, which led to the straightforward formation of surfactant-like molecules or bifunctional esters and amides. One of these di-esters is currently being investigated for the synthesis of poly(ionic liquids). The functionalisation of cellulose with one of the bifunctional esters was investigated and preliminary tests employing it for the functionalisation of filter papers were carried out successfully. The imidazolium zwitterions were converted into ionic liquids via hydrothermal decarboxylation in flow, a benign and scalable technique. This method provides access to imidazolium ionic liquids via a simple and sustainable methodology, whilst completely avoiding contamination with halide salts. Different ionic liquids can be generated depending on the functionality contained in the ImZw precursor. Two alanine-derived ionic liquids were assessed for their physicochemical properties and applications as solvents for the dissolution of cellulose and the Heck coupling.}, language = {en} } @phdthesis{Videla2014, author = {Videla, Santiago}, title = {Reasoning on the response of logical signaling networks with answer set programming}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-71890}, school = {Universit{\"a}t Potsdam}, year = {2014}, abstract = {Deciphering the functioning of biological networks is one of the central tasks in systems biology. In particular, signal transduction networks are crucial for the understanding of the cellular response to external and internal perturbations. Importantly, in order to cope with the complexity of these networks, mathematical and computational modeling is required. We propose a computational modeling framework in order to achieve more robust discoveries in the context of logical signaling networks. More precisely, we focus on modeling the response of logical signaling networks by means of automated reasoning using Answer Set Programming (ASP). ASP provides a declarative language for modeling various knowledge representation and reasoning problems. Moreover, available ASP solvers provide several reasoning modes for assessing the multitude of answer sets. Therefore, leveraging its rich modeling language and its highly efficient solving capacities, we use ASP to address three challenging problems in the context of logical signaling networks: learning of (Boolean) logical networks, experimental design, and identification of intervention strategies. Overall, the contribution of this thesis is three-fold. Firstly, we introduce a mathematical framework for characterizing and reasoning on the response of logical signaling networks. Secondly, we contribute to a growing list of successful applications of ASP in systems biology. Thirdly, we present a software providing a complete pipeline for automated reasoning on the response of logical signaling networks.}, language = {en} } @phdthesis{Mayer2014, author = {Mayer, Michael}, title = {Pulsar wind nebulae at high energies}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-71504}, school = {Universit{\"a}t Potsdam}, pages = {142}, year = {2014}, abstract = {Pulsar wind nebulae (PWNe) are the most abundant TeV gamma-ray emitters in the Milky Way. The radiative emission of these objects is powered by fast-rotating pulsars, which donate parts of their rotational energy into winds of relativistic particles. This thesis presents an in-depth study of the detected population of PWNe at high energies. To outline general trends regarding their evolutionary behaviour, a time-dependent model is introduced and compared to the available data. In particular, this work presents two exceptional PWNe which protrude from the rest of the population, namely the Crab Nebula and N 157B. Both objects are driven by pulsars with extremely high rotational energy loss rates. Accordingly, they are often referred to as energetic twins. Modelling the non-thermal multi-wavelength emission of N157B gives access to specific properties of this object, like the magnetic field inside the nebula. Comparing the derived parameters to those of the Crab Nebula reveals large intrinsic differences between the two PWNe. Possible origins of these differences are discussed in context of the resembling pulsars. Compared to the TeV gamma-ray regime, the number of detected PWNe is much smaller in the MeV-GeV gamma-ray range. In the latter range, the Crab Nebula stands out by the recent detection of gamma-ray flares. In general, the measured flux enhancements on short time scales of days to weeks were not expected in the theoretical understanding of PWNe. In this thesis, the variability of the Crab Nebula is analysed using data from the Fermi Large Area Telescope (Fermi-LAT). For the presented analysis, a new gamma-ray reconstruction method is used, providing a higher sensitivity and a lower energy threshold compared to previous analyses. The derived gamma-ray light curve of the Crab Nebula is investigated for flares and periodicity. The detected flares are analysed regarding their energy spectra, and their variety and commonalities are discussed. In addition, a dedicated analysis of the flare which occurred in March 2013 is performed. The derived short-term variability time scale is roughly 6h, implying a small region inside the Crab Nebula to be responsible for the enigmatic flares. The most promising theories explaining the origins of the flux eruptions and gamma-ray variability are discussed in detail. In the technical part of this work, a new analysis framework is presented. The introduced software, called gammalib/ctools, is currently being developed for the future CTA observa- tory. The analysis framework is extensively tested using data from the H. E. S. S. experiment. To conduct proper data analysis in the likelihood framework of gammalib/ctools, a model describing the distribution of background events in H.E.S.S. data is presented. The software provides the infrastructure to combine data from several instruments in one analysis. To study the gamma-ray emitting PWN population, data from Fermi-LAT and H. E. S. S. are combined in the likelihood framework of gammalib/ctools. In particular, the spectral peak, which usually lies in the overlap energy regime between these two instruments, is determined with the presented analysis framework. The derived measurements are compared to the predictions from the time-dependent model. The combined analysis supports the conclusion of a diverse population of gamma-ray emitting PWNe.}, language = {en} } @phdthesis{RoggeSolti2014, author = {Rogge-Solti, Andreas}, title = {Probabilistic Estimation of Unobserved Process Events}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-70426}, school = {Universit{\"a}t Potsdam}, year = {2014}, abstract = {Organizations try to gain competitive advantages, and to increase customer satisfaction. To ensure the quality and efficiency of their business processes, they perform business process management. An important part of process management that happens on the daily operational level is process controlling. A prerequisite of controlling is process monitoring, i.e., keeping track of the performed activities in running process instances. Only by process monitoring can business analysts detect delays and react to deviations from the expected or guaranteed performance of a process instance. To enable monitoring, process events need to be collected from the process environment. When a business process is orchestrated by a process execution engine, monitoring is available for all orchestrated process activities. Many business processes, however, do not lend themselves to automatic orchestration, e.g., because of required freedom of action. This situation is often encountered in hospitals, where most business processes are manually enacted. Hence, in practice it is often inefficient or infeasible to document and monitor every process activity. Additionally, manual process execution and documentation is prone to errors, e.g., documentation of activities can be forgotten. Thus, organizations face the challenge of process events that occur, but are not observed by the monitoring environment. These unobserved process events can serve as basis for operational process decisions, even without exact knowledge of when they happened or when they will happen. An exemplary decision is whether to invest more resources to manage timely completion of a case, anticipating that the process end event will occur too late. This thesis offers means to reason about unobserved process events in a probabilistic way. We address decisive questions of process managers (e.g., "when will the case be finished?", or "when did we perform the activity that we forgot to document?") in this thesis. As main contribution, we introduce an advanced probabilistic model to business process management that is based on a stochastic variant of Petri nets. We present a holistic approach to use the model effectively along the business process lifecycle. Therefore, we provide techniques to discover such models from historical observations, to predict the termination time of processes, and to ensure quality by missing data management. We propose mechanisms to optimize configuration for monitoring and prediction, i.e., to offer guidance in selecting important activities to monitor. An implementation is provided as a proof of concept. For evaluation, we compare the accuracy of the approach with that of state-of-the-art approaches using real process data of a hospital. Additionally, we show its more general applicability in other domains by applying the approach on process data from logistics and finance.}, language = {en} } @phdthesis{Trost2014, author = {Trost, Gerda}, title = {Poly(A) Polymerase 1 (PAPS1) influences organ size and pathogen response in Arabidopsis thaliana}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-72345}, school = {Universit{\"a}t Potsdam}, year = {2014}, abstract = {Polyadenylation of pre-mRNAs is critical for efficient nuclear export, stability, and translation of the mature mRNAs, and thus for gene expression. The bulk of pre-mRNAs are processed by canonical nuclear poly(A) polymerase (PAPS). Both vertebrate and higher-plant genomes encode more than one isoform of this enzyme, and these are coexpressed in different tissues. However, in neither case is it known whether the isoforms fulfill different functions or polyadenylate distinct subsets of pre-mRNAs. This thesis shows that the three canonical nuclear PAPS isoforms in Arabidopsis are functionally specialized owing to their evolutionarily divergent C-terminal domains. A moderate loss-of-function mutant in PAPS1 leads to increase in floral organ size, whereas leaf size is reduced. A strong loss-of-function mutation causes a male gametophytic defect, whereas a weak allele leads to reduced leaf growth. By contrast, plants lacking both PAPS2 and PAPS4 function are viable with wild-type leaf growth. Polyadenylation of SMALL AUXIN UP RNA (SAUR) mRNAs depends specifically on PAPS1 function. The resulting reduction in SAUR activity in paps1 mutants contributes to their reduced leaf growth, providing a causal link between polyadenylation of specific pre-mRNAs by a particular PAPS isoform and plant growth. Additionally, opposite effects of PAPS1 on leaf and flower growth reflect the different identities of these organs. The overgrowth of paps1 mutant petals is due to increased recruitment of founder cells into early organ primordia whereas the reduced leaf size is due to an ectopic pathogen response. This constitutive immune response leads to increased resistance to the biotrophic oomycete Hyaloperonospora arabidopsidis and reflects activation of the salicylic acid-independent signalling pathway downstream of ENHANCED DISEASE SUSCEPTIBILITY1 (EDS1)/PHYTOALEXIN DEFICIENT4 (PAD4). Immune responses are accompanied by intracellular redox changes. Consistent with this, the redox-status of the chloroplast is altered in paps1-1 mutants. The molecular effects of the paps1-1 mutation were analysed using an RNA sequencing approach that distinguishes between long- and short tailed mRNA. The results shown here suggest the existence of an additional layer of regulation in plants and possibly vertebrate gene expression, whereby the relative activities of canonical nuclear PAPS isoforms control de novo synthesized poly(A) tail length and hence expression of specific subsets of mRNAs.}, language = {en} } @phdthesis{Bamberg2014, author = {Bamberg, Marlene}, title = {Planetary mapping tools applied to floor-fractured craters on Mars}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-72104}, school = {Universit{\"a}t Potsdam}, year = {2014}, abstract = {Planetary research is often user-based and requires considerable skill, time, and effort. Unfortunately, self-defined boundary conditions, definitions, and rules are often not documented or not easy to comprehend due to the complexity of research. This makes a comparison to other studies, or an extension of the already existing research, complicated. Comparisons are often distorted, because results rely on different, not well defined, or even unknown boundary conditions. The purpose of this research is to develop a standardized analysis method for planetary surfaces, which is adaptable to several research topics. The method provides a consistent quality of results. This also includes achieving reliable and comparable results and reducing the time and effort of conducting such studies. A standardized analysis method is provided by automated analysis tools that focus on statistical parameters. Specific key parameters and boundary conditions are defined for the tool application. The analysis relies on a database in which all key parameters are stored. These databases can be easily updated and adapted to various research questions. This increases the flexibility, reproducibility, and comparability of the research. However, the quality of the database and reliability of definitions directly influence the results. To ensure a high quality of results, the rules and definitions need to be well defined and based on previously conducted case studies. The tools then produce parameters, which are obtained by defined geostatistical techniques (measurements, calculations, classifications). The idea of an automated statistical analysis is tested to proof benefits but also potential problems of this method. In this study, I adapt automated tools for floor-fractured craters (FFCs) on Mars. These impact craters show a variety of surface features, occurring in different Martian environments, and having different fracturing origins. They provide a complex morphological and geological field of application. 433 FFCs are classified by the analysis tools due to their fracturing process. Spatial data, environmental context, and crater interior data are analyzed to distinguish between the processes involved in floor fracturing. Related geologic processes, such as glacial and fluvial activity, are too similar to be separately classified by the automated tools. Glacial and fluvial fracturing processes are merged together for the classification. The automated tools provide probability values for each origin model. To guarantee the quality and reliability of the results, classification tools need to achieve an origin probability above 50 \%. This analysis method shows that 15 \% of the FFCs are fractured by intrusive volcanism, 20 \% by tectonic activity, and 43 \% by water \& ice related processes. In total, 75 \% of the FFCs are classified to an origin type. This can be explained by a combination of origin models, superposition or erosion of key parameters, or an unknown fracturing model. Those features have to be manually analyzed in detail. Another possibility would be the improvement of key parameters and rules for the classification. This research shows that it is possible to conduct an automated statistical analysis of morphologic and geologic features based on analysis tools. Analysis tools provide additional information to the user and are therefore considered assistance systems.}, language = {en} } @phdthesis{Holler2014, author = {Holler, Markus}, title = {Photon reconstruction for the H.E.S.S. 28 m telescope and analysis of Crab Nebula and galactic centre observations}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-72099}, school = {Universit{\"a}t Potsdam}, year = {2014}, abstract = {In the presented thesis, the most advanced photon reconstruction technique of ground-based γ-ray astronomy is adapted to the H.E.S.S. 28 m telescope. The method is based on a semi-analytical model of electromagnetic particle showers in the atmosphere. The properties of cosmic γ-rays are reconstructed by comparing the camera image of the telescope with the Cherenkov emission that is expected from the shower model. To suppress the dominant background from charged cosmic rays, events are selected based on several criteria. The performance of the analysis is evaluated with simulated events. The method is then applied to two sources that are known to emit γ-rays. The first of these is the Crab Nebula, the standard candle of ground-based γ-ray astronomy. The results of this source confirm the expected performance of the reconstruction method, where the much lower energy threshold compared to H.E.S.S. I is of particular importance. A second analysis is performed on the region around the Galactic Centre. The analysis results emphasise the capabilities of the new telescope to measure γ-rays in an energy range that is interesting for both theoretical and experimental astrophysics. The presented analysis features the lowest energy threshold that has ever been reached in ground-based γ-ray astronomy, opening a new window to the precise measurement of the physical properties of time-variable sources at energies of several tens of GeV.}, language = {en} } @phdthesis{Berdzinski2014, author = {Berdzinski, Stefan}, title = {Photoinduzierte radikalische Polymerisation in ionischen Fl{\"u}ssigkeiten und der Einfluss der Radikalrekombination}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-72582}, school = {Universit{\"a}t Potsdam}, pages = {VIII, 114}, year = {2014}, abstract = {Die vorliegende Arbeit behandelt Untersuchungen zum Einfluss ionischer Fl{\"u}ssigkeiten sowohl auf den Rekombinationsprozess photolytisch generierter Lophylradikale als auch auf die photoinduzierte Polymerisation. Im Fokus standen hierbei pyrrolidiniumbasierte ionische Fl{\"u}ssigkeiten sowie polymerisierbare imidazoliumbasierte ionische Fl{\"u}ssigkeiten. Mittels UV-Vis-Spektroskopie wurde in den ionischen Fl{\"u}ssigkeiten im Vergleich zu ausgew{\"a}hlten organischen L{\"o}sungsmitteln die Rekombinationskinetik der aus o-Cl-HABI photolytisch generierten Lophylradikale bei unterschiedlichen Temperaturen verfolgt und die Geschwindigkeitskonstanten der Radikalrekombination bestimmt. Die Charakterisierung des Rekombinationsprozesses erfolgt dabei insbesondere unter Verwendung der mittels Eyring-Gleichung ermittelten Aktivierungsparameter. Hierbei konnte gezeigt werden, dass die Rekombination der Lophylradikale in den ionischen Fl{\"u}ssigkeiten im Gegensatz zu den organischen L{\"o}sungsmitteln zu einem großen Anteil innerhalb des L{\"o}sungsmittelk{\"a}figs erfolgt. Weiterhin wurden f{\"u}r den Einsatz von o-Cl-HABI als Radikalbildner in den photoinduzierten Polymerisationen mehrere m{\"o}gliche Co-Initiatoren {\"u}ber photokalorimetrische Messungen untersucht. Hierbei wurde auch ein neuer Aspekt zur Ketten{\"u}bertragung vom Lophylradikal auf den heterocyclischen Co-Initiator vorgestellt. Dar{\"u}ber hinaus wurden photoinduzierte Polymerisationen unter Einsatz eines Initiatorsystems, bestehend aus o-Cl-HABI als Radikalbildner und einem heterocyclischen Co-Initiator, in den ionischen Fl{\"u}ssigkeiten untersucht. Diese Untersuchungen beinhalten zum einen photokalorimetrische Messungen der photoinduzierten Polymerisation von polymerisierbaren imidazoliumbasierten ionischen Fl{\"u}ssigkeiten. Zum anderen wurden Untersuchungen zur photoinduzierten Polymerisation von Methylmethacrylat in pyrrolidiniumbasierten ionischen Fl{\"u}ssigkeiten durchgef{\"u}hrt. Dabei wurden Einflussparameter wie Zeit, Temperatur, Viskosit{\"a}t, L{\"o}sungsmittelk{\"a}figeffekt und die Alkylkettenl{\"a}nge am Kation der ionischen Fl{\"u}ssigkeiten auf die Ausbeuten und Molmassen sowie Molmassenverteilungen der Polymere hin untersucht.}, language = {de} } @phdthesis{Ahmad2014, author = {Ahmad, Nadeem}, title = {People centered HMI's for deaf and functionally illiterate users}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-70391}, school = {Universit{\"a}t Potsdam}, year = {2014}, abstract = {The objective and motivation behind this research is to provide applications with easy-to-use interfaces to communities of deaf and functionally illiterate users, which enables them to work without any human assistance. Although recent years have witnessed technological advancements, the availability of technology does not ensure accessibility to information and communication technologies (ICT). Extensive use of text from menus to document contents means that deaf or functionally illiterate can not access services implemented on most computer software. Consequently, most existing computer applications pose an accessibility barrier to those who are unable to read fluently. Online technologies intended for such groups should be developed in continuous partnership with primary users and include a thorough investigation into their limitations, requirements and usability barriers. In this research, I investigated existing tools in voice, web and other multimedia technologies to identify learning gaps and explored ways to enhance the information literacy for deaf and functionally illiterate users. I worked on the development of user-centered interfaces to increase the capabilities of deaf and low literacy users by enhancing lexical resources and by evaluating several multimedia interfaces for them. The interface of the platform-independent Italian Sign Language (LIS) Dictionary has been developed to enhance the lexical resources for deaf users. The Sign Language Dictionary accepts Italian lemmas as input and provides their representation in the Italian Sign Language as output. The Sign Language dictionary has 3082 signs as set of Avatar animations in which each sign is linked to a corresponding Italian lemma. I integrated the LIS lexical resources with MultiWordNet (MWN) database to form the first LIS MultiWordNet(LMWN). LMWN contains information about lexical relations between words, semantic relations between lexical concepts (synsets), correspondences between Italian and sign language lexical concepts and semantic fields (domains). The approach enhances the deaf users' understanding of written Italian language and shows that a relatively small set of lexicon can cover a significant portion of MWN. Integration of LIS signs with MWN made it useful tool for computational linguistics and natural language processing. The rule-based translation process from written Italian text to LIS has been transformed into service-oriented system. The translation process is composed of various modules including parser, semantic interpreter, generator, and spatial allocation planner. This translation procedure has been implemented in the Java Application Building Center (jABC), which is a framework for extreme model driven design (XMDD). The XMDD approach focuses on bringing software development closer to conceptual design, so that the functionality of a software solution could be understood by someone who is unfamiliar with programming concepts. The transformation addresses the heterogeneity challenge and enhances the re-usability of the system. For enhancing the e-participation of functionally illiterate users, two detailed studies were conducted in the Republic of Rwanda. In the first study, the traditional (textual) interface was compared with the virtual character-based interactive interface. The study helped to identify usability barriers and users evaluated these interfaces according to three fundamental areas of usability, i.e. effectiveness, efficiency and satisfaction. In another study, we developed four different interfaces to analyze the usability and effects of online assistance (consistent help) for functionally illiterate users and compared different help modes including textual, vocal and virtual character on the performance of semi-literate users. In our newly designed interfaces the instructions were automatically translated in Swahili language. All the interfaces were evaluated on the basis of task accomplishment, time consumption, System Usability Scale (SUS) rating and number of times the help was acquired. The results show that the performance of semi-literate users improved significantly when using the online assistance. The dissertation thus introduces a new development approach in which virtual characters are used as additional support for barely literate or naturally challenged users. Such components enhanced the application utility by offering a variety of services like translating contents in local language, providing additional vocal information, and performing automatic translation from text to sign language. Obviously, there is no such thing as one design solution that fits for all in the underlying domain. Context sensitivity, literacy and mental abilities are key factors on which I concentrated and the results emphasize that computer interfaces must be based on a thoughtful definition of target groups, purposes and objectives.}, language = {en} } @phdthesis{Strauss2014, author = {Strauß, Jens}, title = {Organic carbon in ice-rich permafrost}, doi = {10.25932/publishup-7523}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-75236}, school = {Universit{\"a}t Potsdam}, pages = {XIII, 107, 102}, year = {2014}, abstract = {Permafrost, defined as ground that is frozen for at least two consecutive years, is a distinct feature of the terrestrial unglaciated Arctic. It covers approximately one quarter of the land area of the Northern Hemisphere (23,000,000 km²). Arctic landscapes, especially those underlain by permafrost, are threatened by climate warming and may degrade in different ways, including active layer deepening, thermal erosion, and development of rapid thaw features. In Siberian and Alaskan late Pleistocene ice-rich Yedoma permafrost, rapid and deep thaw processes (called thermokarst) can mobilize deep organic carbon (below 3 m depth) by surface subsidence due to loss of ground ice. Increased permafrost thaw could cause a feedback loop of global significance if its stored frozen organic carbon is reintroduced into the active carbon cycle as greenhouse gases, which accelerate warming and inducing more permafrost thaw and carbon release. To assess this concern, the major objective of the thesis was to enhance the understanding of the origin of Yedoma as well as to assess the associated organic carbon pool size and carbon quality (concerning degradability). The key research questions were: - How did Yedoma deposits accumulate? - How much organic carbon is stored in the Yedoma region? - What is the susceptibility of the Yedoma region's carbon for future decomposition? To address these three research questions, an interdisciplinary approach, including detailed field studies and sampling in Siberia and Alaska as well as methods of sedimentology, organic biogeochemistry, remote sensing, statistical analyses, and computational modeling were applied. To provide a panarctic context, this thesis additionally includes results both from a newly compiled northern circumpolar carbon database and from a model assessment of carbon fluxes in a warming Arctic. The Yedoma samples show a homogeneous grain-size composition. All samples were poorly sorted with a multi-modal grain-size distribution, indicating various (re-) transport processes. This contradicts the popular pure loess deposition hypothesis for the origin of Yedoma permafrost. The absence of large-scale grinding processes via glaciers and ice sheets in northeast Siberian lowlands, processes which are necessary to create loess as material source, suggests the polygenetic origin of Yedoma deposits. Based on the largest available data set of the key parameters, including organic carbon content, bulk density, ground ice content, and deposit volume (thickness and coverage) from Siberian and Alaskan study sites, this thesis further shows that deep frozen organic carbon in the Yedoma region consists of two distinct major reservoirs, Yedoma deposits and thermokarst deposits (formed in thaw-lake basins). Yedoma deposits contain ~80 Gt and thermokarst deposits ~130 Gt organic carbon, or a total of ~210 Gt. Depending on the approach used for calculating uncertainty, the range for the total Yedoma region carbon store is ±75 \% and ±20 \% for conservative single and multiple bootstrapping calculations, respectively. Despite the fact that these findings reduce the Yedoma region carbon pool by nearly a factor of two compared to previous estimates, this frozen organic carbon is still capable of inducing a permafrost carbon feedback to climate warming. The complete northern circumpolar permafrost region contains between 1100 and 1500 Gt organic carbon, of which ~60 \% is perennially frozen and decoupled from the short-term carbon cycle. When thawed and reintroduced into the active carbon cycle, the organic matter qualities become relevant. Furthermore, results from investigations into Yedoma and thermokarst organic matter quality studies showed that Yedoma and thermokarst organic matter exhibit no depth-dependent quality trend. This is evidence that after freezing, the ancient organic matter is preserved in a state of constant quality. The applied alkane and fatty-acid-based biomarker proxies including the carbon-preference and the higher-land-plant-fatty-acid indices show a broad range of organic matter quality and thus no significantly different qualities of the organic matter stored in thermokarst deposits compared to Yedoma deposits. This lack of quality differences shows that the organic matter biodegradability depends on different decomposition trajectories and the previous decomposition/incorporation history. Finally, the fate of the organic matter has been assessed by implementing deep carbon pools and thermokarst processes in a permafrost carbon model. Under various warming scenarios for the northern circumpolar permafrost region, model results show a carbon release from permafrost regions of up to ~140 Gt and ~310 Gt by the years 2100 and 2300, respectively. The additional warming caused by the carbon release from newly-thawed permafrost contributes 0.03 to 0.14°C by the year 2100. The model simulations predict that a further increase by the 23rd century will add 0.4°C to global mean surface air temperatures. In conclusion, Yedoma deposit formation during the late Pleistocene was dominated by water-related (alluvial/fluvial/lacustrine) as well as aeolian processes under periglacial conditions. The circumarctic permafrost region, including the Yedoma region, contains a substantial amount of currently frozen organic carbon. The carbon of the Yedoma region is well-preserved and therefore available for decomposition after thaw. A missing quality-depth trend shows that permafrost preserves the quality of ancient organic matter. When the organic matter is mobilized by deep degradation processes, the northern permafrost region may add up to 0.4°C to the global warming by the year 2300.}, language = {en} } @phdthesis{Conrad2014, author = {Conrad, Claudia}, title = {Open cluster groups and complexes}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-77605}, school = {Universit{\"a}t Potsdam}, pages = {xii, 172}, year = {2014}, abstract = {It is generally agreed upon that stars typically form in open clusters and stellar associations, but little is known about the structure of the open cluster system. Do open clusters and stellar associations form isolated or do they prefer to form in groups and complexes? Open cluster groups and complexes could verify star forming regions to be larger than expected, which would explain the chemical homogeneity over large areas in the Galactic disk. They would also define an additional level in the hierarchy of star formation and could be used as tracers for the scales of fragmentation in giant molecular clouds? Furthermore, open cluster groups and complexes could affect Galactic dynamics and should be considered in investigations and simulations on the dynamical processes, such as radial migration, disc heating, differential rotation, kinematic resonances, and spiral structure. In the past decade there were a few studies on open cluster pairs (de La Fuente Marcos \& de La Fuente Marcos 2009a,b,c) and on open cluster groups and complexes (Piskunov et al. 2006). The former only considered spatial proximity for the identification of the pairs, while the latter also required tangential velocities to be similar for the members. In this work I used the full set of 6D phase-space information to draw a more detailed picture on these structures. For this purpose I utilised the most homogeneous cluster catalogue available, namely the Catalogue of Open Cluster Data (COCD; Kharchenko et al. 2005a,b), which contains parameters for 650 open clusters and compact associations, as well as for their uniformly selected members. Additional radial velocity (RV) and metallicity ([M/H]) information on the members were obtained from the RAdial Velocity Experiment (RAVE; Steinmetz et al. 2006; Kordopatis et al. 2013) for 110 and 81 clusters, respectively. The RAVE sample was cleaned considering quality parameters and flags provided by RAVE (Matijevič et al. 2012; Kordopatis et al. 2013). To ensure that only real members were included for the mean values, also the cluster membership, as provided by Kharchenko et al. (2005a,b), was considered for the stars cross-matched in RAVE. 6D phase-space information could be derived for 432 out of the 650 COCD objects and I used an adaption of the Friends-of-Friends algorithm, as used in cosmology, to identify potential groupings. The vast majority of the 19 identified groupings were pairs, but I also found four groups of 4-5 members and one complex with 15 members. For the verification of the identified structures, I compared the results to a randomly selected subsample of the catalogue for the Milky Way global survey of Star Clusters (MWSC; Kharchenko et al. 2013), which became available recently, and was used as reference sample. Furthermore, I implemented Monte-Carlo simulations with randomised samples created from two distinguished input distributions for the spatial and velocity parameters. On the one hand, assuming a uniform distribution in the Galactic disc and, on the other hand, assuming the COCD data distributions to be representative for the whole open cluster population. The results suggested that the majority of identified pairs are rather by chance alignments, but the groups and the complex seemed to be genuine. A comparison of my results to the pairs, groups and complexes proposed in the literature yielded a partial overlap, which was most likely because of selection effects and different parameters considered. This is another verification for the existence of such structures. The characteristics of the found groupings favour that members of an open cluster grouping originate from a common giant molecular cloud and formed in a single, but possibly sequential, star formation event. Moreover, the fact that the young open cluster population showed smaller spatial separations between nearest neighbours than the old cluster population indicated that the lifetime of open cluster groupings is most likely comparable to that of the Galactic open cluster population itself. Still even among the old open clusters I could identify groupings, which suggested that the detected structure could be in some cases more long lived as one might think. In this thesis I could only present a pilot study on structures in the Galactic open cluster population, since the data sample used was highly incomplete. For further investigations a far more complete sample would be required. One step in this direction would be to use data from large current surveys, like SDSS, RAVE, Gaia-ESO and VVV, as well as including results from studies on individual clusters. Later the sample can be completed by data from upcoming missions, like Gaia and 4MOST. Future studies using this more complete open cluster sample will reveal the effect of open cluster groupings on star formation theory and their significance for the kinematics, dynamics and evolution of the Milky Way, and thereby of spiral galaxies.}, language = {en} } @phdthesis{Fischer2014, author = {Fischer, Jost Leonhardt}, title = {Nichtlineare Kopplungsmechanismen akustischer Oszillatoren am Beispiel der Synchronisation von Orgelpfeifen}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-71975}, school = {Universit{\"a}t Potsdam}, year = {2014}, abstract = {In dieser Arbeit werden nichtlineare Kopplungsmechanismen von akustischen Oszillatoren untersucht, die zu Synchronisation f{\"u}hren k{\"o}nnen. Aufbauend auf die Fragestellungen vorangegangener Arbeiten werden mit Hilfe theoretischer und experimenteller Studien sowie mit Hilfe numerischer Simulationen die Elemente der Tonentstehung in der Orgelpfeife und die Mechanismen der gegenseitigen Wechselwirkung von Orgelpfeifen identifiziert. Daraus wird erstmalig ein vollst{\"a}ndig auf den aeroakustischen und fluiddynamischen Grundprinzipien basierendes nichtlinear gekoppeltes Modell selbst-erregter Oszillatoren f{\"u}r die Beschreibung des Verhaltens zweier wechselwirkender Orgelpfeifen entwickelt. Die durchgef{\"u}hrten Modellrechnungen werden mit den experimentellen Befunden verglichen. Es zeigt sich, dass die Tonentstehung und die Kopplungsmechanismen von Orgelpfeifen durch das entwickelte Oszillatormodell in weiten Teilen richtig beschrieben werden. Insbesondere kann damit die Ursache f{\"u}r den nichtlinearen Zusammenhang von Kopplungsst{\"a}rke und Synchronisation des gekoppelten Zwei-Pfeifen Systems, welcher sich in einem nichtlinearen Verlauf der Arnoldzunge darstellt, gekl{\"a}rt werden. Mit den gewonnenen Erkenntnissen wird der Einfluss des Raumes auf die Tonentstehung bei Orgelpfeifen betrachtet. Daf{\"u}r werden numerische Simulationen der Wechselwirkung einer Orgelpfeife mit verschiedenen Raumgeometrien, wie z. B. ebene, konvexe, konkave, und gezahnte Geometrien, exemplarisch untersucht. Auch der Einfluss von Schwellk{\"a}sten auf die Tonentstehung und die Klangbildung der Orgelpfeife wird studiert. In weiteren, neuartigen Synchronisationsexperimenten mit identisch gestimmten Orgelpfeifen, sowie mit Mixturen wird die Synchronisation f{\"u}r verschiedene, horizontale und vertikale Pfeifenabst{\"a}nde in der Ebene der Schallabstrahlung, untersucht. Die dabei erstmalig beobachteten r{\"a}umlich isotropen Unstetigkeiten im Schwingungsverhalten der gekoppelten Pfeifensysteme, deuten auf abstandsabh{\"a}ngige Wechsel zwischen gegen- und gleichphasigen Sychronisationsregimen hin. Abschließend wird die M{\"o}glichkeit dokumentiert, das Ph{\"a}nomen der Synchronisation zweier Orgelpfeifen durch numerische Simulationen, also der Behandlung der kompressiblen Navier-Stokes Gleichungen mit entsprechenden Rand- und Anfangsbedingungen, realit{\"a}tsnah abzubilden. Auch dies stellt ein Novum dar.}, language = {de} } @phdthesis{Huebner2014, author = {H{\"u}bner, Sandra}, title = {Molekulare Grundlagen der Bittergeschmackswahrnehmung in der Maus}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-77720}, school = {Universit{\"a}t Potsdam}, pages = {X, 171, iii}, year = {2014}, abstract = {Der Bittergeschmack dient S{\"a}ugern vermutlich zur Wahrnehmung und Vermeidung toxischer Substanzen. Bitterstoffe k{\"o}nnen jedoch auch gesund sein oder werden oft bereitwillig mit der Nahrung aufgenommen. Ob sie geschmacklich unterschieden werden k{\"o}nnen, ist allerdings umstritten. Detektiert werden Bitterstoffe von oralen Bittergeschmacksrezeptoren, den TAS2R (human) bzw. Tas2r (murin). In der Literatur gibt es aber immer mehr Hinweise darauf, dass {\"u}berdies Tas2r nicht nur in extragustatorischen Organen exprimiert werden, sondern dort auch wichtige Aufgaben erf{\"u}llen k{\"o}nnten, was wiederum die Aufkl{\"a}rung ihrer noch nicht vollst{\"a}ndig entschl{\"u}sselten Funktionsweisen erfordert. So ist noch unbekannt, ob alle bisher als funktionell identifizierten Tas2r wirklich gustatorische Funktionen erf{\"u}llen. Im Rahmen der Charakterisierung neu generierter, im Locus des Bittergeschmacksrezeptors Tas2r131 genetisch modifizierter Mauslinien, wurde in vorliegender Arbeit die gustatorische sowie extragustatorische Expression von Tas2r131 untersucht. Dass Tas2r131 nicht nur in Pilzpapillen, Wall- und Bl{\"a}tterpapillen (VP+FoP), Gaumen, Ductus nasopalatinus, Vomeronasalorgan und Kehldeckel, sondern auch in Thymus, Testes und Nebenhodenkopf, in Gehirnarealen sowie im Ganglion geniculatum nachgewiesen wurde, bildete die Grundlage f{\"u}r weiterf{\"u}hrende Studien. Die vorliegende Arbeit zeigt außerdem, dass Tas2r108, Tas2r126, Tas2r135, Tas2r137 und Tas2r143 in Blut exprimiert werden, was auf eine heterogene Funktion der Tas2r hindeutet. Dass zus{\"a}tzlich erstmals die Expression aller 35 als funktionell beschriebenen Tas2r im gustatorischen VP+FoP-Epithel von C57BL/6-M{\"a}usen nachgewiesen wurde, verweist auf deren Relevanz als funktionelle Geschmacksrezeptoren. Weiter zeigten Untersuchungen zur Aufkl{\"a}rung eines m{\"o}glichen Bitter-Unterscheidungsverm{\"o}gens in Geschmackspapillen von M{\"a}usen mit fluoreszenzmarkierten oder ablatierten Tas2r131-Zellen, dass Tas2r131 exprimierende Zellen eine Tas2r-Zellsubpopulation bilden. Dar{\"u}ber hinaus existieren innerhalb der Bitterzellen geordnete Tas2r-Expressionsmuster, die sich nach der chromosomalen Lage ihrer Gene richten. Isolierte Bitterzellen reagieren heterogen auf bekannte Bitterstoffe. Und M{\"a}use mit ablatierter Tas2r131-Zellpopulation besitzen noch andere Tas2r-Zellen und schmecken damit einige Bitterstoffe kaum noch, andere aber noch sehr gut. Diese Befunde belegen die Existenz verschiedener gustatorischer Tas2r-Zellpopulationen, welche die Voraussetzung bilden, Bitterstoffe heterogen zu detektieren. Ob dies die Grundlage f{\"u}r ein divergierendes Verhalten gegen{\"u}ber unvertr{\"a}glichen und harmlosen oder gar n{\"u}tzlichen Bitterstoffen darstellt, kann mit Hilfe der dargelegten Tas2r-Expressionsmuster k{\"u}nftig in Verhaltensexperimenten gepr{\"u}ft werden. Die Bittergeschmackswahrnehmung in S{\"a}ugetieren stellt sich als ein hochkomplexer Mechanismus dar, dessen Vielschichtigkeit durch die hier neu aufgezeigten heterogenen Tas2r-Expressions- und Funktionsmuster erneut verdeutlicht wird.}, language = {de} } @phdthesis{Arnold2014, author = {Arnold, Anne}, title = {Modeling photosynthesis and related metabolic processes : from detailed examination to consideration of the metabolic context}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-72277}, school = {Universit{\"a}t Potsdam}, year = {2014}, abstract = {Mathematical modeling of biological systems is a powerful tool to systematically investigate the functions of biological processes and their relationship with the environment. To obtain accurate and biologically interpretable predictions, a modeling framework has to be devised whose assumptions best approximate the examined scenario and which copes with the trade-off of complexity of the underlying mathematical description: with attention to detail or high coverage. Correspondingly, the system can be examined in detail on a smaller scale or in a simplified manner on a larger scale. In this thesis, the role of photosynthesis and its related biochemical processes in the context of plant metabolism was dissected by employing modeling approaches ranging from kinetic to stoichiometric models. The Calvin-Benson cycle, as primary pathway of carbon fixation in C3 plants, is the initial step for producing starch and sucrose, necessary for plant growth. Based on an integrative analysis for model ranking applied on the largest compendium of (kinetic) models for the Calvin-Benson cycle, those suitable for development of metabolic engineering strategies were identified. Driven by the question why starch rather than sucrose is the predominant transitory carbon storage in higher plants, the metabolic costs for their synthesis were examined. The incorporation of the maintenance costs for the involved enzymes provided a model-based support for the preference of starch as transitory carbon storage, by only exploiting the stoichiometry of synthesis pathways. Many photosynthetic organisms have to cope with processes which compete with carbon fixation, such as photorespiration whose impact on plant metabolism is still controversial. A systematic model-oriented review provided a detailed assessment for the role of this pathway in inhibiting the rate of carbon fixation, bridging carbon and nitrogen metabolism, shaping the C1 metabolism, and influencing redox signal transduction. The demand of understanding photosynthesis in its metabolic context calls for the examination of the related processes of the primary carbon metabolism. To this end, the Arabidopsis core model was assembled via a bottom-up approach. This large-scale model can be used to simulate photoautotrophic biomass production, as an indicator for plant growth, under so-called optimal, carbon-limiting and nitrogen-limiting growth conditions. Finally, the introduced model was employed to investigate the effects of the environment, in particular, nitrogen, carbon and energy sources, on the metabolic behavior. This resulted in a purely stoichiometry-based explanation for the experimental evidence for preferred simultaneous acquisition of nitrogen in both forms, as nitrate and ammonium, for optimal growth in various plant species. The findings presented in this thesis provide new insights into plant system's behavior, further support existing opinions for which mounting experimental evidences arise, and posit novel hypotheses for further directed large-scale experiments.}, language = {en} } @phdthesis{Fronton2014, author = {Fronton, Ludivine}, title = {Modeling approaches to characterize the disposition of monoclonal antibodies}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-76537}, school = {Universit{\"a}t Potsdam}, pages = {xxi, 133}, year = {2014}, abstract = {Monoclonal antibodies (mAbs) are engineered immunoglobulins G (IgG) used for more than 20 years as targeted therapy in oncology, infectious diseases and (auto-)immune disorders. Their protein nature greatly influences their pharmacokinetics (PK), presenting typical linear and non-linear behaviors. While it is common to use empirical modeling to analyze clinical PK data of mAbs, there is neither clear consensus nor guidance to, on one hand, select the structure of classical compartment models and on the other hand, interpret mechanistically PK parameters. The mechanistic knowledge present in physiologically-based PK (PBPK) models is likely to support rational classical model selection and thus, a methodology to link empirical and PBPK models is desirable. However, published PBPK models for mAbs are quite diverse in respect to the physiology of distribution spaces and the parameterization of the non-specific elimination involving the neonatal Fc receptor (FcRn) and endogenous IgG (IgGendo). The remarkable discrepancy between the simplicity of biodistribution data and the complexity of published PBPK models translates in parameter identifiability issues. In this thesis, we address this problem with a simplified PBPK model—derived from a hierarchy of more detailed PBPK models and based on simplifications of tissue distribution model. With the novel tissue model, we are breaking new grounds in mechanistic modeling of mAbs disposition: We demonstrate that binding to FcRn is indeed linear and that it is not possible to infer which tissues are involved in the unspecific elimination of wild-type mAbs. We also provide a new approach to predict tissue partition coefficients based on mechanistic insights: We directly link tissue partition coefficients (Ktis) to data-driven and species-independent published antibody biodistribution coefficients (ABCtis) and thus, we ensure the extrapolation from pre-clinical species to human with the simplified PBPK model. We further extend the simplified PBPK model to account for a target, relevant to characterize the non-linear clearance due to mAb-target interaction. With model reduction techniques, we reduce the dimensionality of the simplified PBPK model to design 2-compartment models, thus guiding classical model development with physiological and mechanistic interpretation of the PK parameters. We finally derive a new scaling approach for anatomical and physiological parameters in PBPK models that translates the inter-individual variability into the design of mechanistic covariate models with direct link to classical compartment models, specially useful for PK population analysis during clinical development.}, language = {en} } @phdthesis{Serrano2014, author = {Serrano, Paloma}, title = {Methanogens from Siberian permafrost as models for life on Mars : response to simulated martian conditions and biosignature characterization}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-72299}, school = {Universit{\"a}t Potsdam}, year = {2014}, abstract = {Mars is one of the best candidates among planetary bodies for supporting life. The presence of water in the form of ice and atmospheric vapour together with the availability of biogenic elements and energy are indicators of the possibility of hosting life as we know it. The occurrence of permanently frozen ground - permafrost, is a common phenomenon on Mars and it shows multiple morphological analogies with terrestrial permafrost. Despite the extreme inhospitable conditions, highly diverse microbial communities inhabit terrestrial permafrost in large numbers. Among these are methanogenic archaea, which are anaerobic chemotrophic microorganisms that meet many of the metabolic and physiological requirements for survival on the martian subsurface. Moreover, methanogens from Siberian permafrost are extremely resistant against different types of physiological stresses as well as simulated martian thermo-physical and subsurface conditions, making them promising model organisms for potential life on Mars. The main aims of this investigation are to assess the survival of methanogenic archaea under Mars conditions, focusing on methanogens from Siberian permafrost, and to characterize their biosignatures by means of Raman spectroscopy, a powerful technology for microbial identification that will be used in the ExoMars mission. For this purpose, methanogens from Siberian permafrost and non-permafrost habitats were subjected to simulated martian desiccation by exposure to an ultra-low subfreezing temperature (-80ºC) and to Mars regolith (S-MRS and P-MRS) and atmospheric analogues. They were also exposed to different concentrations of perchlorate, a strong oxidant found in martian soils. Moreover, the biosignatures of methanogens were characterized at the single-cell level using confocal Raman microspectroscopy (CRM). The results showed survival and methane production in all methanogenic strains under simulated martian desiccation. After exposure to subfreezing temperatures, Siberian permafrost strains had a faster metabolic recovery, whereas the membranes of non-permafrost methanogens remained intact to a greater extent. The strain Methanosarcina soligelidi SMA-21 from Siberian permafrost showed significantly higher methane production rates than all other strains after the exposure to martian soil and atmospheric analogues, and all strains survived the presence of perchlorate at the concentration on Mars. Furthermore, CRM analyses revealed remarkable differences in the overall chemical composition of permafrost and non-permafrost strains of methanogens, regardless of their phylogenetic relationship. The convergence of the chemical composition in non-sister permafrost strains may be the consequence of adaptations to the environment, and could explain their greater resistance compared to the non-permafrost strains. As part of this study, Raman spectroscopy was evaluated as an analytical technique for remote detection of methanogens embedded in a mineral matrix. This thesis contributes to the understanding of the survival limits of methanogenic archaea under simulated martian conditions to further assess the hypothetical existence of life similar to methanogens on the martian subsurface. In addition, the overall chemical composition of methanogens was characterized for the first time by means of confocal Raman microspectroscopy, with potential implications for astrobiological research.}, language = {en} } @phdthesis{NetchaevBakinski2014, author = {Netchaev-Bakinski, Alexandre}, title = {Les voies/voix radicales en Angleterre, 1789-1848}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-75472}, school = {Universit{\"a}t Potsdam}, pages = {355}, year = {2014}, abstract = {What is a radical? Somebody who goes against mainstream opinions? An agitator who suggests transforming society at the risk of endangering its harmony? In the political context of the British Isles at the end of the eighteenth century, the word radical had a negative connotation. It referred to the Levellers and the English Civil War, it brought back a period of history which was felt as a traumatic experience. Its stigmas were still vivid in the mind of the political leaders of these times. The reign of Cromwell was certainly the main reason for the general aversion of any form of virulent contestation of the power, especially when it contained political claims. In the English political context, radicalism can be understood as the different campaigns for parliamentary reforms establishing universal suffrage. However, it became evident that not all those who were supporting such a reform originated from the same social class or shared the same ideals. As a matter of fact, the reformist associations and their leaders often disagreed with each other. Edward Royle and Hames Walvin claimed that radicalism could not be analyzed historically as a concept, because it was not a homogeneous movement, nor it had common leaders and a clear ideology. For them, radicalism was merely a loose concept, « a state of mind rather than a plan of action. » At the beginning of the nineteenth-century, the newspaper The Northern Star used the word radical in a positive way to designate a person or a group of people whose ideas were conform to those of the newspaper. However, an opponent of parliamentary reform will use the same word in a negative way, in this case the word radical will convey a notion of menace. From the very beginning, the term radical covered a large spectrum of ideas and conceptions. In fact, the plurality of what the word conveys is the main characteristic of what a radical is. As a consequence, because the radicals tended to differentiate themselves with their plurality and their differences rather than with common features, it seems impossible to define what radicalism (whose suffix in -ism implies that it designate a doctrine, an ideology) is. Nevertheless, today it is accepted by all historians. From the mid-twentieth century, we could say that it was taken from granted to consider radicalism as a movement that fitted with the democratic precepts (universal suffrage, freedom of speech) of our modern world. Let us first look at radicalism as a convenient way to designate the different popular movements appealing to universal suffrage during the time period 1792-1848. We could easily observe through the successions of men and associations, a long lasting radical state of mind: Cartwright, Horne Tooke, Thomas Hardy, Francis Burdett, William Cobbett, Henry Hunt, William Lovett, Bronterre O'Brien, Feargus O'Connor, The London Society for Constitutional information (SCI), The London Corresponding Society (LCS), The Hampden Clubs, The Chartists, etc. These organizations and people acknowledged having many things in common and being inspired by one another in carrying out their activities. These influences can be seen in the language and the political ideology that British historians name as "Constitutionalist", but also, in the political organization of extra-parliamentary societies. Most of the radicals were eager to redress injustices and, in practice, they were inspired by a plan of actions drawn on from the pamphlets of the True Whigs of the eighteenth-century. We contest the argument that the radicals lacked coherence and imagination or that they did not know how to put into practice their ambitions. In fact, their innovative forms of protest left a mark on history and found many successors in the twentieth century. Radicals' prevarications were the result of prohibitive legislation that regulated the life of associations and the refusal of the authorities to cooperate with them. As mentioned above, the term radical was greatly used and the contemporaries of the period starting from the French Revolution to Chartism never had to quarrel about the notions the word radical covered. However, this does not imply that all radicals were the same or that they belong to the same entity. Equally to Horne Tooke, the Reverend and ultra-Tory Stephens was considered as a radical, it went also with the shoemaker Thomas Hardy and the extravagant aristocrat Francis Burdett. Whether one belonged to the Aristocracy, the middle-class, the lower class or the Church, nothing could prevent him from being a radical. Surely, anybody could be a radical in its own way. Radicalism was wide enough to embrace everybody, from revolutionary reformers to paternalistic Tories. We were interested to clarify the meaning of the term radical because its inclusive nature was overlooked by historians. That's why the term radical figures in the original title of our dissertation Les voix/voies radicales (radical voices/ways to radicalism). In the French title, both words voix/voies are homonymous; the first one voix (voice) correspond to people, the second one voies (ways) refers to ideas. By this, we wanted to show that the word radical belongs to the sphere of ideas and common experience but also to the nature of human beings. Methodoloy The thesis stresses less on the question of class and its formation than on the circumstances that brought people to change their destiny and those of their fellows or to modernize the whole society. We challenged the work of E.P. Thompson, who in his famous book, The Making of the English Working Class, defined the radical movements in accordance with an idea of class. How a simple shoe-maker, Thomas Hardy, could become the center of attention during a trial where he was accused of being the mastermind of a modern revolution? What brought William Cobbett, an ultra-Tory, self-taught intellectual, to gradually espouse the cause of universal suffrage at a period where it was unpopular to do so? Why a whole population gathered to hear Henry Hunt, a gentleman farmer whose background did not destine him for becoming the champion of the people? It seemed that the easiest way to answer to these questions and to understand the nature of the popular movements consisted in studying the life of their leaders. We aimed at reconstructing the universe which surrounded the principal actors of the reform movements as if we were a privileged witness of theses times. This idea to associate the biographies of historical characters for a period of more than fifty years arouse when we realized that key events of the reform movements were echoing each other, such the trial of Thomas Hardy in 1794 and the massacre of Peterloo of 1819. The more we learned about the major events of radicalism and the life of their leaders, the more we were intrigued. Finally, one could ask himself if being a radical was not after all a question of character rather than one of class. The different popular movements in favour of a parliamentary reform were in fact far more inclusive and diversified from what historians traditionally let us to believe. For instance, once he manage to gather a sufficient number of members of the popular classes, Thomas Hardy projected to give the control of his association to an intellectual elite led by Horne Tooke. Moreover, supporters of the radical reforms followed leaders whose background was completely different as theirs. For example, O'Connor claimed royal descent from the ancient kings of Ireland. William Cobbett, owner of a popular newspaper was proud of his origins as a farmer. William Lovett, close to the liberals and a few members of parliament came from a very poor family of fishermen. We have thus put together the life of these five men, Thomas hardy, William Cobbett, Henry Hunt, William Lovett and Feargus O'Connor in order to compose a sort of a saga of the radicals. This association gives us a better idea of the characteristics of the different movements in which they participated, but also, throw light on the circumstances of their formation and their failures, on the particular atmosphere which prevailed at these times, on the men who influenced these epochs, and finally on the marks they had left. These men were at the heart of a whole network and in contact with other actors of peripheral movements. They gathered around themselves close and loyal fellows with whom they shared many struggles but also quarreled and had strong words. The original part of our approach is reflected in the choice to not consider studying the fluctuations of the radical movements in a linear fashion where the story follows a strict chronology. We decided to split up the main issue of the thesis through different topics. To do so, we simply have described the life of the people who inspired these movements. Each historical figure covers a chapter, and the general story follows a chronological progression. Sometimes we had to go back through time or discuss the same events in different chapters when the main protagonists lived in the same period of time. Radical movements were influenced by people of different backgrounds. What united them above all was their wish to obtain a normalization of the political world, to redress injustices and obtain parliamentary reform. We paid particular attention to the moments where the life of these men corresponded to an intense activity of the radical movement or to a transition of its ideas and organization. We were not so much interested in their feelings about secondary topics nor did we about their affective relations. Furthermore, we had little interest in their opinions on things which were not connected to our topic unless it helped us to have a better understanding of their personality. We have purposely reduced the description of our protagonists to their radical sphere. Of course we talked about their background and their intellectual development; people are prone to experience reversals of opinions, the case of Cobbett is the most striking one. The life of these personalities coincided with particular moments of the radical movement, such as the first popular political associations, the first open-air mass meetings, the first popular newspapers, etc. We wanted to emphasize the personalities of those who addressed speeches and who were present in the radical associations. One could argue that the inconvenience of focusing on a particular person presents a high risk of overlooking events and people who were not part of his world. However, it was essential to differ from an analysis or a chronicle which had prevailed in the studies of the radical movements, as we aimed at offering a point of view that completed the precedents works written on that topic. In order to do so, we have deliberately put the humane character of the radical movement at the center of our work and used the techniques of biography as a narrative thread. Conclusion The life of each historical figure that we have portrayed corresponded to a particular epoch of the radical movement. Comparing the speeches of the radical leaders over a long period of time, we noticed that the radical ideology evolved. The principles of the Rights of Men faded away and gave place to more concrete reasoning, such as the right to benefit from one's own labour. This transition is characterized by the Chartist period of Feargus O'Connor. This does not mean that collective memory and radical tradition ceased to play an important part. The popular classes were always appealed to Constitutional rhetoric and popular myths. Indeed, thanks to them they identified themselves and justified their claims to universal suffrage. We focused on the life of a few influent leaders of radicalism in order to understand its evolution and its nature. The description of their lives constituted our narrative thread and it enabled us to maintain consistency in our thesis. If the chapters are independent the one from the other, events and speeches are in correspondences. Sometimes we could believe that we were witnessing a repetition of facts and events as if history was repeating itself endlessly. However, like technical progress, the spirit of time, Zeitgeist, experiences changes and mutations. These features are fundamental elements to comprehend historical phenomena; the latter cannot be simplified to philosophical, sociological, or historical concept. History is a science which has this particularity that the physical reality of phenomena has a human dimension. As a consequence, it is essential not to lose touch with the human aspect of history when one pursues studies and intellectual activities on a historical phenomenon. We decided to take a route opposite to the one taken by many historians. We have first identified influential people from different epochs before entering into concepts analysis. Thanks to this compilation of radical leaders, a new and fresh look to the understanding of radicalism was possible. Of course, we were not the first one to have studied them, but we ordered them following a chronology, like Plutarch enjoyed juxtaposing Greeks and Romans historical figures. Thanks to this technique we wanted to highlight the features of the radical leaders' speeches, personalities and epochs, but also their differences. At last, we tried to draw the outlines and the heart of different radical movements in order to follow the ways that led to radicalism. We do not pretend to have offered an original and exclusive definition of radicalism, we mainly wanted to understand the nature of what defines somebody as a radical and explain the reasons why thousands of people decided to believe in this man. Moreover, we wanted to distance ourselves from the ideological debate of the Cold War which permeated also the interpretation of past events. Too often, the history of radicalism was either narrated with a form of revolutionary nostalgia or in order to praise the merits of liberalism. If the great mass meetings ends in the mid-nineteenth-century with the fall of Chartism, this practice spread out in the whole world in the twentieth-century. Incidentally, the Arab Spring of the beginning of the twenty-first-century demonstrated that a popular platform was the best way for the people to claim their rights and destabilize a political system which they found too authoritative. Through protest the people express an essential quality of revolt, which is an expression of emancipation from fear. From then on, a despotic regime loses this psychological terror which helped it to maintain itself into power. The balance of power between the government and its people would also take a new turn. The radicals won this psychological victory more than 150 years ago and yet universal suffrage was obtained only a century later. From the acceptance of the principles of liberties to their cultural practice, a long route has to be taken to change people's mind. It is a wearisome struggle for the most vulnerable people. In the light of western history, fundamental liberties must be constantly defended. Paradoxically, revolt is an essential and constitutive element of the maintenance of democracy.}, language = {fr} } @phdthesis{Sayago2014, author = {Sayago, Jhosnella}, title = {Late Paleozoic basin analysis of the Loppa High and Finnmark Platform in the Norwegian Barents Sea : integration of seismic attributes and seismic sequence stratigraphy}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-72576}, school = {Universit{\"a}t Potsdam}, pages = {viii, 109}, year = {2014}, abstract = {The subsurface upper Palaeozoic sedimentary successions of the Loppa High half-graben and the Finnmark platform in the Norwegian Barents Sea (southwest Barents Sea) were investigated using 2D/3D seismic datasets combined with well and core data. These sedimentary successions represent a case of mixed siliciclastic-carbonates depositional systems, which formed during the earliest phase of the Atlantic rifting between Greenland and Norway. During the Carboniferous and Permian the southwest part of the Barents Sea was located along the northern margin of Pangaea, which experienced a northward drift at a speed of ~2-3 mm per year. This gradual shift in the paleolatitudinal position is reflected by changes in regional climatic conditions: from warm-humid in the early Carboniferous, changing to warm-arid in the middle to late Carboniferous and finally to colder conditions in the late Permian. Such changes in paleolatitude and climate have resulted in major changes in the style of sedimentation including variations in the type of carbonate factories. The upper Palaeozoic sedimentary succession is composed of four major depositional units comprising chronologically the Billefjorden Group dominated by siliciclastic deposition in extensional tectonic-controlled wedges, the Gipsdalen Group dominated by warm-water carbonates, stacked buildups and evaporites, the Bjarmeland Group characterized by cool-water carbonates as well as by the presence of buildup networks, and the Tempelfjorden Group characterized by fine-grained sedimentation dominated by biological silica production. In the Loppa High, the integration of a core study with multi-attribute seismic facies classification allowed highlighting the main sedimentary unconformities and mapping the spatial extent of a buried paleokarst terrain. This geological feature is interpreted to have formed during a protracted episode of subaerial exposure occurring between the late Palaeozoic and middle Triassic. Based on seismic sequence stratigraphy analysis the palaeogeography in time and space of the Loppa High basin was furthermore reconstructed and a new and more detailed tectono-sedimentary model for this area was proposed. In the Finnmark platform area, a detailed core analysis of two main exploration wells combined with key 2D seismic sections located along the main depositional profile, allowed the evaluation of depositional scenarios for the two main lithostratigraphic units: the {\O}rn Formation (Gipsdalen Group) and the Isbj{\o}rn Formation (Bjarmeland Group). During the mid-Sakmarian, two major changes were observed between the two formations including (1) the variation in the type of the carbonate factories, which is interpreted to be depth-controlled and (2) the change in platform morphology, which evolved from a distally steepened ramp to a homoclinal ramp. The results of this study may help supporting future reservoirs characterization of the upper Palaeozoic units in the Barents Sea, particularly in the Loppa High half-graben and the Finmmark platform area.}, language = {en} } @phdthesis{Nguyen2014, author = {Nguyen, Van Manh}, title = {Large-scale floodplain sediment dynamics in the Mekong Delta : present state and future prospects}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-72512}, school = {Universit{\"a}t Potsdam}, pages = {ix, 95}, year = {2014}, abstract = {The Mekong Delta (MD) sustains the livelihood and food security of millions of people in Vietnam and Cambodia. It is known as the "rice bowl" of South East Asia and has one of the world's most productive fisheries. Sediment dynamics play a major role for the high productivity of agriculture and fishery in the delta. However, the MD is threatened by climate change, sea level rise and unsustainable development activities in the Mekong Basin. But despite its importance and the expected threats, the understanding of the present and future sediment dynamics in the MD is very limited. This is a consequence of its large extent, the intricate system of rivers, channels and floodplains and the scarcity of observations. Thus this thesis aimed at (1) the quantification of suspended sediment dynamics and associated sediment-nutrient deposition in floodplains of the MD, and (2) assessed the impacts of likely future boundary changes on the sediment dynamics in the MD. The applied methodology combines field experiments and numerical simulation to quantify and predict the sediment dynamics in the entire delta in a spatially explicit manner. The experimental part consists of a comprehensive procedure to monitor quantity and spatial variability of sediment and associated nutrient deposition for large and complex river floodplains, including an uncertainty analysis. The measurement campaign applied 450 sediment mat traps in 19 floodplains over the MD for a complete flood season. The data also supports quantification of nutrient deposition in floodplains based on laboratory analysis of nutrient fractions of trapped sedimentation.The main findings are that the distribution of grain size and nutrient fractions of suspended sediment are homogeneous over the Vietnamese floodplains. But the sediment deposition within and between ring dike floodplains shows very high spatial variability due to a high level of human inference. The experimental findings provide the essential data for setting up and calibration of a large-scale sediment transport model for the MD. For the simulation studies a large scale hydrodynamic model was developed in order to quantify large-scale floodplain sediment dynamics. The complex river-channel-floodplain system of the MD is described by a quasi-2D model linking a hydrodynamic and a cohesive sediment transport model. The floodplains are described as quasi-2D presentations linked to rivers and channels modeled in 1D by using control structures. The model setup, based on the experimental findings, ignored erosion and re-suspension processes due to a very high degree of human interference during the flood season. A two-stage calibration with six objective functions was developed in order to calibrate both the hydrodynamic and sediment transport modules. The objective functions include hydraulic and sediment transport parameters in main rivers, channels and floodplains. The model results show, for the first time, the tempo-spatial distribution of sediment and associated nutrient deposition rates in the whole MD. The patterns of sediment transport and deposition are quantified for different sub-systems. The main factors influencing spatial sediment dynamics are the network of rivers, channels and dike-rings, sluice gate operations, magnitude of the floods and tidal influences. The superposition of these factors leads to high spatial variability of the sediment transport and deposition, in particular in the Vietnamese floodplains. Depending on the flood magnitude, annual sediment loads reaching the coast vary from 48\% to 60\% of the sediment load at Kratie, the upper boundary of the MD. Deposited sediment varies from 19\% to 23\% of the annual load at Kratie in Cambodian floodplains, and from 1\% to 6\% in the compartmented and diked floodplains in Vietnam. Annual deposited nutrients (N, P, K), which are associated to the sediment deposition, provide on average more than 50\% of mineral fertilizers typically applied for rice crops in non-flooded ring dike compartments in Vietnam. This large-scale quantification provides a basis for estimating the benefits of the annual Mekong floods for agriculture and fishery, for assessing the impacts of future changes on the delta system, and further studies on coastal deposition/erosion. For the estimation of future prospects a sensitivity-based approach is applied to assess the response of floodplain hydraulics and sediment dynamics to the changes in the delta boundaries including hydropower development, climate change in the Mekong River Basin and effective sea level rise. The developed sediment model is used to simulate the mean sediment transport and sediment deposition in the whole delta system for the baseline (2000-2010) and future (2050-2060) periods. For each driver we derive a plausible range of future changes and discretize it into five levels, resulting in altogether 216 possible factor combinations. Our results thus cover all plausible future pathways of sediment dynamics in the delta based on current knowledge. The uncertainty of the range of the resulting impacts can be decreased in case more information on these drivers becomes available. Our results indicate that the hydropower development dominates the changes in sediment dynamics of the Mekong Delta, while sea level rise has the smallest effect. The floodplains of Vietnamese Mekong Delta are much more sensitive to the changes compared to the other subsystems of the delta. In terms of median changes of the three combined drivers, the inundation extent is predicted to increase slightly, but the overall floodplain sedimentation would be reduced by approximately 40\%, while the sediment load to the Sea would diminish to half of the current rates. These findings provide new and valuable information on the possible impacts of future development on the delta, and indicate the most vulnerable areas. Thus, the presented results are a significant contribution to the ongoing international discussion on the hydropower development in the Mekong basin and its impact on the Mekong delta.}, language = {en} } @phdthesis{Steyrleuthner2014, author = {Steyrleuthner, Robert}, title = {Korrelation von Struktur, optischen Eigenschaften und Ladungstransport in einem konjugierten Naphthalindiimid-Bithiophen Copolymer mit herausragender Elektronenmobilit{\"a}t}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-71413}, school = {Universit{\"a}t Potsdam}, year = {2014}, abstract = {Organische Halbleiter besitzen neue, bemerkenswerte Materialeigenschaften, die sie f{\"u}r die grundlegende Forschung wie auch aktuelle technologische Entwicklung (bsw. org. Leuchtdioden, org. Solarzellen) interessant werden lassen. Aufgrund der starken konformative Freiheit der konjugierten Polymerketten f{\"u}hrt die Vielzahl der m{\"o}glichen Anordnungen und die schwache intermolekulare Wechselwirkung f{\"u}r gew{\"o}hnlich zu geringer struktureller Ordnung im Festk{\"o}rper. Die Morphologie hat gleichzeitig direkten Einfluss auf die elektronische Struktur der organischen Halbleiter, welches sich meistens in einer deutlichen Reduktion der Ladungstr{\"a}gerbeweglichkeit gegen{\"u}ber den anorganischen Verwandten zeigt. So stellt die Beweglichkeit der Ladungen im Halbleiter einen der limitierenden Faktoren f{\"u}r die Leistungsf{\"a}higkeit bzw. den Wirkungsgrad von funktionellen organischen Bauteilen dar. Im Jahr 2009 wurde ein neues auf Naphthalindiimid und Bithiophen basierendes Dornor/Akzeptor Copolymer vorgestellt [P(NDI2OD‑T2)], welches sich durch seine außergew{\"o}hnlich hohe Ladungstr{\"a}germobilit{\"a}t auszeichnet. In dieser Arbeit wird die Ladungstr{\"a}germobilit{\"a}t in P(NDI2OD‑T2) bestimmt, und der Transport durch eine geringe energetischer Unordnung charakterisiert. Obwohl dieses Material zun{\"a}chst als amorph beschrieben wurde zeigt eine detaillierte Analyse der optischen Eigenschaften von P(NDI2OD‑T2), dass bereits in L{\"o}sung geordnete Vorstufen supramolekularer Strukturen (Aggregate) existieren. Quantenchemische Berechnungen belegen die beobachteten spektralen {\"A}nderungen. Mithilfe der NMR-Spektroskopie kann die Bildung der Aggregate unabh{\"a}ngig von optischer Spektroskopie best{\"a}tigt werden. Die Analytische Ultrazentrifugation an P(NDI2OD‑T2) L{\"o}sungen legt nahe, dass sich die Aggregation innerhalb der einzelnen Ketten unter Reduktion des hydrodynamischen Radius vollzieht. Die Ausbildung supramolekularen Strukturen nimmt auch eine signifikante Rolle bei der Filmbildung ein und verhindert gleichzeitig die Herstellung amorpher P(NDI2OD‑T2) Filme. Durch chemische Modifikation der P(NDI2OD‑T2)-Kette und verschiedener Prozessierungs-Methoden wurde eine {\"A}nderung des Kristallinit{\"a}tsgrades und gleichzeitig der Orientierung der kristallinen Dom{\"a}nen erreicht und mittels R{\"o}ntgenbeugung quantifiziert. In hochaufl{\"o}senden Elektronenmikroskopie-Messungen werden die Netzebenen und deren Einbettung in die semikristallinen Strukturen direkt abgebildet. Aus der Kombination der verschiedenen Methoden erschließt sich ein Gesamtbild der Nah- und Fernordnung in P(NDI2OD‑T2). {\"U}ber die Messung der Elektronenmobilit{\"a}t dieser Schichten wird die Anisotropie des Ladungstransports in den kristallographischen Raumrichtungen von P(NDI2OD‑T2) charakterisiert und die Bedeutung der intramolekularen Wechselwirkung f{\"u}r effizienten Ladungstransport herausgearbeitet. Gleichzeitig wird deutlich, wie die Verwendung von gr{\"o}ßeren und planaren funktionellen Gruppen zu h{\"o}heren Ladungstr{\"a}germobilit{\"a}ten f{\"u}hrt, welche im Vergleich zu klassischen semikristallinen Polymeren weniger sensitiv auf die strukturelle Unordnung im Film sind.}, language = {de} } @phdthesis{Raiser2014, author = {Raiser, Christoph}, title = {Kompromisse im Europ{\"a}ischen Parlament : eine kultursoziologische Analyse von Entscheidungsprozessen in einer supranationalen Institution}, publisher = {Universit{\"a}tsverlag Potsdam}, address = {Potsdam}, isbn = {978-3-86956-283-4}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-69560}, school = {Universit{\"a}t Potsdam}, pages = {xxiii, 313}, year = {2014}, abstract = {Das Europ{\"a}ische Parlament ist zweifelsohne die m{\"a}chtigste parlamentarische Versammlung auf supranationaler Ebene. Das provoziert die Frage, wie Entscheidungen in diesem Parlament gef{\"a}llt werden und wie sie begr{\"u}ndet werden k{\"o}nnen. Darin liegt das Hauptanliegen dieser Arbeit, die zur Beantwortung dieser Frage auf soziologische Ans{\"a}tze der Erkl{\"a}rung sozialen Handelns zur{\"u}ckgreift und damit einen neuen Zugang zur Beobachtung parlamentarischen Handelns schafft. Dabei arbeitet sie heraus, wie wichtig es ist, bei der Analyse politischer Entscheidungsprozesse zu beachten, wie politische Probleme von Akteuren interpretiert und gegen{\"u}ber Verhandlungspartnern dargestellt werden. An den Fallbeispielen der Entscheidungsprozesse zur Dienstleistungsrichtlinie, zur Chemikalien-Verordnung REACH und dem TDIP (CIA)-Ausschuss in der Legislaturperiode 2004-2009, wird der soziale Mechanismus dargestellt, der hinter Einigungen im Europ{\"a}ischen Parlament steckt. Kultur als Interpretation der Welt wird so zum Schl{\"u}ssel des Verst{\"a}ndnisses politischer Entscheidungen auf supranationaler Ebene.}, language = {de} } @phdthesis{Sarrar2014, author = {Sarrar, Lea}, title = {Kognitive Funktionen bei adoleszenten Patienten mit Anorexia nervosa und unipolaren Affektiven St{\"o}rungen}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-72439}, school = {Universit{\"a}t Potsdam}, year = {2014}, abstract = {Anorexia nervosa und unipolare Affektive St{\"o}rungen stellen h{\"a}ufige und schwerwiegende kinder- und jugendpsychiatrische St{\"o}rungsbilder dar, deren Pathogenese bislang nicht vollst{\"a}ndig entschl{\"u}sselt ist. Verschiedene Studien zeigen bei erwachsenen Patienten gravierende Auff{\"a}lligkeiten in den kognitiven Funktionen. Dahingegen scheinen bei adoleszenten Patienten lediglich leichtere Einschr{\"a}nkungen in den kognitiven Funktionen vorzuliegen. Die Pr{\"a}valenz der Anorexia nervosa und unipolaren Affektiven St{\"o}rung ist mit Beginn der Adoleszenz deutlich erh{\"o}ht. Es ist anzunehmen, dass kognitive Dysfunktionen, die sich bereits in diesem Alter abzeichnen, den weiteren Krankheitsverlauf bis in das Erwachsenenalter, die Behandlungsergebnisse und die Prognose maßgeblich beeintr{\"a}chtigen k{\"o}nnten. Zudem ist von einem h{\"o}heren Chronifizierungsrisiko auszugehen. In der vorliegenden Arbeit wurden daher kognitive Funktionen bei adoleszenten Patientinnen mit Anorexia nervosa sowie Patienten mit unipolaren Affektiven St{\"o}rungen untersucht. Die {\"U}berpr{\"u}fung der kognitiven Funktionen bei Patientinnen mit Anorexia nervosa erfolgte vor und nach Gewichtszunahme. Weiterhin wurden zugrundeliegende biologische Mechanismen {\"u}berpr{\"u}ft. Zudem wurde die Spezifit{\"a}t kognitiver Dysfunktionen f{\"u}r beide St{\"o}rungsbilder untersucht und bei Patienten mit unipolaren Affektiven St{\"o}rungen geschlechtsbezogene Unterschiede exploriert. Insgesamt gingen 47 Patientinnen mit Anorexia nervosa (mittleres Alter 16,3 + 1,6 Jahre), 39 Patienten mit unipolaren Affektiven St{\"o}rungen (mittleres Alter 15,5 + 1,3 Jahre) sowie 78 Kontrollprobanden (mittleres Alter 16,5 + 1,3 Jahre) in die Untersuchung ein. S{\"a}mtliche Studienteilnehmer durchliefen eine neuropsychologische Testbatterie, bestehend aus Verfahren zur {\"U}berpr{\"u}fung der kognitiven Flexibilit{\"a}t sowie visuellen und psychomotorischen Verarbeitungsgeschwindigkeit. Neben einem Intelligenzscreening wurden zudem das Ausmaß der depressiven Symptomatik sowie die allgemeine psychische Belastung erfasst. Die Ergebnisse legen nahe, dass bei adoleszenten Patientinnen mit Anorexia nervosa, sowohl im akut untergewichtigen Zustand als auch nach Gewichtszunahme, lediglich milde Beeintr{\"a}chtigungen in den kognitiven Funktionen vorliegen. Im akut untergewichtigen Zustand offenbarten sich deutliche Zusammenh{\"a}nge zwischen dem appetitregulierenden Peptid Agouti-related Protein und kognitiver Flexibilit{\"a}t, nicht jedoch zwischen Agouti-related Protein und visueller oder psychomotorischer Verarbeitungsgeschwindigkeit. Bei dem Vergleich von Anorexia nervosa und unipolaren Affektiven St{\"o}rungen pr{\"a}dizierte die Zugeh{\"o}rigkeit zu der Patientengruppe Anorexia nervosa ein Risiko f{\"u}r das Vorliegen kognitiver Dysfunktionen. Es zeigte sich zudem, dass adoleszente Patienten mit unipolaren Affektiven St{\"o}rungen lediglich in der psychomotorischen Verarbeitungsgeschwindigkeit tendenziell schw{\"a}chere Leistungen offenbarten als gesunde Kontrollprobanden. Es ergab sich jedoch ein genereller geschlechtsbezogener Vorteil f{\"u}r weibliche Probanden in der visuellen und psychomotorischen Verarbeitungsgeschwindigkeit. Die vorliegenden Befunde unterstreichen die Notwendigkeit der {\"U}berpr{\"u}fung kognitiver Funktionen bei adoleszenten Patienten mit Anorexia nervosa sowie unipolaren Affektiven St{\"o}rungen in der klinischen Routinediagnostik. Die Patienten k{\"o}nnten von spezifischen Therapieprogrammen profitieren, die Beeintr{\"a}chtigungen in den kognitiven Funktionen mildern bzw. pr{\"a}ventiv behandeln.}, language = {de} } @phdthesis{Sen2014, author = {Sen, Ali Tolga}, title = {Inversion of seismic source parameters for weak mining-induced and natural earthquakes}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-71914}, school = {Universit{\"a}t Potsdam}, year = {2014}, abstract = {The purpose of this thesis is to develop an automated inversion scheme to derive point and finite source parameters for weak earthquakes, here intended with the unusual meaning of earthquakes with magnitudes at the limit or below the bottom magnitude threshold of standard source inversion routines. The adopted inversion approaches entirely rely on existing inversion software, the methodological work mostly targeting the development and tuning of optimized inversion flows. The resulting inversion scheme is tested for very different datasets, and thus allows the discussion on the source inversion problem at different scales. In the first application, dealing with mining induced seismicity, the source parameters determination is addressed at a local scale, with source-sensor distance of less than 3 km. In this context, weak seismicity corresponds to event below magnitude MW 2.0, which are rarely target of automated source inversion routines. The second application considers a regional dataset, namely the aftershock sequence of the 2010 Maule earthquake (Chile), using broadband stations at regional distances, below 300 km. In this case, the magnitude range of the target aftershocks range down to MW 4.0. This dataset is here considered as a weak seismicity case, since the analysis of such moderate seismicity is generally investigated only by moment tensor inversion routines, with no attempt to resolve source duration or finite source parameters. In this work, automated multi-step inversion schemes are applied to both datasets with the aim of resolving point source parameters, both using double couple (DC) and full moment tensor (MT) models, source duration and finite source parameters. A major result of the analysis of weaker events is the increased size of resulting moment tensor catalogues, which interpretation may become not trivial. For this reason, a novel focal mechanism clustering approach is used to automatically classify focal mechanisms, allowing the investigation of the most relevant and repetitive rupture features. The inversion of the mining induced seismicity dataset reveals the repetitive occurrence of similar rupture processes, where the source geometry is controlled by the shape of the mined panel. Moreover, moment tensor solutions indicate a significant contribution of tensile processes. Also the second application highlights some characteristic geometrical features of the fault planes, which show a general consistency with the orientation of the slab. The additional inversion for source duration allowed to verify the empirical correlation for moment normalized earthquakes in subduction zones among a decreasing rupture duration with increasing source depth, which was so far only observed for larger events.}, language = {en} } @phdthesis{Abedjan2014, author = {Abedjan, Ziawasch}, title = {Improving RDF data with data mining}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-71334}, school = {Universit{\"a}t Potsdam}, year = {2014}, abstract = {Linked Open Data (LOD) comprises very many and often large public data sets and knowledge bases. Those datasets are mostly presented in the RDF triple structure of subject, predicate, and object, where each triple represents a statement or fact. Unfortunately, the heterogeneity of available open data requires significant integration steps before it can be used in applications. Meta information, such as ontological definitions and exact range definitions of predicates, are desirable and ideally provided by an ontology. However in the context of LOD, ontologies are often incomplete or simply not available. Thus, it is useful to automatically generate meta information, such as ontological dependencies, range definitions, and topical classifications. Association rule mining, which was originally applied for sales analysis on transactional databases, is a promising and novel technique to explore such data. We designed an adaptation of this technique for min-ing Rdf data and introduce the concept of "mining configurations", which allows us to mine RDF data sets in various ways. Different configurations enable us to identify schema and value dependencies that in combination result in interesting use cases. To this end, we present rule-based approaches for auto-completion, data enrichment, ontology improvement, and query relaxation. Auto-completion remedies the problem of inconsistent ontology usage, providing an editing user with a sorted list of commonly used predicates. A combination of different configurations step extends this approach to create completely new facts for a knowledge base. We present two approaches for fact generation, a user-based approach where a user selects the entity to be amended with new facts and a data-driven approach where an algorithm discovers entities that have to be amended with missing facts. As knowledge bases constantly grow and evolve, another approach to improve the usage of RDF data is to improve existing ontologies. Here, we present an association rule based approach to reconcile ontology and data. Interlacing different mining configurations, we infer an algorithm to discover synonymously used predicates. Those predicates can be used to expand query results and to support users during query formulation. We provide a wide range of experiments on real world datasets for each use case. The experiments and evaluations show the added value of association rule mining for the integration and usability of RDF data and confirm the appropriateness of our mining configuration methodology.}, language = {en} } @phdthesis{Meissner2014, author = {Meissner, Sven}, title = {Implications of Microcystin Production in Microcystis aeruginosa PCC 7806}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-75199}, school = {Universit{\"a}t Potsdam}, pages = {VII, 141}, year = {2014}, abstract = {Cyanobacteria produce about 40 percent of the world's primary biomass, but also a variety of often toxic peptides such as microcystin. Mass developments, so called blooms, can pose a real threat to the drinking water supply in many parts of the world. This study aimed at characterizing the biological function of microcystin production in one of the most common bloom-forming cyanobacterium Microcystis aeruginosa. In a first attempt, the effect of elevated light intensity on microcystin production and its binding to cellular proteins was studied. Therefore, conventional microcystin quantification techniques were combined with protein-biochemical methods. RubisCO, the key enzyme for primary carbon fixation was a major microcystin interaction partner. High light exposition strongly stimulated microcystin-protein interactions. Up to 60 percent of the total cellular microcystin was detected bound to proteins, i.e. inaccessible for standard quantification procedures. Underestimation of total microcystin contents when neglecting the protein fraction was also demonstrated in field samples. Finally, an immuno-fluorescence based method was developed to identify microcystin producing cyanobacteria in mixed populations. The high light induced microcystin interaction with proteins suggested an impact of the secondary metabolite on the primary metabolism of Microcystis by e.g. modulating the activity of enzymes. For addressing that question, a comprehensive GC/MS-based approach was conducted to compare the accumulation of metabolites in the wild-type of Microcystis aeruginosa PCC 7806 and the microcystin deficient ΔmcyB mutant. From all 501 detected non-redundant metabolites 85 (17 percent) accumulated significantly different in either of both genotypes upon high light exposition. Accumulation of compatible solutes in the ΔmcyB mutant suggests a role of microcystin in fine-tuning the metabolic flow to prevent stress related to excess light, high oxygen concentration and carbon limitation. Co-analysis of the widely used model cyanobacterium Synechocystis PCC 6803 revealed profound metabolic differences between species of cyanobacteria. Whereas Microcystis channeled more resources towards carbohydrate synthesis, Synechocystis invested more in amino acids. These findings were supported by electron microscopy of high light treated cells and the quantification of storage compounds. While Microcystis accumulated mainly glycogen to about 8.5 percent of its fresh weight within three hours, Synechocystis produced higher amounts of cyanophycin. The results showed that the characterization of species-specific metabolic features should gain more attention with regard to the biotechnological use of cyanobacteria.}, language = {en} } @phdthesis{Scheinemann2014, author = {Scheinemann, Hendrik Alexander}, title = {Hygienisierung von Rinderg{\"u}lle und Kl{\"a}rschl{\"a}mmen mittels milchsaurer Fermentation}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-77949}, school = {Universit{\"a}t Potsdam}, pages = {xviii, 172}, year = {2014}, abstract = {Tierische und menschliche F{\"a}kalien aus Landwirtschaft und Haushalten enthalten zahlreiche obligat und opportunistisch pathogene Mikroorganismen, deren Konzentration u. a. je nach Gesundheitszustand der betrachteten Gruppe schwankt. Neben den Krankheitserregern enthalten F{\"a}kalien aber auch essentielle Pflanzenn{\"a}hrstoffe (276) und dienen seit Jahrtausenden (63) als D{\"u}nger f{\"u}r Feldfr{\"u}chte. Mit der unbedarften Verwendung von pathogenbelastetem F{\"a}kald{\"u}nger steigt jedoch auch das Risiko einer Infektion von Mensch und Tier. Diese Gefahr erh{\"o}ht sich mit der globalen Vernetzung der Landwirtschaft, z. B. durch den Import von kontaminierten Futter- bzw. Lebensmitteln (29). Die vorliegende Arbeit stellt die milchsaure Fermentation von Rinderg{\"u}lle und Kl{\"a}rschlamm als alternative Hygienisierungsmethode gegen{\"u}ber der Pasteurisation in Biogasanlagen bzw. gebr{\"a}uchlichen Kompostierung vor. Dabei wird ein Abfall der Gram-negativen Bakterienflora sowie der Enterokokken, Schimmel- und Hefepilze unter die Nachweisgrenze von 3 log10KbE/g beobachtet, gleichzeitig steigt die Konzentration der Lactobacillaceae um das Tausendfache. Dar{\"u}ber hinaus wird gezeigt, dass pathogene Bakterien wie Staphylococcus aureus, Salmonella spp., Listeria monocytogenes, EHEC O:157 und vegetative Clostridum perfringens-Zellen innerhalb von 3 Tagen inaktiviert werden. Die Inaktivierung von ECBO-Viren und Spulwurmeiern erfolgt innerhalb von 7 bzw. 56 Tagen. Zur Aufkl{\"a}rung der Ursache der beobachteten Hygienisierung wurde das fermentierte Material auf fl{\"u}chtige Fetts{\"a}uren sowie pH-Wert{\"a}nderungen untersucht. Es konnte festgestellt werden, dass die gemessenen Werte nicht die alleinige Ursache f{\"u}r das Absterben der Erreger sind, vielmehr wird eine zus{\"a}tzliche bakterizide Wirkung durch eine mutmaßliche Bildung von Bakteriozinen in Betracht gezogen. Die parasitizide Wirkung wird auf die physikalischen Bedingungen der Fermentation zur{\"u}ckgef{\"u}hrt. Die methodischen Grundlagen basieren auf Analysen mittels zahlreicher klassisch-kultureller Verfahren, wie z. B. der Lebendkeimzahlbestimmung. Dar{\"u}ber hinaus findet die MALDI-TOF-Massenspektrometrie und die klassische PCR in Kombination mit der Gradienten-Gelelektrophorese Anwendung, um kultivierbare Bakterienfloren zu beschreiben bzw. nicht kultivierbare Bakterienfloren stichprobenartig zu erfassen. Neben den Aspekten der Hygienisierung wird zudem die Eignung der Methode f{\"u}r die landwirtschaftliche Nutzung ber{\"u}cksichtigt. Dies findet sich insbesondere in der Komposition des zu fermentierenden Materials wieder, welches f{\"u}r die verst{\"a}rkte Humusakkumulation im Ackerboden optimiert wurde. Dar{\"u}ber hinaus wird die Masseverlustbilanz w{\"a}hrend der milchsauren Fermentation mit denen der Kompostierung sowie der Verarbeitung in der Biogasanlage verglichen und als positiv bewertet, da sie mit insgesamt 2,45 \% sehr deutlich unter den bisherigen Alternativen liegt (73, 138, 458). Weniger Verluste an organischem Material w{\"a}hrend der Hygienisierung f{\"u}hren zu einer gr{\"o}ßeren verwendbaren D{\"u}ngermenge, die auf Grund ihres organischen Ursprungs zu einer Verst{\"a}rkung des Humusanteiles im Ackerboden beitragen kann (56, 132).}, language = {de} } @phdthesis{Negri2014, author = {Negri, Michael}, title = {How coaches influence referee decisions}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-72247}, school = {Universit{\"a}t Potsdam}, pages = {132}, year = {2014}, abstract = {The work elaborates on the question if coaches in non-professional soccer can influence referee decisions. Modeled from a principal-agent perspective, the managing referee boards can be seen as the principal. They aim at facilitating a fair competition which is in accordance with the existing rules and regulations. In doing so, the referees are assigned as impartial agents on the pitch. The coaches take over a non-legitimate principal-like role trying to influence the referees even though they do not have the formal right to do so. Separate questionnaires were set up for referees and coaches. The coach questionnaire aimed at identifying the extent and the forms of influencing attempts by coaches. The referee questionnaire tried to elaborate on the questions if referees take notice of possible influencing attempts and how they react accordingly. The results were put into relation with official match data in order to identify significant influences on personal sanctions (yellow cards, second yellow cards, red cards) and the match result. It is found that there is a slight effect on the referee's decisions. However, this effect is rather disadvantageous for the influencing coach and there is no evidence for an impact on the match result itself.}, language = {en} } @phdthesis{Andree2014, author = {Andree, Kai}, title = {Horizontale Fusionen bei r{\"a}umlichem Wettbewerb}, series = {Potsdamer Schriften zur Raumwirtschaft}, journal = {Potsdamer Schriften zur Raumwirtschaft}, number = {6}, publisher = {Universit{\"a}tsverlag Potsdam}, address = {Potsdam}, isbn = {978-3-86956-279-7}, issn = {2190-8702}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-69209}, school = {Universit{\"a}t Potsdam}, pages = {xi, 227}, year = {2014}, abstract = {Fusionen stellen einen zentralen Baustein der Industrie{\"o}konomik dar. In diesem Buch wird der Frage nachgegangen, welchen Einfluss die r{\"a}umliche Dimension auf eine Fusion aus{\"u}bt. Dabei wird ein Grundmodell entwickelt und {\"u}ber dieses hinaus eine Vielzahl Erweiterungen pr{\"a}sentiert. Der Leser erh{\"a}lt somit die M{\"o}glichkeit ein tiefes Verst{\"a}ndnis f{\"u}r Fusionen bei r{\"a}umlichem Wettbewerb zu erlangen.}, language = {de} } @phdthesis{Sarkar2014, author = {Sarkar, Saswati}, title = {Holocene variations in the strength of the Indian Monsoon system}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-74905}, school = {Universit{\"a}t Potsdam}, pages = {ix, 114}, year = {2014}, abstract = {The monsoon is an important component of the Earth's climate system. It played a vital role in the development and sustenance of the largely agro-based economy in India. A better understanding of past variations in the Indian Summer Monsoon (ISM) is necessary to assess its nature under global warming scenarios. Instead, our knowledge of spatiotemporal patterns of past ISM strength, as inferred from proxy records, is limited due to the lack of high-resolution paleo-hydrological records from the core monsoon domain. In this thesis I aim to improve our understanding of Holocene ISM variability from the core 'monsoon zone' (CMZ) in India. To achieve this goal, I tried to understand modern and thereafter reconstruct Holocene monsoonal hydrology, by studying surface sediments and a high-resolution sedimentary record from the saline-alkaline Lonar crater lake, central India. My approach relies on analyzing stable carbon and hydrogen isotope ratios from sedimentary lipid biomarkers to track past hydrological changes. In order to evaluate the relationship of the modern ecosystem and hydrology of the lake I studied the distribution of lipid biomarkers in the modern ecosystem and compared it to lake surface sediments. The major plants from dry deciduous mixed forest type produced a greater amount of leaf wax n-alkanes and a greater fraction of n-C31 and n-C33 alkanes relative to n-C27 and n-C29. Relatively high average chain length (ACL) values (29.6-32.8) for these plants seem common for vegetation from an arid and warm climate. Additionally I found that human influence and subsequent nutrient supply result in increased lake primary productivity, leading to an unusually high concentration of tetrahymanol, a biomarker for salinity and water column stratification, in the nearshore sediments. Due to this inhomogeneous deposition of tetrahymanol in modern sediments, I hypothesize that lake level fluctuation may potentially affect aquatic lipid biomarker distributions in lacustrine sediments, in addition to source changes. I reconstructed centennial-scale hydrological variability associated with changes in the intensity of the ISM based on a record of leaf wax and aquatic biomarkers and their stable carbon (δ13C) and hydrogen (δD) isotopic composition from a 10 m long sediment core from the lake. I identified three main periods of distinct hydrology over the Holocene in central India. The period between 10.1 and 6 cal. ka BP was likely the wettest during the Holocene. Lower ACL index values (29.4 to 28.6) of leaf wax n-alkanes and their negative δ13C values (-34.8 per mille to -27.8 per mille) indicated the dominance of woody C3 vegetation in the catchment, and negative δDwax (average for leaf wax n-alkanes) values (-171 per mille to -147 per mille) argue for a wet period due to an intensified monsoon. After 6 cal. ka BP, a gradual shift to less negative δ13C values (particularly for the grass derived n-C31) and appearance of the triterpene lipid tetrahymanol, generally considered as a marker for salinity and water column stratification, marked the onset of drier conditions. At 5.1 cal. ka BP increasing flux of leaf wax n-alkanes along with the highest flux of tetrahymanol indicated proximity of the lakeshore to the center due to a major lake level decrease. Rapid fluctuations in abundance of both terrestrial and aquatic biomarkers between 4.8 and 4 cal. ka BP indicated an unstable lake ecosystem, culminating in a transition to arid conditions. A pronounced shift to less negative δ13C values, in particular for n-C31 (-25.2 per mille to -22.8 per mille), over this period indicated a change of dominant vegetation to C4 grasses. Along with a 40 per mille increase in leaf wax n-alkane δD values, which likely resulted from less rainfall and/or higher plant evapotranspiration, I interpret this period to reflect the driest conditions in the region during the last 10.1 ka. This transition led to protracted late Holocene arid conditions and the establishment of a permanently saline lake. This is supported by the high abundance of tetrahymanol. A late Holocene peak of cyanobacterial biomarker input at 1.3 cal. ka BP might represent an event of lake eutrophication, possibly due to human impact and the onset of cattle/livestock farming in the catchment. The most intriguing feature of the mid-Holocene driest period was the high amplitude and rapid fluctuations in δDwax values, probably due to a change in the moisture source and/or precipitation seasonality. I hypothesize that orbital induced weakening of the summer solar insolation and associated reorganization of the general atmospheric circulation were responsible for an unstable hydroclimate in the mid-Holocene in the CMZ. My findings shed light onto the sequence of changes during mean state changes of the monsoonal system, once an insolation driven threshold has been passed, and show that small changes in solar insolation can be associated to major environmental changes and large fluctuations in moisture source, a scenario that may be relevant with respect to future changes in the ISM system.}, language = {en} } @phdthesis{Mallonn2014, author = {Mallonn, Matthias}, title = {Ground-based transmission spectroscopy of three inflated Hot Jupiter exoplanets}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-74403}, school = {Universit{\"a}t Potsdam}, pages = {ix, 115}, year = {2014}, abstract = {The characterization of exoplanets is a young and rapidly expanding field in astronomy. It includes a method called transmission spectroscopy that searches for planetary spectral fingerprints in the light received from the host star during the event of a transit. This techniques allows for conclusions on the atmospheric composition at the terminator region, the boundary between the day and night side of the planet. Observationally a big challenge, first attempts in the community have been successful in the detection of several absorption features in the optical wavelength range. These are for example a Rayleighscattering slope and absorption by sodium and potassium. However, other objects show a featureless spectrum indicative for a cloud or haze layer of condensates masking the probable atmospheric layers. In this work, we performed transmission spectroscopy by spectrophotometry of three Hot Jupiter exoplanets. When we began the work on this thesis, optical transmission spectra have been available for two exoplanets. Our main goal was to advance the current sample of probed objects to learn by comparative exoplanetology whether certain absorption features are common. We selected the targets HAT-P-12b, HAT-P-19b and HAT-P-32b, for which the detection of atmospheric signatures is feasible with current ground-based instrumentation. In addition, we monitored the host stars of all three objects photometrically to correct for influences of stellar activity if necessary. The obtained measurements of the three objects all favor featureless spectra. A variety of atmospheric compositions can explain the lack of a wavelength dependent absorption. But the broad trend of featureless spectra in planets of a wide range of temperatures, found in this work and in similar studies recently published in the literature, favors an explanation based on the presence of condensates even at very low concentrations in the atmospheres of these close-in gas giants. This result points towards the general conclusion that the capability of transmission spectroscopy to determine the atmospheric composition is limited, at least for measurements at low spectral resolution. In addition, we refined the transit parameters and ephemerides of HAT-P-12b and HATP- 19b. Our monitoring campaigns allowed for the detection of the stellar rotation period of HAT-P-19 and a refined age estimate. For HAT-P-12 and HAT-P-32, we derived upper limits on their potential variability. The calculated upper limits of systematic effects of starspots on the derived transmission spectra were found to be negligible for all three targets. Finally, we discussed the observational challenges in the characterization of exoplanet atmospheres, the importance of correlated noise in the measurements and formulated suggestions on how to improve on the robustness of results in future work.}, language = {en} } @phdthesis{Kollosche2014, author = {Kollosche, David}, title = {Gesellschaft, Mathematik und Unterricht : ein Beitrag zum soziologisch-kritischen Verst{\"a}ndnis der gesellschaftlichen Funktionen des Mathematikunterrichts}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-70726}, school = {Universit{\"a}t Potsdam}, year = {2014}, abstract = {Die vorliegende Studie untersucht die gesellschaftliche Rolle des gegenw{\"a}rtigen Mathematikunterrichts an deutschen allgemeinbildenden Schulen aus einer soziologisch-kritischen Perspektive. In Zentrum des Interesses steht die durch den Mathematikunterricht erfahrene Sozialisation. Die Studie umfasst unter anderem eine Literaturdiskussion, die Ausarbeitung eines soziologischen Rahmens auf der Grundlage des Werks von Michel Foucault und zwei Teilstudien zur Soziologie der Logik und des Rechnens. Abschließend werden Dispositive des Mathematischen beschrieben, die darlegen, in welcher Art und mit welcher pers{\"o}nlichen und gesellschaftlichen Folgen der gegenw{\"a}rtige Mathematikunterricht eine spezielle Geisteshaltung etabliert.}, language = {de} } @phdthesis{Liebs2014, author = {Liebs, G{\"o}ran}, title = {Ground penetration radar wave velocities and their uncertainties}, doi = {10.25932/publishup-43680}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-436807}, school = {Universit{\"a}t Potsdam}, pages = {ii, 106}, year = {2014}, abstract = {We develop three new approaches for ground penetration wave velocity calcultaions. The first is based on linear moveout spectra to find the optimum ground wave velocity including uncertainties from multi-offset data gathers. We used synthetic data to illustrate the principles of the method and to investigate uncertainties in ground wave velocity estimates. To demonstrate the applicability of the approach to real data, we analyzed GPR data sets recorded at field sites in Canada over an annual cycle from Steelman \& Endres [2010]. The results obtained by this efficient and largely automated procedure agree well with the manual achieved results of Steelman \& Endres [2010], derived by a more laborious largely manual analysis strategy. Then we develop a second methodology to global invert reflection traveltimes with a particle swarm optimization approach more precise then conventional spectral NMO-based velocity analysis (e.g., Greaves et al. [1996]). For global optimization, we use particle swarm optimization (PSO; Kennedy \& Eberhart [1995]) in the combination with a fast eikonal solver as forward solver (Sethian [1996]; Fomel [1997a]; Sethian \& Popovici [1999]). This methodology allows us to generate reliability CMP derived models of subsurface velocities and water content including uncertainties. We test this method with synthetic data to study the behavior of the PSO algorithm. Afterward, We use this method to analyze our field data from a well constrained test site in Horstwalde, Germany. The achieved velocity models from field data showed good agreement to borehole logging and direct-push data (Schmelzbach et al. [2011]) at the same site position. For the third method we implement a global optimization approach also based on PSO to invert direct-arrival traveltimes of VRP data to obtain high resolution 1D velocity models including quantitative estimates of uncertainty. Our intensive tests with several traveltime data sets helped to understand the behavior of PSO algorithm for inversion. Integration of the velocity model to VRP reflection imaging and attenuation model improved the potential of VRP surveying. Using field data, we examine this novel analysis strategy for the development of petrophysical models and the linking between GPR borehole and other logging data to surface GPR reflection data.}, language = {de} } @phdthesis{Ziese2014, author = {Ziese, Ramona}, title = {Geometric electroelasticity}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-72504}, school = {Universit{\"a}t Potsdam}, pages = {vi, 113}, year = {2014}, abstract = {In this work a diffential geometric formulation of the theory of electroelasticity is developed which also includes thermal and magnetic influences. We study the motion of bodies consisting of an elastic material that are deformed by the influence of mechanical forces, heat and an external electromagnetic field. To this end physical balance laws (conservation of mass, balance of momentum, angular momentum and energy) are established. These provide an equation that describes the motion of the body during the deformation. Here the body and the surrounding space are modeled as Riemannian manifolds, and we allow that the body has a lower dimension than the surrounding space. In this way one is not (as usual) restricted to the description of the deformation of three-dimensional bodies in a three-dimensional space, but one can also describe the deformation of membranes and the deformation in a curved space. Moreover, we formulate so-called constitutive relations that encode the properties of the used material. Balance of energy as a scalar law can easily be formulated on a Riemannian manifold. The remaining balance laws are then obtained by demanding that balance of energy is invariant under the action of arbitrary diffeomorphisms on the surrounding space. This generalizes a result by Marsden and Hughes that pertains to bodies that have the same dimension as the surrounding space and does not allow the presence of electromagnetic fields. Usually, in works on electroelasticity the entropy inequality is used to decide which otherwise allowed deformations are physically admissible and which are not. It is alsoemployed to derive restrictions to the possible forms of constitutive relations describing the material. Unfortunately, the opinions on the physically correct statement of the entropy inequality diverge when electromagnetic fields are present. Moreover, it is unclear how to formulate the entropy inequality in the case of a membrane that is subjected to an electromagnetic field. Thus, we show that one can replace the use of the entropy inequality by the demand that for a given process balance of energy is invariant under the action of arbitrary diffeomorphisms on the surrounding space and under linear rescalings of the temperature. On the one hand, this demand also yields the desired restrictions to the form of the constitutive relations. On the other hand, it needs much weaker assumptions than the arguments in physics literature that are employing the entropy inequality. Again, our result generalizes a theorem of Marsden and Hughes. This time, our result is, like theirs, only valid for bodies that have the same dimension as the surrounding space.}, language = {en} } @phdthesis{Radeff2014, author = {Radeff, Giuditta}, title = {Geohistory of the Central Anatolian Plateau southern margin (southern Turkey)}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-71865}, school = {Universit{\"a}t Potsdam}, year = {2014}, abstract = {The Adana Basin of southern Turkey, situated at the SE margin of the Central Anatolian Plateau is ideally located to record Neogene topographic and tectonic changes in the easternmost Mediterranean realm. Using industry seismic reflection data we correlate 34 seismic profiles with corresponding exposed units in the Adana Basin. The time-depth conversion of the interpreted seismic profiles allows us to reconstruct the subsidence curve of the Adana Basin and to outline the occurrence of a major increase in both subsidence and sedimentation rates at 5.45 - 5.33 Ma, leading to the deposition of almost 1500 km3 of conglomerates and marls. Our provenance analysis of the conglomerates reveals that most of the sediment is derived from and north of the SE margin of the Central Anatolian Plateau. A comparison of these results with the composition of recent conglomerates and the present drainage basins indicates major changes between late Messinian and present-day source areas. We suggest that these changes in source areas result of uplift and ensuing erosion of the SE margin of the plateau. This hypothesis is supported by the comparison of the Adana Basin subsidence curve with the subsidence curve of the Mut Basin, a mainly Neogene basin located on top of the Central Anatolian Plateau southern margin, showing that the Adana Basin subsidence event is coeval with an uplift episode of the plateau southern margin. The collection of several fault measurements in the Adana region show different deformation styles for the NW and SE margins of the Adana Basin. The weakly seismic NW portion of the basin is characterized by extensional and transtensional structures cutting Neogene deposits, likely accomodating the differential uplift occurring between the basin and the SE margin of the plateau. We interpret the tectonic evolution of the southern flank of the Central Anatolian Plateau and the coeval subsidence and sedimentation in the Adana Basin to be related to deep lithospheric processes, particularly lithospheric delamination and slab break-off.}, language = {en} } @phdthesis{Albrecht2014, author = {Albrecht, Steve}, title = {Generation, recombination and extraction of charges in polymer}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-72285}, school = {Universit{\"a}t Potsdam}, pages = {144}, year = {2014}, abstract = {A dramatic efficiency improvement of bulk heterojunction solar cells based on electron-donating conjugated polymers in combination with soluble fullerene derivatives has been achieved over the past years. Certified and reported power conversion efficiencies now reach over 9\% for single junctions and exceed the 10\% benchmark for tandem solar cells. This trend brightens the vision of organic photovoltaics becoming competitive with inorganic solar cells including the realization of low-cost and large-area organic photovoltaics. For the best performing organic materials systems, the yield of charge generation can be very efficient. However, a detailed understanding of the free charge carrier generation mechanisms at the donor acceptor interface and the energy loss associated with it needs to be established. Moreover, organic solar cells are limited by the competition between charge extraction and free charge recombination, accounting for further efficiency losses. A conclusive picture and the development of precise methodologies for investigating the fundamental processes in organic solar cells are crucial for future material design, efficiency optimization, and the implementation of organic solar cells into commercial products. In order to advance the development of organic photovoltaics, my thesis focuses on the comprehensive understanding of charge generation, recombination and extraction in organic bulk heterojunction solar cells summarized in 6 chapters on the cumulative basis of 7 individual publications. The general motivation guiding this work was the realization of an efficient hybrid inorganic/organic tandem solar cell with sub-cells made from amorphous hydrogenated silicon and organic bulk heterojunctions. To realize this project aim, the focus was directed to the low band-gap copolymer PCPDTBT and its derivatives, resulting in the examination of the charge carrier dynamics in PCPDTBT:PC70BM blends in relation to by the blend morphology. The phase separation in this blend can be controlled by the processing additive diiodooctane, enhancing domain purity and size. The quantitative investigation of the free charge formation was realized by utilizing and improving the time delayed collection field technique. Interestingly, a pronounced field dependence of the free carrier generation for all blends is found, with the field dependence being stronger without the additive. Also, the bimolecular recombination coefficient for both blends is rather high and increases with decreasing internal field which we suggest to be caused by a negative field dependence of mobility. The additive speeds up charge extraction which is rationalized by the threefold increase in mobility. By fluorine attachment within the electron deficient subunit of PCPDTBT, a new polymer F-PCPDTBT is designed. This new material is characterized by a stronger tendency to aggregate as compared to non-fluorinated PCPDTBT. Our measurements show that for F-PCPDTBT:PCBM blends the charge carrier generation becomes more efficient and the field-dependence of free charge carrier generation is weakened. The stronger tendency to aggregate induced by the fluorination also leads to increased polymer rich domains, accompanied in a threefold reduction in the non-geminate recombination coefficient at conditions of open circuit. The size of the polymer domains is nicely correlated to the field-dependence of charge generation and the Langevin reduction factor, which highlights the importance of the domain size and domain purity for efficient charge carrier generation. In total, fluorination of PCPDTBT causes the PCE to increase from 3.6 to 6.1\% due to enhanced fill factor, short circuit current and open circuit voltage. Further optimization of the blend ratio, active layer thickness, and polymer molecular weight resulted in 6.6\% efficiency for F-PCPDTBT:PC70BM solar cells. Interestingly, the double fluorinated version 2F-PCPDTBT exhibited poorer FF despite a further reduction of geminate and non-geminate recombination losses. To further analyze this finding, a new technique is developed that measures the effective extraction mobility under charge carrier densities and electrical fields comparable to solar cell operation conditions. This method involves the bias enhanced charge extraction technique. With the knowledge of the carrier density under different electrical field and illumination conditions, a conclusive picture of the changes in charge carrier dynamics leading to differences in the fill factor upon fluorination of PCPDTBT is attained. The more efficient charge generation and reduced recombination with fluorination is counterbalanced by a decreased extraction mobility. Thus, the highest fill factor of 60\% and efficiency of 6.6\% is reached for F-PCPDTBT blends, while 2F-PCPDTBT blends have only moderate fill factors of 54\% caused by the lower effective extraction mobility, limiting the efficiency to 6.5\%. To understand the details of the charge generation mechanism and the related losses, we evaluated the yield and field-dependence of free charge generation using time delayed collection field in combination with sensitive measurements of the external quantum efficiency and absorption coefficients for a variety of blends. Importantly, both the yield and field-dependence of free charge generation is found to be unaffected by excitation energy, including direct charge transfer excitation below the optical band gap. To access the non-detectable absorption at energies of the relaxed charge transfer emission, the absorption was reconstructed from the CT emission, induced via the recombination of thermalized charges in electroluminescence. For a variety of blends, the quantum yield at energies of charge transfer emission was identical to excitations with energies well above the optical band-gap. Thus, the generation proceeds via the split-up of the thermalized charge transfer states in working solar cells. Further measurements were conducted on blends with fine-tuned energy levels and similar blend morphologies by using different fullerene derivatives. A direct correlation between the efficiency of free carrier generation and the energy difference of the relaxed charge transfer state relative to the energy of the charge separated state is found. These findings open up new guidelines for future material design as new high efficiency materials require a minimum energetic offset between charge transfer and the charge separated state while keeping the HOMO level (and LUMO level) difference between donor and acceptor as small as possible.}, language = {en} } @phdthesis{Federici2014, author = {Federici, Simone}, title = {Gamma-ray studies of the young shell-type SNR RX J1713.7-3946}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-71734}, school = {Universit{\"a}t Potsdam}, year = {2014}, abstract = {One of the most significant current discussions in Astrophysics relates to the origin of high-energy cosmic rays. According to our current knowledge, the abundance distribution of the elements in cosmic rays at their point of origin indicates, within plausible error limits, that they were initially formed by nuclear processes in the interiors of stars. It is also believed that their energy distribution up to 1018 eV has Galactic origins. But even though the knowledge about potential sources of cosmic rays is quite poor above „ 1015 eV, that is the "knee" of the cosmic-ray spectrum, up to the knee there seems to be a wide consensus that supernova remnants are the most likely candidates. Evidence of this comes from observations of non-thermal X-ray radiation, requiring synchrotron electrons with energies up to 1014 eV, exactly in the remnant of supernovae. To date, however, there is not conclusive evidence that they produce nuclei, the dominant component of cosmic rays, in addition to electrons. In light of this dearth of evidence, γ-ray observations from supernova remnants can offer the most promising direct way to confirm whether or not these astrophysical objects are indeed the main source of cosmic-ray nuclei below the knee. Recent observations with space- and ground-based observatories have established shell-type supernova remnants as GeV-to- TeV γ-ray sources. The interpretation of these observations is however complicated by the different radiation processes, leptonic and hadronic, that can produce similar fluxes in this energy band rendering ambiguous the nature of the emission itself. The aim of this work is to develop a deeper understanding of these radiation processes from a particular shell-type supernova remnant, namely RX J1713.7-3946, using observations of the LAT instrument onboard the Fermi Gamma-Ray Space Telescope. Furthermore, to obtain accurate spectra and morphology maps of the emission associated with this supernova remnant, an improved model of the diffuse Galactic γ-ray emission background is developed. The analyses of RX J1713.7-3946 carried out with this improved background show that the hard Fermi-LAT spectrum cannot be ascribed to the hadronic emission, leading thus to the conclusion that the leptonic scenario is instead the most natural picture for the high-energy γ-ray emission of RX J1713.7-3946. The leptonic scenario however does not rule out the possibility that cosmic-ray nuclei are accelerated in this supernova remnant, but it suggests that the ambient density may not be high enough to produce a significant hadronic γ-ray emission. Further investigations involving other supernova remnants using the improved back- ground developed in this work could allow compelling population studies, and hence prove or disprove the origin of Galactic cosmic-ray nuclei in these astrophysical objects. A break- through regarding the identification of the radiation mechanisms could be lastly achieved with a new generation of instruments such as CTA.}, language = {en} } @phdthesis{Czesnick2014, author = {Czesnick, Hj{\"o}rdis}, title = {Functional specialization of Arabidopsis poly(A) polymerases in relation to flowering time and stress}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-78015}, school = {Universit{\"a}t Potsdam}, pages = {157}, year = {2014}, abstract = {Polyadenylation is a decisive 3' end processing step during the maturation of pre-mRNAs. The length of the poly(A) tail has an impact on mRNA stability, localization and translatability. Accordingly, many eukaryotic organisms encode several copies of canonical poly(A) polymerases (cPAPs). The disruption of cPAPs in mammals results in lethality. In plants, reduced cPAP activity is non-lethal. Arabidopsis encodes three nuclear cPAPs, PAPS1, PAPS2 and PAPS4, which are constitutively expressed throughout the plant. Recently, the detailed analysis of Arabidopsis paps1 mutants revealed a subset of genes that is preferentially polyadenylated by the cPAP isoform PAPS1 (Vi et al. 2013). Thus, the specialization of cPAPs might allow the regulation of different sets of genes in order to optimally face developmental or environmental challenges. To gain insights into the cPAP-based gene regulation in plants, the phenotypes of Arabidopsis cPAPs mutants under different conditions are characterized in detail in the following work. An involvement of all three cPAPs in flowering time regulation and stress response regulation is shown. While paps1 knockdown mutants flower early, paps4 and paps2 paps4 knockout mutants exhibit a moderate late-flowering phenotype. PAPS1 promotes the expression of the major flowering inhibitor FLC, supposedly by specific polyadenylation of an FLC activator. PAPS2 and PAPS4 exhibit partially overlapping functions and ensure timely flowering by repressing FLC and at least one other unidentified flowering inhibitor. The latter two cPAPs act in a novel regulatory pathway downstream of the autonomous pathway component FCA and act independently from the polyadenylation factors and flowering time regulators CstF64 and FY. Moreover, PAPS1 and PAPS2/PAPS4 are implicated in different stress response pathways in Arabidopsis. Reduced activity of the poly(A) polymerase PAPS1 results in enhanced resistance to osmotic and oxidative stress. Simultaneously, paps1 mutants are cold-sensitive. In contrast, PAPS2/PAPS4 are not involved in the regulation of osmotic or cold stress, but paps2 paps4 loss-of-function mutants exhibit enhanced sensitivity to oxidative stress provoked in the chloroplast. Thus, both PAPS1 and PAPS2/PAPS4 are required to maintain a balanced redox state in plants. PAPS1 seems to fulfil this function in concert with CPSF30, a polyadenylation factor that regulates alternative polyadenylation and tolerance to oxidative stress. The individual paps mutant phenotypes and the cPAP-specific genetic interactions support the model of cPAP-dependent polyadenylation of selected mRNAs. The high similarity of the polyadenylation machineries in yeast, mammals and plants suggests that similar regulatory mechanisms might be present in other organism groups. The cPAP-dependent developmental and physiological pathways identified in this work allow the design of targeted experiments to better understand the ecological and molecular context underlying cPAP-specialization.}, language = {en} } @phdthesis{Lotkowska2014, author = {Lotkowska, Magda Ewa}, title = {Functional analysis of MYB112 transcription factor in the model plant Arabidopsis thaliana}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-72131}, school = {Universit{\"a}t Potsdam}, year = {2014}, abstract = {Transcription factors (TFs) are ubiquitous gene expression regulators and play essential roles in almost all biological processes. This Ph.D. project is primarily focused on the functional characterisation of MYB112 - a member of the R2R3-MYB TF family from the model plant Arabidopsis thaliana. This gene was selected due to its increased expression during senescence based on previous qRT-PCR expression profiling experiments of 1880 TFs in Arabidopsis leaves at three developmental stages (15 mm leaf, 30 mm leaf and 20\% yellowing leaf). MYB112 promoter GUS fusion lines were generated to further investigate the expression pattern of MYB112. Employing transgenic approaches in combination with metabolomics and transcriptomics we demonstrate that MYB112 exerts a major role in regulation of plant flavonoid metabolism. We report enhanced and impaired anthocyanin accumulation in MYB112 overexpressors and MYB112-deficient mutants, respectively. Expression profiling reveals that MYB112 acts as a positive regulator of the transcription factor PAP1 leading to increased anthocyanin biosynthesis, and as a negative regulator of MYB12 and MYB111, which both control flavonol biosynthesis. We also identify MYB112 early responsive genes using a combination of several approaches. These include gene expression profiling (Affymetrix ATH1 micro-arrays and qRT-PCR) and transactivation assays in leaf mesophyll cell protoplasts. We show that MYB112 binds to an 8-bp DNA fragment containing the core sequence (A/T/G)(A/C)CC(A/T)(A/G/T)(A/C)(T/C). By electrophoretic mobility shift assay (EMSA) and chromatin immunoprecipitation coupled to qPCR (ChIP-qPCR) we demonstrate that MYB112 binds in vitro and in vivo to MYB7 and MYB32 promoters revealing them as direct downstream target genes. MYB TFs were previously reported to play an important role in controlling flavonoid biosynthesis in plants. Many factors acting upstream of the anthocyanin biosynthesis pathway show enhanced expression levels during nitrogen limitation, or elevated sucrose content. In addition to the mentioned conditions, other environmental parameters including salinity or high light stress may trigger anthocyanin accumulation. In contrast to several other MYB TFs affecting anthocyanin biosynthesis pathway genes, MYB112 expression is not controlled by nitrogen limitation, or carbon excess, but rather is stimulated by salinity and high light stress. Thus, MYB112 constitutes a previously uncharacterised regulatory factor that modifies anthocyanin accumulation under conditions of abiotic stress.}, language = {en} } @phdthesis{Sorce2014, author = {Sorce, Jenny}, title = {From Spitzer mid-infrared observations and measurements of peculiar velocities to constrained simulations of the local universe}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-72486}, school = {Universit{\"a}t Potsdam}, pages = {xx, 303}, year = {2014}, abstract = {Galaxies are observational probes to study the Large Scale Structure. Their gravitational motions are tracers of the total matter density and therefore of the Large Scale Structure. Besides, studies of structure formation and galaxy evolution rely on numerical cosmological simulations. Still, only one universe observable from a given position, in time and space, is available for comparisons with simulations. The related cosmic variance affects our ability to interpret the results. Simulations constrained by observational data are a perfect remedy to this problem. Achieving such simulations requires the projects Cosmic flows and CLUES. Cosmic flows builds catalogs of accurate distance measurements to map deviations from the expansion. These measures are mainly obtained with the galaxy luminosity-rotation rate correlation. We present the calibration of that relation in the mid-infrared with observational data from Spitzer Space Telescope. Resulting accurate distance estimates will be included in the third catalog of the project. In the meantime, two catalogs up to 30 and 150 Mpc/h have been released. We report improvements and applications of the CLUES' method on these two catalogs. The technique is based on the constrained realization algorithm. The cosmic displacement field is computed with the Zel'dovich approximation. This latter is then reversed to relocate reconstructed three-dimensional constraints to their precursors' positions in the initial field. The size of the second catalog (8000 galaxies within 150 Mpc/h) highlighted the importance of minimizing the observational biases. By carrying out tests on mock catalogs, built from cosmological simulations, a method to minimize observational bias can be derived. Finally, for the first time, cosmological simulations are constrained solely by peculiar velocities. The process is successful as resulting simulations resemble the Local Universe. The major attractors and voids are simulated at positions approaching observational positions by a few megaparsecs, thus reaching the limit imposed by the linear theory.}, language = {en} } @phdthesis{Munack2014, author = {Munack, Henry}, title = {From phantom blocks to denudational noise}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-72629}, school = {Universit{\"a}t Potsdam}, pages = {xvii, 172}, year = {2014}, abstract = {Knowing the rates and mechanisms of geomorphic process that shape the Earth's surface is crucial to understand landscape evolution. Modern methods for estimating denudation rates enable us to quantitatively express and compare processes of landscape downwearing that can be traced through time and space—from the seemingly intact, though intensely shattered, phantom blocks of the catastrophically fragmented basal facies of giant rockslides up to denudational noise in orogen-wide data sets averaging over several millennia. This great variety of spatiotemporal scales of denudation rates is both boon and bane of geomorphic process rates. Indeed, processes of landscape downwearing can be traced far back in time, helping us to understand the Earth's evolution. Yet, this benefit may turn into a drawback due to scaling issues if these rates are to be compared across different observation timescales. This thesis investigates the mechanisms, patterns and rates of landscape downwearing across the Himalaya-Tibet orogen. Accounting for the spatiotemporal variability of denudation processes, this thesis addresses landscape downwearing on three distinctly different spatial scales, starting off at the local scale of individual hillslopes where considerable amounts of debris are generated from rock instantaneously: Rocksliding in active mountains is a major impetus of landscape downwearing. Study I provides a systematic overview of the internal sedimentology of giant rockslide deposits and thus meets the challenge of distinguishing them from macroscopically and microscopically similar glacial deposits, tectonic fault-zone breccias, and impact breccias. This distinction is important to avoid erroneous or misleading deduction of paleoclimatic or tectonic implications. -> Grain size analysis shows that rockslide-derived micro-breccia closely resemble those from meteorite impact or tectonic faults. -> Frictionite may occur more frequently that previously assumed. -> M{\"o}ssbauer-spectroscopy derived results indicate basal rock melting in the absence of water, involving short-term temperatures of >1500°C. Zooming out, Study II tracks the fate of these sediments, using the example of the upper Indus River, NW India. There we use river sand samples from the Indus and its tributaries to estimate basin-averaged denudation rates along a ~320-km reach across the Tibetan Plateau margin, to answer the question whether incision into the western Tibetan Plateau margin is currently active or not. -> We find an about one-order-of-magnitude upstream decay—from 110 to 10 mm kyr^-1—of cosmogenic Be-10-derived basin-wide denudation rates across the morphological knickpoint that marks the transition from the Transhimalayan ranges to the Tibetan Plateau. This trend is corroborated by independent bulk petrographic and heavy mineral analysis of the same samples. -> From the observation that tributary-derived basin-wide denudation rates do not increase markedly until ~150-200 km downstream of the topographic plateau margin we conclude that incision into the Tibetan Plateau is inactive. -> Comparing our postglacial Be-10-derived denudation rates to long-term (>10^6 yr) estimates from low-temperature thermochronometry, ranging from 100 to 750 mm kyr^-1, points to an order- of-magnitude decay of rates of landscape downwearing towards present. We infer that denudation rates must have been higher in the Quaternary, probably promoted by the interplay of glacial and interglacial stages. Our investigation of regional denudation patterns in the upper Indus finally is an integral part of Study III that synthesizes denudation of the Himalaya-Tibet orogen. In order to identify general and time-invariant predictors for Be-10-derived denudation rates we analyze tectonic, climatic and topographic metrics from an inventory of 297 drainage basins from various parts of the orogen. Aiming to get insight to the full response distributions of denudation rate to tectonic, climatic and topographic candidate predictors, we apply quantile regression instead of ordinary least squares regression, which has been standard analysis tool in previous studies that looked for denudation rate predictors. -> We use principal component analysis to reduce our set of 26 candidate predictors, ending up with just three out of these: Aridity Index, topographic steepness index, and precipitation of the coldest quarter of the year. -> Topographic steepness index proves to perform best during additive quantile regression. Our consequent prediction of denudation rates on the basin scale involves prediction errors that remain between 5 and 10 mm kyr^-1. -> We conclude that while topographic metrics such as river-channel steepness and slope gradient—being representative on timescales that our cosmogenic Be-10-derived denudation rates integrate over—generally appear to be more suited as predictors than climatic and tectonic metrics based on decadal records.}, language = {en} } @phdthesis{Goldshteyn2014, author = {Goldshteyn, Jewgenij}, title = {Frequency-resolved ultrafast dynamics of phonon polariton wavepackets in the ferroelectric crystals LiNbO₃ and LiTaO₃}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-71623}, school = {Universit{\"a}t Potsdam}, year = {2014}, abstract = {During this work I built a four wave mixing setup for the time-resolved femtosecond spectroscopy of Raman-active lattice modes. This setup enables to study the selective excitation of phonon polaritons. These quasi-particles arise from the coupling of electro-magnetic waves and transverse optical lattice modes, the so-called phonons. The phonon polaritons were investigated in the optically non-linear, ferroelectric crystals LiNbO₃ and LiTaO₃. The direct observation of the frequency shift of the scattered narrow bandwidth probe pulses proofs the role of the Raman interaction during the probe and excitation process of phonon polaritons. I compare this experimental method with the measurement where ultra-short laser pulses are used. The frequency shift remains obscured by the relative broad bandwidth of these laser pulses. In an experiment with narrow bandwidth probe pulses, the Stokes and anti-Stokes intensities are spectrally separated. They are assigned to the corresponding counter-propagating wavepackets of phonon polaritons. Thus, the dynamics of these wavepackets was separately studied. Based on these findings, I develop the mathematical description of the so-called homodyne detection of light for the case of light scattering from counter propagating phonon polaritons. Further, I modified the broad bandwidth of the ultra-short pump pulses using bandpass filters to generate two pump pulses with non-overlapping spectra. This enables the frequency-selective excitation of polariton modes in the sample, which allows me to observe even very weak polariton modes in LiNbO₃ or LiTaO₃ that belong to the higher branches of the dispersion relation of phonon polaritons. The experimentally determined dispersion relation of the phonon polaritons could therefore be extended and compared to theoretical models. In addition, I determined the frequency-dependent damping of phonon polaritons.}, language = {en} } @phdthesis{Metzner2014, author = {Metzner, Christiane}, title = {Freiwilligenmanagement als Instrument zur F{\"o}rderung B{\"u}rgerschaftlichen Engagements in Nonprofit-Organisationen}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-72180}, school = {Universit{\"a}t Potsdam}, year = {2014}, abstract = {Diese Arbeit untersucht, was passiert, wenn in Non-Profit-Organisation (NPO) der Anspruch des B{\"u}rgerschaftlichen Engagements auf Praktiken des Freiwilligenmanagements trifft. Ausgangspunkt dieser Fragestellung ist eine doppelte Diagnose: Zum einen setzen NPOs aufgrund mehrerer Faktoren - u.a. Ressourcenknappheit, Wettbewerb und Nachahmungseffekten - vermehrt auf Freiwilligenmanagement. Mit dieser von der BWL inspirierten, aber f{\"u}r NPO entwickelten Personalf{\"u}hrungsmethode wollen sie mehr und bessere Freiwillige gewinnen und deren Einsatz effizienter strukturieren. Zum anderen haben sich gleichzeitig viele NPO dem Ziel des b{\"u}rgerschaftlichen Engagements verschrieben. Damit reagieren sie auf den aus Politik und Wissenschaft zu vernehmenden Anspruch, die Zivilgesellschaft m{\"o}ge die knappen Kassen der {\"o}ffentlichen Hand kompensieren und das wachsende Partizipationsbed{\"u}rfnis weiter Teile der Bev{\"o}lkerung durch eine neue Kultur der Teilhabe der B{\"u}rgerinnen und B{\"u}rger befriedigen. Bei n{\"a}herer Betrachtung zeigt sich jedoch: W{\"a}hrend Freiwilligenmanagement einer {\"o}konomischen Handlungslogik folgt, ist b{\"u}rgerschaftliches Engagement Ausdruck einer Handlungslogik der Zivilgesellschaft. Beide sind unter gegenw{\"a}rtigen Bedingungen weder theoretisch noch praktisch miteinander vereinbar. Um beide Entwicklungen miteinander zu vers{\"o}hnen, muss Freiwilligenmanagement unter dem Banner des B{\"u}rgerschaftlichen neu gedacht werden. Dieses Argument unterf{\"u}ttert die Arbeit sowohl theoretisch und empirisch. Der Theorieteil gliedert sich in drei Teile. Zun{\"a}chst wird der Begriff der NPO n{\"a}her eingegrenzt. Dazu wird die bestehende Literatur zum Dritten Sektor und Non-Profit-Organisationen zu einem operationalisierbaren Begriff von NPO kondensiert. Daran anschließend werden aktuelle Trends im Feld der NPO identifiziert, die zeigen, dass NPO tats{\"a}chlich oft von widerstreitenden Handlungslogiken gekennzeichnet sind, darunter eine {\"o}konomische und eine b{\"u}rgerschaftliche. Die beiden folgenden Kapitel untersuchen dann jeweils eine der beiden Logiken. Zun{\"a}chst wird das Leitbild des b{\"u}rgerschaftlichen Engagements als Ausdruck einer zivilgesellschaftlichen Handlungslogik n{\"a}her definiert. Dabei zeigt sich, dass dieser Begriff oft sehr unscharf verwendet wird. Daher greift die Arbeit auf die politiktheoretische Diskussion um Zivil- und B{\"u}rgergesellschaft auf und schmiedet daraus eine qualifizierte Definition von b{\"u}rgerschaftlichem Engagement, die sich maßgeblich am Ideal von gesellschaftlich-politischer Partizipation und b{\"u}rgerschaftlicher Kompetenz orientiert. Dem wird im dritten und letzten Kapitel des Theorieteils die {\"o}konomische Handlungslogik in Form der Theorie des Freiwilligenmanagements gegen{\"u}bergestellt. Bei der Darstellung zeigt sich schnell, dass dessen Grundprinzipien - anders als oft vorgebracht - mit den qualifizierten Idealen von Partizipation und Konkurrenz im Konflikt stehen. In der empirischen Analyse wird dann in den 8 Interviews den Widerspr{\"u}chen zwischen b{\"u}rgerschaftlichem Engagement und Freiwilligenmanagement in der Praxis nachgegangen. Die Ergebnisse dieser Untersuchung lassen sich in 5 Punkten zusammenfassen: 1. Freiwilligenmanagement orientiert sich erstens im wesentlichen an einer Zahl: Dem Zugewinn oder Verlust von freiwilliger Arbeit. 2. Freiwilligenmanagement installiert ein umfassendes System der Selektion von „passenden" Freiwilligen. 3. Positiv hervorzuheben ist die institutionalisierte Ansprechbarkeit, die im Rahmen von Freiwilligenmanagement in NPO Einzug erh{\"a}lt. 4. Freiwilligenmanagement ist eng mit dem Anspruch verbunden, die Arbeit der Freiwilligen zu kontrollieren. Der Eigensinn des Engagements, die Notwendigkeit von Spielr{\"a}umen, die M{\"o}glichkeit des Ausprobierens oder der Anspruch der Freiwilligen, an Entscheidungen zu partizipieren bzw. gar selbstorganisiert und -verantwortlich zu handeln, r{\"u}ckt dabei in den Hintergrund. 5. In den Interviews wird eine starke {\"O}konomisierung des Engagements sichtbar. Freiwillige werden als Ressource betrachtet, ihr Engagement als „Zeitspende" statistisch erfasst, ihre (Dienst-)Leistung monet{\"a}r bewertet. Im Zuge dessen erh{\"a}lt auch der Managerialism verst{\"a}rkt Einfluss auf die Arbeit in NPO und begr{\"u}ndet ein stark hierarchisches Verh{\"a}ltnis: W{\"a}hrend die Freiwilligenmangerin aktiv handelt, wird die freiwillig Engagierte zum Objekt von Management-Techniken. Dass dies dem Anspruch der Partizipation entgegenl{\"a}uft, ergibt sich dabei von selbst. Angesichts dieser Diagnose, dass real-existierendes Freiwilligenmanagement nicht mit dem Ideal des b{\"u}rgerschaftlichen Engagement im engeren Sinne zusammenpasst, formuliert das Fazit Vorschl{\"a}ge f{\"u}r ein b{\"u}rgerschaftlich orientiertes, engagement-sensibles Freiwilligenmanagement.
}, language = {de} } @phdthesis{Widdrat2014, author = {Widdrat, Marc}, title = {Formation and alteration of magnetite nanoparticles}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-72239}, school = {Universit{\"a}t Potsdam}, pages = {113}, year = {2014}, abstract = {Magnetite is an iron oxide, which is ubiquitous in rocks and is usually deposited as small nanoparticulate matter among other rock material. It differs from most other iron oxides because it contains divalent and trivalent iron. Consequently, it has a special crystal structure and unique magnetic properties. These properties are used for paleoclimatic reconstructions where naturally occurring magnetite helps understanding former geological ages. Further on, magnetic properties are used in bio- and nanotechnological applications -synthetic magnetite serves as a contrast agent in MRI, is exploited in biosensing, hyperthermia or is used in storage media. Magnetic properties are strongly size-dependent and achieving size control under preferably mild synthesis conditions is of interest in order to obtain particles with required properties. By using a custom-made setup, it was possible to synthesize stable single domain magnetite nanoparticles with the co-precipitation method. Furthermore, it was shown that magnetite formation is temperature-dependent, resulting in larger particles at higher temperatures. However, mechanistic approaches about the details are incomplete. Formation of magnetite from solution was shown to occur from nanoparticulate matter rather than solvated ions. The theoretical framework of such processes has only started to be described, partly due to the lack of kinetic or thermodynamic data. Synthesis of magnetite nanoparticles at different temperatures was performed and the Arrhenius plot was used determine an activation energy for crystal growth of 28.4 kJ mol-1, which led to the conclusion that nanoparticle diffusion is the rate-determining step. Furthermore, a study of the alteration of magnetite particles of different sizes as a function of their storage conditions is presented. The magnetic properties depend not only on particle size but also depend on the structure of the oxide, because magnetite oxidizes to maghemite under environmental conditions. The dynamics of this process have not been well described. Smaller nanoparticles are shown to oxidize more rapidly than larger ones and the lower the storage temperature, the lower the measured oxidation. In addition, the magnetic properties of the altered particles are not decreased dramatically, thus suggesting that this alteration will not impact the use of such nanoparticles as medical carriers. Finally, the effect of biological additives on magnetite formation was investigated. Magnetotactic bacteria¬¬ are able to synthesize and align magnetite nanoparticles of well-defined size and morphology due to the involvement of special proteins with specific binding properties. Based on this model of morphology control, phage display experiments were performed to determine peptide sequences that preferably bind to (111)-magnetite faces. The aim was to control the shape of magnetite nanoparticles during the formation. Magnetotactic bacteria are also able to control the intracellular redox potential with proteins called magnetochromes. MamP is such a protein and its oxidizing nature was studied in vitro via biomimetic magnetite formation experiments based on ferrous ions. Magnetite and further trivalent oxides were found. This work helps understanding basic mechanisms of magnetite formation and gives insight into non-classical crystal growth. In addition, it is shown that alteration of magnetite nanoparticles is mainly based on oxidation to maghemite and does not significantly influence the magnetic properties. Finally, biomimetic experiments help understanding the role of MamP within the bacteria and furthermore, a first step was performed to achieve morphology control in magnetite formation via co-precipitation.}, language = {en} } @phdthesis{Kruegel2014, author = {Kr{\"u}gel, Andr{\´e}}, title = {Eye movement control during reading : factors and principles of computing the word center for saccade planning}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-72599}, school = {Universit{\"a}t Potsdam}, year = {2014}, abstract = {Reading is a complex cognitive task based on the analyses of visual stimuli. Due to the physiology of the eye, only a small number of letters around the fixation position can be extracted with high visual acuity, while the visibility of words and letters outside this so-called foveal region quickly drops with increasing eccentricity. As a consequence, saccadic eye movements are needed to repeatedly shift the fovea to new words for visual word identification during reading. Moreover, even within a foveated word fixation positions near the word center are superior to other fixation positions for efficient word recognition (O'Regan, 1981; Brysbaert, Vitu, and Schroyens, 1996). Thus, most reading theories assume that readers aim specifically at word centers during reading (for a review see Reichle, Rayner, \& Pollatsek, 2003). However, saccades' landing positions within words during reading are in fact systematically modulated by the distance of the launch site from the word center (McConkie, Kerr, Reddix, \& Zola, 1988). In general, it is largely unknown how readers identify the center of upcoming target words and there is no computational model of the sensorimotor translation of the decision for a target word into spatial word center coordinates. Here we present a series of three studies which aim at advancing the current knowledge about the computation of saccade target coordinates during saccade planning in reading. Based on a large corpus analyses, we firstly identified word skipping as a further factor beyond the launch-site distance with a likewise systematic and surprisingly large effect on within-word landing positions. Most importantly, we found that the end points of saccades after skipped word are shifted two and more letters to the left as compared to one-step saccades (i.e., from word N to word N+1) with equal launch-site distances. Then we present evidence from a single saccade experiment suggesting that the word-skipping effect results from highly automatic low-level perceptual processes, which are essentially based on the localization of blank spaces between words. Finally, in the third part, we present a Bayesian model of the computation of the word center from primary sensory measurements of inter-word spaces. We demonstrate that the model simultaneously accounts for launch-site and saccade-type contingent modulations of within-word landing positions in reading. Our results show that the spatial saccade target during reading is the result of complex estimations of the word center based on incomplete sensory information, which also leads to specific systematic deviations of saccades' landing positions from the word center. Our results have important implications for current reading models and experimental reading research.}, language = {en} } @phdthesis{Hebig2014, author = {Hebig, Regina}, title = {Evolution of model-driven engineering settings in practice}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-70761}, school = {Universit{\"a}t Potsdam}, year = {2014}, abstract = {Nowadays, software systems are getting more and more complex. To tackle this challenge most diverse techniques, such as design patterns, service oriented architectures (SOA), software development processes, and model-driven engineering (MDE), are used to improve productivity, while time to market and quality of the products stay stable. Multiple of these techniques are used in parallel to profit from their benefits. While the use of sophisticated software development processes is standard, today, MDE is just adopted in practice. However, research has shown that the application of MDE is not always successful. It is not fully understood when advantages of MDE can be used and to what degree MDE can also be disadvantageous for productivity. Further, when combining different techniques that aim to affect the same factor (e.g. productivity) the question arises whether these techniques really complement each other or, in contrast, compensate their effects. Due to that, there is the concrete question how MDE and other techniques, such as software development process, are interrelated. Both aspects (advantages and disadvantages for productivity as well as the interrelation to other techniques) need to be understood to identify risks relating to the productivity impact of MDE. Before studying MDE's impact on productivity, it is necessary to investigate the range of validity that can be reached for the results. This includes two questions. First, there is the question whether MDE's impact on productivity is similar for all approaches of adopting MDE in practice. Second, there is the question whether MDE's impact on productivity for an approach of using MDE in practice remains stable over time. The answers for both questions are crucial for handling risks of MDE, but also for the design of future studies on MDE success. This thesis addresses these questions with the goal to support adoption of MDE in future. To enable a differentiated discussion about MDE, the term MDE setting'' is introduced. MDE setting refers to the applied technical setting, i.e. the employed manual and automated activities, artifacts, languages, and tools. An MDE setting's possible impact on productivity is studied with a focus on changeability and the interrelation to software development processes. This is done by introducing a taxonomy of changeability concerns that might be affected by an MDE setting. Further, three MDE traits are identified and it is studied for which manifestations of these MDE traits software development processes are impacted. To enable the assessment and evaluation of an MDE setting's impacts, the Software Manufacture Model language is introduced. This is a process modeling language that allows to reason about how relations between (modeling) artifacts (e.g. models or code files) change during application of manual or automated development activities. On that basis, risk analysis techniques are provided. These techniques allow identifying changeability risks and assessing the manifestations of the MDE traits (and with it an MDE setting's impact on software development processes). To address the range of validity, MDE settings from practice and their evolution histories were capture in context of this thesis. First, this data is used to show that MDE settings cover the whole spectrum concerning their impact on changeability or interrelation to software development processes. Neither it is seldom that MDE settings are neutral for processes nor is it seldom that MDE settings have impact on processes. Similarly, the impact on changeability differs relevantly. Second, a taxonomy of evolution of MDE settings is introduced. In that context it is discussed to what extent different types of changes on an MDE setting can influence this MDE setting's impact on changeability and the interrelation to processes. The category of structural evolution, which can change these characteristics of an MDE setting, is identified. The captured MDE settings from practice are used to show that structural evolution exists and is common. In addition, some examples of structural evolution steps are collected that actually led to a change in the characteristics of the respective MDE settings. Two implications are: First, the assessed diversity of MDE settings evaluates the need for the analysis techniques that shall be presented in this thesis. Second, evolution is one explanation for the diversity of MDE settings in practice. To summarize, this thesis studies the nature and evolution of MDE settings in practice. As a result support for the adoption of MDE settings is provided in form of techniques for the identification of risks relating to productivity impacts.}, language = {en} } @phdthesis{Pixner2014, author = {Pixner, Sofia}, title = {Evaluation einer Gesundheitspr{\"a}ventionsmaßnahme f{\"u}r baden-w{\"u}rttembergische Lehrkr{\"a}fte (Lehrergesundheitsprojekt) gem{\"a}ß dem "Lehrer/innen-Coaching nach dem Freiburger Modell" in zwei Darbietungsmodi}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-77998}, school = {Universit{\"a}t Potsdam}, pages = {192}, year = {2014}, abstract = {In der Berufsgruppe der Lehrerinnen und Lehrer besteht eine hohe Pr{\"a}valenz psychischer und psychosomatischer Erkrankungen. Aus- und Weiterbildungsangebote zur Vermittlung lehrerspezifischer sozialer Kompetenzen spielen eine wichtige Rolle bei der F{\"o}rderung der Lehrergesundheit. In der vorliegenden Studie wurde das „Lehrer/innen-Coaching nach dem Freiburger Modell" evaluiert, welches die Kompetenz von Lehrkr{\"a}ften st{\"a}rken soll, innerhalb der Schule und insbesondere im Unterricht, schwierige interpersonelle Situationen aktiv und konstruktiv zu gestalten. Damit sollen stressbedingte gesundheitliche Belastungen abgebaut und dem Entstehen gravierender psychischer St{\"o}rungen vorgebeugt werden. In der vorliegenden Arbeit werden zwei modifizierte Versionen dieses Programms erstmalig im Rahmen einer landesweiten Feldstudie untersucht. Die zentralen Evaluationsfragestellungen beziehen sich auf die Effektivit{\"a}t der Intervention als Gesundheitsf{\"o}rderungsmaßnahme (Akzeptanz, Wirksamkeit, Wirksamkeitsvergleich der beiden Interventionsformen im landesweiten Einsatz). Daneben strebt die Studie einen Vergleich mit den Ergebnissen einer Vorg{\"a}ngerstudie sowie die Generierung weiterer Erkenntnisse zum Zusammenhang zwischen Aspekten der sozialen Kompetenz von Lehrkr{\"a}ften und ihrer psychischen Gesundheit an. An der Maßnahme konnten alle baden-w{\"u}rttembergischen Lehrerinnen und Lehrer mit einer Berufserfahrung von mindestens 10 Jahren teilnehmen. F{\"u}r die Untersuchung der Wirksamkeit der Maßnahme und des Wirksamkeitsvergleichs der beiden unterschiedlichen Formen liegt ein quasiexperimentelles Design mit insgesamt zwei Messzeitpunkten vor. In die Auswertung zur Wirksamkeit der Intervention konnten die Daten von den 314 Teilnehmern einbezogen werden. Die Messinstrumente, die in der vorliegenden Studie zur Anwendung kamen, waren der General Health Questionnaire (GHQ-12), das Maslach Burnout Inventory (MBI-D) und die ins Deutsche {\"u}bersetzte Jefferson Scale of Empathy (JSE) in der an Lehrer adaptierten Form. Die Evaluationsergebnisse zeigen, dass die Teilnahme am „Lehrer/innen-Coaching nach dem Freiburger Modell" mit einer signifikanten Verbesserung der gesundheitsbezogenen abh{\"a}ngigen Variablen einhergeht. Besonders hervorzuheben ist die ausgepr{\"a}gte Verbesserung der mittels GHQ-12 erfassten psychischen Gesundheit. Das Ergebnis des Pr{\"a}-Post-Vergleichs der Gesundheitswerte beider Interventionsgruppen best{\"a}tigte sich auch im Vergleich zu einer Null-Interventionsgruppe: Entsprechend der Hypothese gab es bei den Teilnehmern eine signifikant st{\"a}rkere Verbesserung der psychischen Gesundheit als bei den Nicht-Teilnehmern (Null-Interventionsgruppe). Die beiden Interventionsmodi „Kompaktform" und „Kurzform" erwiesen sich im Hinblick auf die Verbesserung der Lehrergesundheit als gleichermaßen wirksam. Zudem zeigen die Ergebnisse der Teilnehmerbefragung, dass die Maßnahme Anklang bei der Zielgruppe fand. Die Akzeptanz durch die Zielgruppe ist f{\"u}r die Wirksamkeit einer auf Freiwilligkeit basierenden verhaltenspr{\"a}ventiven Maßnahme naturgem{\"a}ß eine essenzielle Voraussetzung. Bei der psychischen Gesundheit der Lehrer bestehen - wie aus weiteren Befunden der Studie ersichtlich - bedeutsame Zusammenh{\"a}nge zu einer intakten zwischenmenschlichen Beziehung mit den Sch{\"u}lern, einer gelungenen, durch gegenseitige Unterst{\"u}tzung gekennzeichneten Interaktion im Kollegium und einem entsprechend unterst{\"u}tzenden F{\"u}hrungsverhalten der Schulleitung. Dies macht deutlich, welches besondere Gewicht einer gelingenden Beziehungsgestaltung an Schulen und im Unterricht beizumessen ist. Bez{\"u}glich der Vorgehensweise in der vorliegenden Untersuchung werden einige methodische Limitationen hinsichtlich des Designs diskutiert. Erg{\"a}nzend wird im Ausblick der Evaluationsstudie darauf hingewiesen, wie sich durch die Verkn{\"u}pfung des vorliegenden Programms mit weiteren, auf den Ebenen Verhalten, Verh{\"a}ltnisse und F{\"u}hrung ansetzenden gesundheitspr{\"a}ventiven Maßnahmen, zuk{\"u}nftig die St{\"a}rkung der psychischen Gesundheit von Lehrkr{\"a}ften weiter ausbauen ließe.}, language = {de} } @phdthesis{Tietz2014, author = {Tietz, Marcel}, title = {Europ{\"a}isches Verwaltungsmanagement : Vergleich von Hauptst{\"a}dten neuer und alter Mitgliedsstaaten der EU am Beispiel der B{\"u}rgerdienste}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-72171}, school = {Universit{\"a}t Potsdam}, year = {2014}, abstract = {Im Rahmen der Dissertation wird die Anwendung und Wirkung von Kernelementen des New Public Management (NPM) am Beispiel der B{\"u}rgerdienste der sechs europ{\"a}ischen Hauptst{\"a}dte Berlin, Br{\"u}ssel, Kopenhagen, Madrid, Prag und Warschau analysiert. Hierbei steht der Vergleich von Hauptst{\"a}dten der MOE-Staaten mit Hauptst{\"a}dten alter EU-Mitgliedsstaaten im Vordergrund. Es wird die folgende Forschungshypothese untersucht: Die Verwaltungen in den Hauptst{\"a}dten der {\"o}stlichen Mitgliedsstaaten der EU haben in Folge der grunds{\"a}tzlichen gesellschaftlichen und politischen Umbr{\"u}che in den 1990er Jahren bedeutend mehr Kernelemente des NPM beim Neuaufbau ihrer {\"o}ffentlichen Verwaltungen eingef{\"u}hrt. Durch den folgerichtigen Aufbau kundenorientierter und moderner Verwaltungen sowie der strikten Anwendung der Kernelemente des New Public Management arbeiten die B{\"u}rgerdienste in den Hauptst{\"a}dten {\"o}stlicher EU-Mitgliedsstaaten effizienter und wirkungsvoller als vergleichbare B{\"u}rgerdienste in den Hauptst{\"a}dten westlicher EU-Mitgliedsstaaten. Zur {\"U}berpr{\"u}fung der Forschungshypothese werden die Vergleichsst{\"a}dte zun{\"a}chst den entsprechenden Rechts- und Verwaltungstraditionen (kontinentaleurop{\"a}isch deutsch, napoleonisch und skandinavisch) zugeordnet und bez{\"u}glich ihrer Ausgangslage zum Aufbau einer modernen Verwaltung (Westeurop{\"a}ische Verwaltung, Wiedervereinigungsverwaltung und Transformations-verwaltung) kategorisiert. Im Anschluss werden die institutionellen Voraussetzungen hinterfragt, was die deskriptive Darstellung der Stadt- und Verwaltungsgeschichte sowie die Untersuchung von organisatorischen Strukturen der B{\"u}rgerdienste, die Anwendung der NPM-Instrumente als auch die Innen- und Außenperspektive des NPM umfasst. Es wird festgestellt, ob und in welcher Form die B{\"u}rgerdienste der Vergleichsst{\"a}dte die Kernelemente des NPM anwenden. Im Anschluss werden die Vergleichsst{\"a}dte bez{\"u}glich der Anwendung der Kernelemente miteinander verglichen, wobei der Fokus auf dem pers{\"o}nlichen Vertriebsweg und der Kundenorientierung liegt. Der folgende Teil der Dissertation befasst sich mit dem Output der B{\"u}rgerdienste, der auf operative Resultate untersucht und verglichen wird. Hierbei stellt sich insbesondere die Frage nach den Leistungsmengen und der Produktivit{\"a}t des Outputs. Es werden aber auch die Ergebnisse von Verwaltungsprozessen untersucht, insbesondere in Bezug auf die Kundenorientierung. Hierf{\"u}r wird ein Effizienzvergleich der B{\"u}rgerdienste in den Vergleichsst{\"a}dten anhand einer relativen Effizienzmessung und der Free Disposal Hull (FDH)-Methode nach Bouckaert durchgef{\"u}hrt. Es ist eine Konzentration auf popul{\"a}re Dienstleistungen aus dem Portfolio der B{\"u}rgerdienste notwendig. Daher werden die vergleichbaren Dienstleistungen Melde-, Personalausweis-, F{\"u}hrerschein- und Reisepass-angelegenheiten unter Einbeziehung des Vollzeit{\"a}quivalents zur Berechnung der Effizienz der B{\"u}rgerdienste herangezogen. Hierf{\"u}r werden Daten aus den Jahren 2009 bis 2011 genutzt, die teilweise aus verwaltungsinternen Datenbanken stammen. Anschließend wird der Versuch unternommen, den Outcome in die Effizienzanalyse der B{\"u}rgerdienste einfließen zu lassen. In diesem Zusammenhang wird die Anwendbarkeit von verschiedenen erweiterten Best-Practice-Verfahren und auch eine Erweiterung der relativen Effizienzmessung und der FDH-Methode gepr{\"u}ft. Als Gesamtfazit der Dissertation kann festgehalten werden, dass die B{\"u}rgerdienste in den untersuchten Hauptst{\"a}dten der MOE-Staaten nicht mehr Kernelemente des NPM anwenden, als die Hauptst{\"a}dte der westlichen Mitgliedsstaaten der EU. Im Gegenteil wendet Prag deutlich weniger NPM-Instrumente als andere Vergleichsst{\"a}dte an, wohingegen Warschau zwar viele NPM-Instrumente anwendet, jedoch immer von einer westeurop{\"a}ischen Vergleichsstadt {\"u}bertroffen wird. Auch die Hypothese, dass die B{\"u}rgerdienste in den Hauptst{\"a}dten der MOE-Staaten effizienter arbeiten als vergleichbare B{\"u}rgerdienste in den Hauptst{\"a}dten westlicher EU-Mitgliedsstaaten wurde durch die Dissertation entkr{\"a}ftet. Das Gegenteil ist der Fall, da Prag und Warschau im Rahmen des Effizienzvergleichs lediglich durchschnittliche oder schlechte Performances aufweisen. Die aufgestellte Hypothese ist durch die Forschungsergebnisse widerlegt, lediglich das gute Abschneiden der Vergleichsstadt Warschau bei der Anwendungsanalyse kann einen Teil der These im gewissen Umfang best{\"a}tigen.}, language = {de} } @phdthesis{Koelsch2014, author = {K{\"o}lsch, Jonas David}, title = {Entwicklung neuer farbstoffmarkierter Polymere zur Visualisierung des LCST-Phasen{\"u}bergangs in w{\"a}ssriger L{\"o}sung}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-72531}, school = {Universit{\"a}t Potsdam}, pages = {xvi, 147}, year = {2014}, abstract = {Ziel der Arbeit war die Entwicklung von farbstoffmarkierten Polymeren, die einen temperaturgetriebenen Kn{\"a}uel-Kollaps-Phasen{\"u}bergang in w{\"a}ssriger L{\"o}sung ("thermo-responsive Polymere") zeigen und diesen in ein optisches Signal {\"u}bersetzen k{\"o}nnen. Solche Polymere unterliegen innerhalb eines kleinen Temperaturintervalls einer massiven {\"A}nderung ihres Verhaltens, z B. ihrer Konformation und ihres Quellungsgrads. Diese {\"A}nderungen sind mit einem Wechsel der L{\"o}seeigenschaften von hydrophil zu hydrophob verbunden. Als Matrixpolymere wurden Poly-N-isopropylacrylamid (polyNIPAm), Poly(oligoethylen-glykolacrylat) (polyOEGA) und Poly(oligoethylenglykolmethacrylat) (polyOEGMA) ein-gesetzt, in die geeignete Farbstoffen durch Copolymerisation eingebaut wurden. Als besonders geeignet, um den Phasen{\"u}bergang in ein optisches Signal zu {\"u}bersetzen, erwiesen sich hierf{\"u}r kompakte, solvatochrome Cumarin- und Naphthalimidderivate. Diese beeintr{\"a}chtigten weder das Polymerisationsverhalten noch den Phasen{\"u}bergang, reagierten aber sowohl bez{\"u}glich Farbe als auch Fluoreszenz stark auf die Polarit{\"a}t des L{\"o}semittels. Weiterhin wurden Systeme entwickelt, die mittels Energietransfer (FRET) ein an den Phasen{\"u}bergang gekoppeltes optisches Signal erzeugen. Hierbei wurde ein Cumarin als Donor- und ein Polythiophen als Akzeptorfarbstoff eingesetzt. Es zeigte sich, dass trotz scheinbarer {\"A}hnlichkeit bestimmte Polymere ausgepr{\"a}gt auf einen Temperaturstimulus mit {\"A}nderung ihrer spektralen Eigenschaften reagieren, andere aber nicht. Hierf{\"u}r wurden die molekularen Ursachen untersucht. Als wahrscheinliche Gr{\"u}nde f{\"u}r das Ausbleiben einer spektralen {\"A}nderung in Oligo(ethylenglykol)-basierten Polymeren sind zum einen die fehlende Dehydratationseffektivit{\"a}t infolge des Fehlens eines selbstgen{\"u}genden Wasserstoffbr{\"u}ckenbindungsmotivs zu nennen und zum anderen die sterische Abschirmung der Farbstoffe durch die Oligo(ethylenglykol)-Seitenketten. Als Prinzipbeweis f{\"u}r die N{\"u}tzlichkeit solcher Systeme f{\"u}r die Bioanalytik wurde ein System entwickelt, dass die L{\"o}slichkeitseigenschaft eines thermoresponsiven Polymers durch Antik{\"o}rper-Antigen-Reaktion {\"a}nderte. Die Bindung selbst kleiner Mengen eines Antik{\"o}rpers ließ sich so direkt optisch auslesen und war bereits mit dem bloßen Auge zu erkennen.}, language = {de} } @phdthesis{Memczak2014, author = {Memczak, Henry}, title = {Entwicklung influenzabindender Peptide f{\"u}r die Biosensorik}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-72470}, school = {Universit{\"a}t Potsdam}, pages = {X, 117}, year = {2014}, abstract = {Das Influenzavirus infiziert S{\"a}ugetiere und V{\"o}gel. Der erste Schritt im Infektionszyklus ist die Anbindung des Viruses {\"u}ber sein Oberfl{\"a}chenprotein H{\"a}magglutinin (HA) an Zuckerstrukturen auf Epithelzellen des respiratorischen Traktes im Wirtsorganismus. Aus den drei komplementarit{\"a}tsbestimmenden Regionen (complementarity determining regions, CDRs) der schweren Kette eines monoklonalen H{\"a}magglutinin-bindenden Antik{\"o}rpers wurden drei lineare Peptide abgeleitet. Die Bindungseigenschaften der drei Peptide wurden experimentell mittels Oberfl{\"a}chenplasmonenresonanzspektroskopie untersucht. Es zeigte sich, dass in {\"U}bereinstimmung mit begleitenden Molekulardynamik-Simulationen zwei der drei Peptide (PeB und PeC) analog zur Bindef{\"a}higkeit des Antik{\"o}rpers in der Lage sind, Influenzaviren vom Stamm X31 (H3N2 A/Aichi/2/1968) zu binden. Die Interaktion des Peptids PeB, welches potentiell mit der konservierten Rezeptorbindestelle im HA interagiert, wurde anschließend n{\"a}her charakterisiert. Die Detektion der Influenzaviren war unter geeigneten Immobilisationsbedingungen im diagnostisch relevanten Bereich m{\"o}glich. Die Spezifit{\"a}t der PeB-Virus-Bindung wurde mittels geeigneter Kontrollen auf der Seite des Analyten und des Liganden nachgewiesen. Des Weiteren war das Peptid PeB in der Lage die Bindung von X31-Viren an Mimetika seines nat{\"u}rlichen Rezeptors zu inhibieren, was die spezifische Interaktion mit der Rezeptorbindungsstelle im H{\"a}magglutinin belegt. Anschließend wurde die Prim{\"a}rsequenz von PeB durch eine vollst{\"a}ndige Substitutionsanalyse im Microarray-Format hinsichtlich der Struktur-Aktivit{\"a}ts-Beziehungen charakterisiert. Dies f{\"u}hrte außerdem zu verbesserten Peptidvarianten mit erh{\"o}hter Affinit{\"a}t und breiterer Spezifit{\"a}t gegen aktuelle Influenzast{\"a}mme verschiedener Serotypen (z.B. H1N1/2009, H5N1/2004, H7N1/2013). Schließlich konnte durch Verwendung einer in der Prim{\"a}rsequenz angepassten h{\"o}her affinen Peptidvariante die Influenzainfektion in vitro inhibiert werden. Damit stellen die vom urspr{\"u}nglichen Peptid PeB abgeleiteten Varianten Rezeptormolek{\"u}le in biosensorischen Testsystemen sowie potentielle Wirkstoffe dar.}, language = {de} } @phdthesis{Wunderlich2014, author = {Wunderlich, Kai}, title = {Entwicklung einer parallelen Mehrkomponentenanalyse von Antigen-Antik{\"o}rper-Reaktionen in der Dopinganalyse}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-76869}, school = {Universit{\"a}t Potsdam}, pages = {VIII, 130}, year = {2014}, abstract = {Weltweit streben Anti-Doping Institute danach jene Sportler zu {\"u}berf{\"u}hren, welche sich unerlaubter Mittel oder Methoden bedienen. Die hierf{\"u}r notwendigen Testsysteme werden kontinuierlich weiterentwickelt und neue Methoden aufgrund neuer Wirkstoffe der Pharmaindustrie etabliert. Gegenstand dieser Arbeit war es, eine parallele Mehrkomponentenanalyse auf Basis von Antigen-Antik{\"o}rper Reaktionen zu entwickeln, bei dem es prim{\"a}r um Verringerung des ben{\"o}tigten Probevolumens und der Versuchszeit im Vergleich zu einem Standard Nachweis-Verfahren ging. Neben der Verwendung eines Multiplex Ansatzes und der Mikroarraytechnologie stellten ebenfalls die Genauigkeit aller Messparameter, die Stabilit{\"a}t des Versuchsaufbaus sowie die Performance {\"u}ber einen Einfach-Blind-Ansatz Herausforderungen dar. Die Anforderung an den Multiplex Ansatz, keine falschen Signale trotz {\"a}hnlicher Strukturen zu messen, konnte durch die gezielte Kombination von spezifischen Antik{\"o}rpern realisiert werden. Hierf{\"u}r wurden neben Kreuzreaktivit{\"a}tstests auf dem Mikroarray parallel erfolgreich Western Blot Versuche durchgef{\"u}hrt. Jene Antik{\"o}rper, welche in diesen Versuchen die gesetzten Anforderungen erf{\"u}llten, wurden f{\"u}r das Ermitteln der kleinsten nachweisbaren Konzentration verwendet. {\"U}ber das Optimieren der Versuchsbedingungen konnte unter Verwendung von Tween in der Waschl{\"o}sung sowohl auf Glas als auch auf Kunststoff die Hintergrundfluoreszenz reduziert und somit eine Steigerung des Signal/Hintergrundverh{\"a}ltnisses erreicht werden. In den Versuchen zu Ermittlung der Bestimmungsgrenze wurde f{\"u}r das humane Choriongonadotropin (hCG-i) eine Konzentration von 10 mU/ml, f{\"u}r dessen beta-Untereinheit (hCG-beta) eine Konzentration von 3,6 mU/ml und f{\"u}r das luteinisierende Hormon (LH) eine Konzentration von 10 mU/ml bestimmt. Den ermittelten Wert im Serum f{\"u}r das hCG-i entspricht dem von der Welt-Anti-Dopin-Agentur (WADA) geforderten Wert in Urin von 5 mU/ml. Neben der Ermittlung von Bestimmungsgrenzen wurden diese hinsichtlich auftretender Matrixeffekte in Serum und Blut gemessen. Wie aus den Versuchen zur Ermittlung von Kreuzreaktivit{\"a}ten auf dem Mikroarray zu entnehmen ist, lassen sich das LH, das hCG-i und hCG-β ebenfalls in Serum und Blut messen. Die Durchf{\"u}hrung einer Performance-Analyse {\"u}ber einem Einfach-Blind-Ansatz mit 130 Serum Proben, wurde ebenfalls {\"u}ber dieses System realisiert. Die ausgewerteten Proben wurden anschließend {\"u}ber eine Grenzwertoptimierungskurve analysiert und die diagnostische Spezifit{\"a}t ermittelt. F{\"u}r die Messungen des LH konnte eine Sensitivit{\"a}t und Spezifit{\"a}t von 100\% erreicht werden. Demnach wurden alle negativen und positiven Proben eindeutig interpretiert. F{\"u}r das hCG-β konnte ebenfalls eine Spezifit{\"a}t von 100\% und eine Sensitivit{\"a}t von 97\% erreicht werden. Die hCG-i Proben wurden mit einer Spezifit{\"a}t von 100\% und eine Sensitivit{\"a}t von 97,5\% gemessen. Um den Nachweis zu erbringen, dass dieser Versuchsaufbau {\"u}ber mehrere Wochen stabile Signale bei Vermessen von identischen Proben liefert, wurde ein {\"u}ber zw{\"o}lf Wochen angesetzter Stabilit{\"a}tstest f{\"u}r alle Parameter erfolgreich in Serum und Blut durchgef{\"u}hrt. Zusammenfassend konnte in dieser Arbeit erfolgreich eine Mehrkomponentenanalyse als Multiplex Ansatz auf einem Mikroarray entwickelt werden. Die Durchf{\"u}hrung der Performance-Analyse und des Stabilit{\"a}tstests zeigen bereits die m{\"o}gliche Einsatzf{\"a}higkeit dieses Tests im Kontext einer Dopinganalyse.}, language = {de} } @phdthesis{Takouna2014, author = {Takouna, Ibrahim}, title = {Energy-efficient and performance-aware virtual machine management for cloud data centers}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-72399}, school = {Universit{\"a}t Potsdam}, year = {2014}, abstract = {Virtualisierte Cloud Datenzentren stellen nach Bedarf Ressourcen zur Verf{\"u}gu-ng, erm{\"o}glichen agile Ressourcenbereitstellung und beherbergen heterogene Applikationen mit verschiedenen Anforderungen an Ressourcen. Solche Datenzentren verbrauchen enorme Mengen an Energie, was die Erh{\"o}hung der Betriebskosten, der W{\"a}rme innerhalb der Zentren und des Kohlendioxidausstoßes verursacht. Der Anstieg des Energieverbrauches kann durch ein ineffektives Ressourcenmanagement, das die ineffiziente Ressourcenausnutzung verursacht, entstehen. Die vorliegende Dissertation stellt detaillierte Modelle und neue Verfahren f{\"u}r virtualisiertes Ressourcenmanagement in Cloud Datenzentren vor. Die vorgestellten Verfahren ziehen das Service-Level-Agreement (SLA) und die Heterogenit{\"a}t der Auslastung bez{\"u}glich des Bedarfs an Speicherzugriffen und Kommunikationsmustern von Web- und HPC- (High Performance Computing) Applikationen in Betracht. Um die pr{\"a}sentierten Techniken zu evaluieren, verwenden wir Simulationen und echte Protokollierung der Auslastungen von Web- und HPC- Applikationen. Außerdem vergleichen wir unser Techniken und Verfahren mit anderen aktuellen Verfahren durch die Anwendung von verschiedenen Performance Metriken. Die Hauptbeitr{\"a}ge dieser Dissertation sind Folgendes: Ein Proaktives auf robuster Optimierung basierendes Ressourcenbereitstellungsverfahren. Dieses Verfahren erh{\"o}ht die F{\"a}higkeit der Hostes zur Verf{\"u}g-ungsstellung von mehr VMs. Gleichzeitig aber wird der unn{\"o}tige Energieverbrauch minimiert. Zus{\"a}tzlich mindert diese Technik unerw{\"u}nschte {\"A}nde-rungen im Energiezustand des Servers. Die vorgestellte Technik nutzt einen auf Intervall basierenden Vorhersagealgorithmus zur Implementierung einer robusten Optimierung. Dabei werden unsichere Anforderungen in Betracht gezogen. Ein adaptives und auf Intervall basierendes Verfahren zur Vorhersage des Arbeitsaufkommens mit hohen, in k{\"u}rzer Zeit auftretenden Schwankungen. Die Intervall basierende Vorhersage ist implementiert in der Standard Abweichung Variante und in der Median absoluter Abweichung Variante. Die Intervall-{\"A}nderungen basieren auf einem adaptiven Vertrauensfenster um die Schwankungen des Arbeitsaufkommens zu bew{\"a}ltigen. Eine robuste VM Zusammenlegung f{\"u}r ein effizientes Energie und Performance Management. Dies erm{\"o}glicht die gegenseitige Abh{\"a}ngigkeit zwischen der Energie und der Performance zu minimieren. Unser Verfahren reduziert die Anzahl der VM-Migrationen im Vergleich mit den neu vor kurzem vorgestellten Verfahren. Dies tr{\"a}gt auch zur Reduzierung des durch das Netzwerk verursachten Energieverbrauches. Außerdem reduziert dieses Verfahren SLA-Verletzungen und die Anzahl von {\"A}nderungen an Energiezus-t{\"a}nden. Ein generisches Modell f{\"u}r das Netzwerk eines Datenzentrums um die verz{\"o}-gerte Kommunikation und ihre Auswirkung auf die VM Performance und auf die Netzwerkenergie zu simulieren. Außerdem wird ein generisches Modell f{\"u}r ein Memory-Bus des Servers vorgestellt. Dieses Modell beinhaltet auch Modelle f{\"u}r die Latenzzeit und den Energieverbrauch f{\"u}r verschiedene Memory Frequenzen. Dies erlaubt eine Simulation der Memory Verz{\"o}gerung und ihre Auswirkung auf die VM-Performance und auf den Memory Energieverbrauch. Kommunikation bewusste und Energie effiziente Zusammenlegung f{\"u}r parallele Applikationen um die dynamische Entdeckung von Kommunikationsmustern und das Umplanen von VMs zu erm{\"o}glichen. Das Umplanen von VMs benutzt eine auf den entdeckten Kommunikationsmustern basierende Migration. Eine neue Technik zur Entdeckung von dynamischen Mustern ist implementiert. Sie basiert auf der Signal Verarbeitung des Netzwerks von VMs, anstatt die Informationen des virtuellen Umstellung der Hosts oder der Initiierung der VMs zu nutzen. Das Ergebnis zeigt, dass unsere Methode die durchschnittliche Anwendung des Netzwerks reduziert und aufgrund der Reduzierung der aktiven Umstellungen Energie gespart. Außerdem bietet sie eine bessere VM Performance im Vergleich zu der CPU-basierten Platzierung. Memory bewusste VM Zusammenlegung f{\"u}r unabh{\"a}ngige VMs. Sie nutzt die Vielfalt des VMs Memory Zuganges um die Anwendung vom Memory-Bus der Hosts zu balancieren. Die vorgestellte Technik, Memory-Bus Load Balancing (MLB), verteilt die VMs reaktiv neu im Bezug auf ihre Anwendung vom Memory-Bus. Sie nutzt die VM Migration um die Performance des gesamtem Systems zu verbessern. Außerdem sind die dynamische Spannung, die Frequenz Skalierung des Memory und die MLB Methode kombiniert um ein besseres Energiesparen zu leisten.}, language = {en} } @phdthesis{Schmidl2014, author = {Schmidl, Ricarda}, title = {Empirical essays on job search behavior, active labor market policies, and propensity score balancing methods}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-71145}, school = {Universit{\"a}t Potsdam}, year = {2014}, abstract = {In Chapter 1 of the dissertation, the role of social networks is analyzed as an important determinant in the search behavior of the unemployed. Based on the hypothesis that the unemployed generate information on vacancies through their social network, search theory predicts that individuals with large social networks should experience an increased productivity of informal search, and reduce their search in formal channels. Due to the higher productivity of search, unemployed with a larger network are also expected to have a higher reservation wage than unemployed with a small network. The model-theoretic predictions are tested and confirmed empirically. It is found that the search behavior of unemployed is significantly affected by the presence of social contacts, with larger networks implying a stronger substitution away from formal search channels towards informal channels. The substitution is particularly pronounced for passive formal search methods, i.e., search methods that generate rather non-specific types of job offer information at low relative cost. We also find small but significant positive effects of an increase of the network size on the reservation wage. These results have important implications on the analysis of the job search monitoring or counseling measures that are usually targeted at formal search only. Chapter 2 of the dissertation addresses the labor market effects of vacancy information during the early stages of unemployment. The outcomes considered are the speed of exit from unemployment, the effects on the quality of employment and the short-and medium-term effects on active labor market program (ALMP) participation. It is found that vacancy information significantly increases the speed of entry into employment; at the same time the probability to participate in ALMP is significantly reduced. Whereas the long-term reduction in the ALMP arises in consequence of the earlier exit from unemployment, we also observe a short-run decrease for some labor market groups which suggest that caseworker use high and low intensity activation measures interchangeably which is clearly questionable from an efficiency point of view. For unemployed who find a job through vacancy information we observe a small negative effect on the weekly number of hours worked. In Chapter 3, the long-term effects of participation in ALMP are assessed for unemployed youth under 25 years of age. Complementary to the analysis in Chapter 2, the effects of participation in time- and cost-intensive measures of active labor market policies are examined. In particular we study the effects of job creation schemes, wage subsidies, short-and long-term training measures and measures to promote the participation in vocational training. The outcome variables of interest are the probability to be in regular employment, and participation in further education during the 60 months following program entry. The analysis shows that all programs, except job creation schemes have positive and long-term effects on the employment probability of youth. In the short-run only short-term training measures generate positive effects, as long-term training programs and wage subsidies exhibit significant locking-in'' effects. Measures to promote vocational training are found to increase the probability of attending education and training significantly, whereas all other programs have either no or a negative effect on training participation. Effect heterogeneity with respect to the pre-treatment level education shows that young people with higher pre-treatment educational levels benefit more from participation most programs. However, for longer-term wage subsidies we also find strong positive effects for young people with low initial education levels. The relative benefit of training measures is higher in West than in East Germany. In the evaluation studies of Chapters 2 and 3 semi-parametric balancing methods of Propensity Score Matching (PSM) and Inverse Probability Weighting (IPW) are used to eliminate the effects of counfounding factors that influence both the treatment participation as well as the outcome variable of interest, and to establish a causal relation between program participation and outcome differences. While PSM and IPW are intuitive and methodologically attractive as they do not require parametric assumptions, the practical implementation may become quite challenging due to their sensitivity to various data features. Given the importance of these methods in the evaluation literature, and the vast number of recent methodological contributions in this field, Chapter 4 aims to reduce the knowledge gap between the methodological and applied literature by summarizing new findings of the empirical and statistical literature and practical guidelines for future applied research. In contrast to previous publications this study does not only focus on the estimation of causal effects, but stresses that the balancing challenge can and should be discussed independent of question of causal identification of treatment effects on most empirical applications. Following a brief outline of the practical implementation steps required for PSM and IPW, these steps are presented in detail chronologically, outlining practical advice for each step. Subsequently, the topics of effect estimation, inference, sensitivity analysis and the combination with parametric estimation methods are discussed. Finally, new extensions of the methodology and avenues for future research are presented.}, language = {en} } @phdthesis{Dyachenko2014, author = {Dyachenko, Evgeniya}, title = {Elliptic problems with small parameter}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-72056}, school = {Universit{\"a}t Potsdam}, year = {2014}, abstract = {In this thesis we consider diverse aspects of existence and correctness of asymptotic solutions to elliptic differential and pseudodifferential equations. We begin our studies with the case of a general elliptic boundary value problem in partial derivatives. A small parameter enters the coefficients of the main equation as well as into the boundary conditions. Such equations have already been investigated satisfactory, but there still exist certain theoretical deficiencies. Our aim is to present the general theory of elliptic problems with a small parameter. For this purpose we examine in detail the case of a bounded domain with a smooth boundary. First of all, we construct formal solutions as power series in the small parameter. Then we examine their asymptotic properties. It suffices to carry out sharp two-sided \emph{a priori} estimates for the operators of boundary value problems which are uniform in the small parameter. Such estimates failed to hold in functional spaces used in classical elliptic theory. To circumvent this limitation we exploit norms depending on the small parameter for the functions defined on a bounded domain. Similar norms are widely used in literature, but their properties have not been investigated extensively. Our theoretical investigation shows that the usual elliptic technique can be correctly carried out in these norms. The obtained results also allow one to extend the norms to compact manifolds with boundaries. We complete our investigation by formulating algebraic conditions on the operators and showing their equivalence to the existence of a priori estimates. In the second step, we extend the concept of ellipticity with a small parameter to more general classes of operators. Firstly, we want to compare the difference in asymptotic patterns between the obtained series and expansions for similar differential problems. Therefore we investigate the heat equation in a bounded domain with a small parameter near the time derivative. In this case the characteristics touch the boundary at a finite number of points. It is known that the solutions are not regular in a neighbourhood of such points in advance. We suppose moreover that the boundary at such points can be non-smooth but have cuspidal singularities. We find a formal asymptotic expansion and show that when a set of parameters comes through a threshold value, the expansions fail to be asymptotic. The last part of the work is devoted to general concept of ellipticity with a small parameter. Several theoretical extensions to pseudodifferential operators have already been suggested in previous studies. As a new contribution we involve the analysis on manifolds with edge singularities which allows us to consider wider classes of perturbed elliptic operators. We examine that introduced classes possess a priori estimates of elliptic type. As a further application we demonstrate how developed tools can be used to reduce singularly perturbed problems to regular ones.}, language = {en} } @phdthesis{Schubert2014, author = {Schubert, Marcel}, title = {Elementary processes in layers of electron transporting Donor-acceptor copolymers : investigation of charge transport and application to organic solar cells}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-70791}, school = {Universit{\"a}t Potsdam}, year = {2014}, abstract = {Donor-acceptor (D-A) copolymers have revolutionized the field of organic electronics over the last decade. Comprised of a electron rich and an electron deficient molecular unit, these copolymers facilitate the systematic modification of the material's optoelectronic properties. The ability to tune the optical band gap and to optimize the molecular frontier orbitals as well as the manifold of structural sites that enable chemical modifications has created a tremendous variety of copolymer structures. Today, these materials reach or even exceed the performance of amorphous inorganic semiconductors. Most impressively, the charge carrier mobility of D-A copolymers has been pushed to the technologically important value of 10 cm^{2}V^{-1}s^{-1}. Furthermore, owed to their enormous variability they are the material of choice for the donor component in organic solar cells, which have recently surpassed the efficiency threshold of 10\%. Because of the great number of available D-A copolymers and due to their fast chemical evolution, there is a significant lack of understanding of the fundamental physical properties of these materials. Furthermore, the complex chemical and electronic structure of D-A copolymers in combination with their semi-crystalline morphology impede a straightforward identification of the microscopic origin of their superior performance. In this thesis, two aspects of prototype D-A copolymers were analysed. These are the investigation of electron transport in several copolymers and the application of low band gap copolymers as acceptor component in organic solar cells. In the first part, the investigation of a series of chemically modified fluorene-based copolymers is presented. The charge carrier mobility varies strongly between the different derivatives, although only moderate structural changes on the copolymers structure were made. Furthermore, rather unusual photocurrent transients were observed for one of the copolymers. Numerical simulations of the experimental results reveal that this behavior arises from a severe trapping of electrons in an exponential distribution of trap states. Based on the comparison of simulation and experiment, the general impact of charge carrier trapping on the shape of photo-CELIV and time-of-flight transients is discussed. In addition, the high performance naphthalenediimide (NDI)-based copolymer P(NDI2OD-T2) was characterized. It is shown that the copolymer posses one of the highest electron mobilities reported so far, which makes it attractive to be used as the electron accepting component in organic photovoltaic cells.\par Solar cells were prepared from two NDI-containing copolymers, blended with the hole transporting polymer P3HT. I demonstrate that the use of appropriate, high boiling point solvents can significantly increase the power conversion efficiency of these devices. Spectroscopic studies reveal that the pre-aggregation of the copolymers is suppressed in these solvents, which has a strong impact on the blend morphology. Finally, a systematic study of P3HT:P(NDI2OD-T2) blends is presented, which quantifies the processes that limit the efficiency of devices. The major loss channel for excited states was determined by transient and steady state spectroscopic investigations: the majority of initially generated electron-hole pairs is annihilated by an ultrafast geminate recombination process. Furthermore, exciton self-trapping in P(NDI2OD-T2) domains account for an additional reduction of the efficiency. The correlation of the photocurrent to microscopic morphology parameters was used to disclose the factors that limit the charge generation efficiency. Our results suggest that the orientation of the donor and acceptor crystallites relative to each other represents the main factor that determines the free charge carrier yield in this material system. This provides an explanation for the overall low efficiencies that are generally observed in all-polymer solar cells.}, language = {en} } @phdthesis{Schwarz2014, author = {Schwarz, Franziska}, title = {Einfluss von Kalorienrestriktion auf den Metabolismus}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-83147}, school = {Universit{\"a}t Potsdam}, pages = {130}, year = {2014}, abstract = {Die H{\"a}ufung von Diabetes, Herz-Kreislauf-Erkrankungen und einigen Krebsarten, deren Entstehung auf {\"U}bergewicht und Bewegungsmangel zur{\"u}ckzuf{\"u}hren sind, ist ein aktuelles Problem unserer Gesellschaft. Insbesondere mit fortschreitendem Alter nehmen die damit einhergehenden Komplikationen zu. Umso bedeutender ist das Verst{\"a}ndnis der pathologischen Mechanismen in Folge von Adipositas, Bewegungsmangel, des Alterungsprozesses und den Einfluss-nehmenden Faktoren. Ziel dieser Arbeit war die Entstehung metabolischer Erkrankungen beim Menschen zu untersuchen. Die Auswertung von Verlaufsdaten anthropometrischer und metabolischer Parameter der 584 Teilnehmern der prospektiven ‚Metabolisches Syndrom Berlin Potsdam Follow-up Studie' wies f{\"u}r die gesamte Kohorte einen Anstieg an {\"U}bergewicht, ebenso eine Verschlechterung des Blutdrucks und des Glukosestoffwechsels auf. Wir untersuchten, ob das Hormon FGF21 Einfluss an dem Auftreten eines Diabetes mellitus Typ 2 (T2DM) oder des Metabolischen Syndroms (MetS) hat. Wir konnten zeigen, dass Personen, die sp{\"a}ter ein MetS entwickeln, bereits zu Studienbeginn einen erh{\"o}hten FGF21-Spiegel, einen h{\"o}heren BMI, WHR, Hb1Ac und diastolischen Blutdruck aufwiesen. Neben FGF21 wurde auch Vaspin in diesem Zusammenhang untersucht. Es zeigte sich, dass Personen, die sp{\"a}ter einen T2DM entwickeln, neben einer Erh{\"o}hung klinischer Parameter tendenziell erh{\"o}hte Spiegel des Hormons aufwiesen. Mit FGF21 und Vaspin wurden hier zwei neue Faktoren f{\"u}r die Vorhersage des Metabolischen Syndroms bzw. Diabetes mellitus Typ 2 identifiziert. Der langfristige Effekt einer Gewichtsreduktion wurde in einer Subkohorte von 60 Personen untersucht. Der {\"u}berwiegende Teil der Probanden mit Gewichtsabnahme-Intervention nahm in der ersten sechsmonatigen Phase erfolgreich ab. Jedoch zeigte sich ein deutlicher Trend zur Wiederzunahme des verlorenen Gewichts {\"u}ber den Beobachtungszeitraum von f{\"u}nf Jahren. Von besonderem Interesse war die Absch{\"a}tzung des kardiovaskul{\"a}ren Risikos {\"u}ber den Framingham Score. Es wurde deutlich, dass f{\"u}r Personen mit konstanter Gewichtsabnahme ein deutlich geringeres kardiovaskul{\"a}res Risiko bestand. Hingegen zeigten Personen mit konstanter Wiederzunahme oder starken Gewichtsschwankungen ein hohes kardiovaskul{\"a}res Risiko. Unsere Daten legten nahe, dass eine erfolgreiche dauerhafte Gewichtsreduktion statistisch mit einem erniedrigten kardiovaskul{\"a}ren Risiko assoziiert ist, w{\"a}hrend Probanden mit starken Gewichtsschwankungen oder einer Gewichtszunahme ein gesteigertes Risiko haben k{\"o}nnten. Um die Interaktion der molekularen Vorg{\"a}nge hinsichtlich der Gewichtsreduktion und Lebensspanne untersuchen zu k{\"o}nnen, nutzen wir den Modellorganismus C.elegans. Eine kontinuierliche Restriktion wirkte sich verl{\"a}ngernd, eine {\"U}berversorgung verk{\"u}rzend auf die Lebensspanne des Rundwurms aus. Der Einfluss eines zeitlich eingeschr{\"a}nkten, intermittierenden Nahrungsregimes, analog zum Weight-Cycling im Menschen, auf die Lebensspanne war von großem Interesse. Dieser regelm{\"a}ßige Wechsel zwischen ad libitum F{\"u}tterung und Restriktion hatte in Abh{\"a}ngigkeit von der H{\"a}ufigkeit der Restriktion einen unterschiedlich starken lebensverl{\"a}ngernden Effekt. Ph{\"a}nomene, wie Gewichtswiederzunahmen, sind in C.elegans nicht zu beobachten und beruhen vermutlich auf einem Mechanismus ist, der evolution{\"a}r j{\"u}nger und in C.elegans noch nicht angelegt ist. Um neue Stoffwechselwege zu identifizieren, die die Lebensspanne beeinflussen, wurden Metabolitenprofile genetischer als auch di{\"a}tetischer Langlebigkeitsmodelle analysiert. Diese Analysen wiesen den Tryptophan-Stoffwechsel als einen neuen, bisher noch nicht im Fokus stehenden Stoffwechselweg aus, der mit Langlebigkeit in Verbindung steht.}, language = {de} } @phdthesis{GuzmanPerez2014, author = {Guzman-Perez, Valentina}, title = {Effect of benzylglucosinolate on signaling pathways associated with type 2 diabetes prevention}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-72351}, school = {Universit{\"a}t Potsdam}, year = {2014}, abstract = {Type 2 diabetes (T2D) is a health problem throughout the world. In 2010, there were nearly 230 million individuals with diabetes worldwide and it is estimated that in the economically advanced countries the cases will increase about 50\% in the next twenty years. Insulin resistance is one of major features in T2D, which is also a risk factor for metabolic and cardiovascular complications. Epidemiological and animal studies have shown that the consumption of vegetables and fruits can delay or prevent the development of the disease, although the underlying mechanisms of these effects are still unclear. Brassica species such as broccoli (Brassica oleracea var. italica) and nasturtium (Tropaeolum majus) possess high content of bioactive phytochemicals, e.g. nitrogen sulfur compounds (glucosinolates and isothiocyanates) and polyphenols largely associated with the prevention of cancer. Isothiocyanates (ITCs) display their anti-carcinogenic potential by inducing detoxicating phase II enzymes and increasing glutathione (GSH) levels in tissues. In T2D diabetes an increase in gluconeogenesis and triglyceride synthesis, and a reduction in fatty acid oxidation accompanied by the presence of reactive oxygen species (ROS) are observed; altogether is the result of an inappropriate response to insulin. Forkhead box O (FOXO) transcription factors play a crucial role in the regulation of insulin effects on gene expression and metabolism, and alterations in FOXO function could contribute to metabolic disorders in diabetes. In this study using stably transfected human osteosarcoma cells (U-2 OS) with constitutive expression of FOXO1 protein labeled with GFP (green fluorescent protein) and human hepatoma cells HepG2 cell cultures, the ability of benzylisothiocyanate (BITC) deriving from benzylglucosinolate, extracted from nasturtium to modulate, i) the insulin-signaling pathway, ii) the intracellular localization of FOXO1 and iii) the expression of proteins involved in glucose metabolism, ROS detoxification, cell cycle arrest and DNA repair was evaluated. BITC promoted oxidative stress and in response to that induced FOXO1 translocation from cytoplasm into the nucleus antagonizing the insulin effect. BITC stimulus was able to down-regulate gluconeogenic enzymes, which can be considered as an anti-diabetic effect; to promote antioxidant resistance expressed by the up-regulation in manganese superoxide dismutase (MnSOD) and detoxification enzymes; to modulate autophagy by induction of BECLIN1 and down-regulation of the mammalian target of rapamycin complex 1 (mTORC1) pathway; and to promote cell cycle arrest and DNA damage repair by up-regulation of the cyclin-dependent kinase inhibitor (p21CIP) and Growth Arrest / DNA Damage Repair (GADD45). Except for the nuclear factor (erythroid derived)-like2 (NRF2) and its influence in the detoxification enzymes gene expression, all the observed effects were independent from FOXO1, protein kinase B (AKT/PKB) and NAD-dependent deacetylase sirtuin-1 (SIRT1). The current study provides evidence that besides of the anticarcinogenic potential, isothiocyanates might have a role in T2D prevention. BITC stimulus mimics the fasting state, in which insulin signaling is not triggered and FOXO proteins remain in the nucleus modulating gene expression of their target genes, with the advantage of a down-regulation of gluconeogenesis instead of its increase. These effects suggest that BITC might be considered as a promising substance in the prevention or treatment of T2D, therefore the factors behind of its modulatory effects need further investigation.}, language = {en} } @phdthesis{SahyaziciKnaak2014, author = {Sahyazici-Knaak, Fidan}, title = {Dysfunktionale Einstellungen und Depression im Kindes- und Jugendalter}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-76417}, school = {Universit{\"a}t Potsdam}, pages = {XVI, 264}, year = {2014}, abstract = {Die vorliegende Studie besch{\"a}ftigte sich mit der Bedeutung der dysfunktionalen Einstellungen f{\"u}r die Entwicklung von depressiven Symptomen bei Kindern und Jugendlichen. Nach der kognitiven Theorie der Depression von Beck (1967, 1996) f{\"u}hren dysfunktionale Einstellungen in Interaktion mit Stress zu depressiven Symptomen. Es existieren allerdings nur wenige Studien, die die longitudinale Beziehung zwischen den dysfunktionalen Einstellungen und der Depressivit{\"a}t bei Kindern und Jugendlichen untersucht haben (Lakdawalla et al., 2007). Folglich kann noch nicht eindeutig gekl{\"a}rt werden, ob die dysfunktionalen Einstellungen Ursache, Begleiterscheinung oder Konsequenz der Depression sind. Als Datengrundlage diente eine Stichprobe von Kindern und Jugendlichen im Alter von 9 bis 20 Jahren, die im Rahmen der PIER-Studie zu dysfunktionalen Einstellungen, kritischen Lebensereignissen und depressiven Symptomen befragt wurden (Nt1t2 = 1.053; t1: 2011/2012, t2: 2013/2014). Querschnittliche Analysen zeigten hohe Assoziationen zwischen den dysfunktionalen Einstellungen, kritischen Lebensereignissen und depressiven Symptomen. Eine latente Moderationsanalyse wies nur bei den Jugendlichen auf signifikante Interaktion zwischen den dysfunktionalen Einstellungen und den kritischen Lebensereignissen in der Vorhersage depressiver Symptomatik hin. Im L{\"a}ngsschnitt zeigten latente Cross-Lagged-Panel-Analysen erwartungsgem{\"a}ß, dass die dysfunktionalen Einstellungen und die Depressivit{\"a}t mit dem Alter immer stabilere Konstrukte darstellen, die sehr eng miteinander zusammenh{\"a}ngen. Eine diesem Modell hinzugef{\"u}gte latente Moderationsanalyse konnte das kognitive Modell der Depression nach Beck weder bei Kindern noch bei Jugendlichen best{\"a}tigen. Die sp{\"a}tere depressive Symptomatik konnte lediglich durch Haupteffekte der fr{\"u}heren Auspr{\"a}gung der Depressivit{\"a}t und der kritischen Lebensereignisse vorhergesagt werden. Diese Ergebnisse legen den Schluss nahe, dass es sich bei den dysfunktionalen Einstellungen eher um Begleiterscheinungen als um Risikofaktoren oder Konsequenzen der depressiven Symptomatik handelt.}, language = {de} } @phdthesis{Ehlers2014, author = {Ehlers, Nadja}, title = {Die Entwicklung der {\"o}ffentlich-rechtlichen Gef{\"a}hrdungshaftung in Deutschland}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-72381}, school = {Universit{\"a}t Potsdam}, pages = {XXIX, 131}, year = {2014}, abstract = {Inhalt der Arbeit ist es, einen {\"U}berblick {\"u}ber die historische Entwicklung der {\"o}ffentlich-rechtlichen Gef{\"a}hrdungshaftung in Deutschland vom 18. Jahrhundert bis heute zu geben sowie ihre praktische Bedeutung zu analysieren. Dabei wird zwischen den unterschiedlichen Gesetzgebungen, Rechtsprechungen und den theoretischen L{\"o}sungsans{\"a}tzen der {\"o}ffentlich-rechtlichen Gef{\"a}hrdungshaftung unterschieden und insbesondere letzteres problematisiert. Ferner wird auf das Verh{\"a}ltnis zu den grundrechtlichen Schutzpflichten, den sozialen Risikotatbest{\"a}nden, dem sozialrechtlichen Herstellungsanspruch und den Tumultsch{\"a}den eingegangen.}, language = {de} } @phdthesis{Schultheiss2014, author = {Schultheiss, Corinna}, title = {Die Bewertung der pharyngalen Schluckphase mittels Bioimpedanz}, publisher = {Universit{\"a}tsverlag Potsdam}, address = {Potsdam}, isbn = {978-3-86956-284-1}, issn = {1869-3822}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-69589}, school = {Universit{\"a}t Potsdam}, pages = {XV, 108}, year = {2014}, abstract = {Schlucken ist ein lebensnotwendiger Prozess, dessen Diagnose und Therapie eine enorme Herausforderung bedeutet. Die Erkennung und Beurteilung von Schlucken und Schluckst{\"o}rungen erfordert den Einsatz von technisch aufwendigen Verfahren, wie Videofluoroskopie (VFSS) und fiberoptisch-endoskopische Schluckuntersuchung (FEES), die eine hohe Belastung f{\"u}r die Patienten darstellen. Beide Verfahren werden als Goldstandard in der Diagnostik von Schluckst{\"o}rungen eingesetzt. Die Durchf{\"u}hrung obliegt in der Regel {\"a}rztlichem Personal. Dar{\"u}ber hinaus erfordert die Auswertung des Bildmaterials der Diagnostik eine ausreichend hohe Erfahrung. In der Therapie findet neben den klassischen Therapiemethoden, wie z.B. di{\"a}tetische Modifikationen und Schluckman{\"o}ver, auch zunehmend die funktionelle Elektrostimulation Anwendung. Ziel der vorliegenden Dissertationsschrift ist die Evaluation eines im Verbundprojekt BigDysPro entwickelten Bioimpedanz (BI)- und Elektromyographie (EMG)-Messsystems. Es wurde gepr{\"u}ft, ob sich das BI- und EMG-Messsystem eignet, sowohl in der Diagnostik als auch in der Therapie als eigenst{\"a}ndiges Messsystem und im Rahmen einer Schluckneuroprothese eingesetzt zu werden. In verschiedenen Studien wurden gesunde Probanden f{\"u}r die {\"U}berpr{\"u}fung der Reproduzierbarkeit (Intra-und Interrater-Reliabilit{\"a}t), der Unterscheidbarkeit von Schluck- und Kopfbewegungen und der Beeinflussung der Biosignale (BI, EMG) durch verschiedene Faktoren (Geschlecht der Probanden, Leitf{\"a}higkeit, Konsistenz und Menge der Nahrung) untersucht. Durch zus{\"a}tzliche Untersuchungen mit Patienten wurde einerseits der Einfluss der Elektrodenart gepr{\"u}ft. Andererseits wurden parallel zur BI- und EMG-Messung auch endoskopische (FEES) und radiologische Schluckuntersuchungen (VFSS) durchgef{\"u}hrt, um die Korrelation der Biosignale mit der Bewegung anatomischer Strukturen (VFSS) und mit der Schluckqualit{\"a}t (FEES) zu pr{\"u}fen. Es wurden 31 gesunde Probanden mit 1819 Schlucken und 60 Patienten mit 715 Schlucken untersucht. Die Messkurven zeigten einen typischen, reproduzierbaren Signalverlauf, der mit anatomischen und funktionellen {\"A}nderungen w{\"a}hrend der pharyngalen Schluckphase in der VFSS korrelierte (r > 0,7). Aus dem Bioimpedanzsignal konnten Merkmale extrahiert werden, die mit physiologischen Merkmalen eines Schluckes, wie verz{\"o}gerter laryngealer Verschluss und Kehlkopfhebung, korrelierten und eine Einsch{\"a}tzung der Schluckqualit{\"a}t in {\"U}bereinstimmung mit der FEES erm{\"o}glichten. In den Signalverl{\"a}ufen der Biosignale konnten signifikante Unterschiede zwischen Schluck- und Kopfbewegungen und den Nahrungsmengen und -konsistenzen nachgewiesen werden. Im Gegensatz zur Nahrungsmenge und -konsistenz zeigte die Leitf{\"a}higkeit der zu schluckenden Nahrung, das Geschlecht der Probanden und die Art der Elektroden keinen signifikanten Einfluss auf die Messsignale. Mit den Ergebnissen der Evaluation konnte gezeigt werden, dass mit dem BI- und EMG-Messsystem ein neuartiges und nicht-invasives Verfahren zur Verf{\"u}gung steht, das eine reproduzierbare Darstellung der pharyngalen Schluckphase und ihrer Ver{\"a}nderungen erm{\"o}glicht. Daraus ergeben sich vielseitige Einsatzm{\"o}glichkeiten in der Diagnostik, z.B. Langzeitmessung zur Schluckfrequenz und Einsch{\"a}tzung der Schluckqualit{\"a}t, und in der Therapie, z.B. der Einsatz in einer Schluckneuroprothese oder als Biofeedback zur Darstellung des Schluckes, von Schluckst{\"o}rungen.}, language = {de} } @phdthesis{Heise2014, author = {Heise, Arvid}, title = {Data cleansing and integration operators for a parallel data analytics platform}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-77100}, school = {Universit{\"a}t Potsdam}, pages = {ii, 179}, year = {2014}, abstract = {The data quality of real-world datasets need to be constantly monitored and maintained to allow organizations and individuals to reliably use their data. Especially, data integration projects suffer from poor initial data quality and as a consequence consume more effort and money. Commercial products and research prototypes for data cleansing and integration help users to improve the quality of individual and combined datasets. They can be divided into either standalone systems or database management system (DBMS) extensions. On the one hand, standalone systems do not interact well with DBMS and require time-consuming data imports and exports. On the other hand, DBMS extensions are often limited by the underlying system and do not cover the full set of data cleansing and integration tasks. We overcome both limitations by implementing a concise set of five data cleansing and integration operators on the parallel data analytics platform Stratosphere. We define the semantics of the operators, present their parallel implementation, and devise optimization techniques for individual operators and combinations thereof. Users specify declarative queries in our query language METEOR with our new operators to improve the data quality of individual datasets or integrate them to larger datasets. By integrating the data cleansing operators into the higher level language layer of Stratosphere, users can easily combine cleansing operators with operators from other domains, such as information extraction, to complex data flows. Through a generic description of the operators, the Stratosphere optimizer reorders operators even from different domains to find better query plans. As a case study, we reimplemented a part of the large Open Government Data integration project GovWILD with our new operators and show that our queries run significantly faster than the original GovWILD queries, which rely on relational operators. Evaluation reveals that our operators exhibit good scalability on up to 100 cores, so that even larger inputs can be efficiently processed by scaling out to more machines. Finally, our scripts are considerably shorter than the original GovWILD scripts, which results in better maintainability of the scripts.}, language = {en} } @phdthesis{Loladze2014, author = {Loladze, Besik}, title = {Das Rechtsstaatsprinzip in der Verfassung Georgiens und in der Rechtsprechung des Verfassungsgerichts Georgiens}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-75425}, school = {Universit{\"a}t Potsdam}, pages = {498}, year = {2014}, abstract = {Die Dissertation wird der rechtsstaatlichen Problematik in der Verfassung von Georgien und in der Rechtsprechung des Verfassungsgerichts Georgiens gewidmet und bietet eine umfangreiche Analyse der wichtigsten Rechtsstaatsmerkmale in dieser Hinsicht. Neben dieser Analyse der fr{\"u}heren und bestehenden Gegebenheiten, prognostiziert sie mittels der perspektivistischen Denkmodele zuk{\"u}nftige Entwicklungen und schl{\"a}gt eventuelle L{\"o}sungswege von Problemen vor. Bei der Arbeit an der Dissertation wurde insbesondere die reiche Erfahrung der deutschen Rechtsstaatsdogmatik in Anspruch genommen.}, language = {de} } @phdthesis{Feld2014, author = {Feld, Christian}, title = {Crustal structure of the Eratosthenes Seamount, Cyprus and S. Turkey from an amphibian wide-angle seismic profile}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-73479}, school = {Universit{\"a}t Potsdam}, pages = {xi, 131}, year = {2014}, abstract = {In March 2010, the project CoCoCo (incipient COntinent-COntinent COllision) recorded a 650 km long amphibian N-S wide-angle seismic profile, extending from the Eratosthenes Seamount (ESM) across Cyprus and southern Turkey to the Anatolian plateau. The aim of the project is to reveal the impact of the transition from subduction to continent-continent collision of the African plate with the Cyprus-Anatolian plate. A visual quality check, frequency analysis and filtering were applied to the seismic data and reveal a good data quality. Subsequent first break picking, finite-differences ray tracing and inversion of the offshore wide-angle data leads to a first-arrival tomographic model. This model reveals (1) P-wave velocities lower than 6.5 km/s in the crust, (2) a variable crustal thickness of about 28 - 37 km and (3) an upper crustal reflection at 5 km depth beneath the ESM. Two land shots on Turkey, also recorded on Cyprus, airgun shots south of Cyprus and geological and previous seismic investigations provide the information to derive a layered velocity model beneath the Anatolian plateau and for the ophiolite complex on Cyprus. The analysis of the reflections provides evidence for a north-dipping plate subducting beneath Cyprus. The main features of this layered velocity model are (1) an upper and lower crust with large lateral changes of the velocity structure and thickness, (2) a Moho depth of about 38 - 45 km beneath the Anatolian plateau, (3) a shallow north-dipping subducting plate below Cyprus with an increasing dip and (4) a typical ophiolite sequence on Cyprus with a total thickness of about 12 km. The offshore-onshore seismic data complete and improve the information about the velocity structure beneath Cyprus and the deeper part of the offshore tomographic model. Thus, the wide-angle seismic data provide detailed insights into the 2-D geometry and velocity structures of the uplifted and overriding Cyprus-Anatolian plate. Subsequent gravity modelling confirms and extends the crustal P-wave velocity model. The deeper part of the subducting plate is constrained by the gravity data and has a dip angle of ~ 28°. Finally, an integrated analysis of the geophysical and geological information allows a comprehensive interpretation of the crustal structure related to the collision process.}, language = {en} } @phdthesis{Reiter2014, author = {Reiter, Karsten}, title = {Crustal stress variability across spatial scales - examples from Canada, Northern Switzerland and a South African gold mine}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-76762}, school = {Universit{\"a}t Potsdam}, pages = {VIII, 149, XI}, year = {2014}, abstract = {The quantitative descriptions of the state of stress in the Earth's crust, and spatial-temporal stress changes are of great importance in terms of scientific questions as well as applied geotechnical issues. Human activities in the underground (boreholes, tunnels, caverns, reservoir management, etc.) have a large impact on the stress state. It is important to assess, whether these activities may lead to (unpredictable) hazards, such as induced seismicity. Equally important is the understanding of the in situ stress state in the Earth's crust, as it allows the determination of safe well paths, already during well planning. The same goes for the optimal configuration of the injection- and production wells, where stimulation for artificial fluid path ways is necessary. The here presented cumulative dissertation consists of four separate manuscripts, which are already published, submitted or will be submitted for peer review within the next weeks. The main focus is on the investigation of the possible usage of geothermal energy in the province Alberta (Canada). A 3-D geomechanical-numerical model was designed to quantify the contemporary 3-D stress tensor in the upper crust. For the calibration of the regional model, 321 stress orientation data and 2714 stress magnitude data were collected, whereby the size and diversity of the database is unique. A calibration scheme was developed, where the model is calibrated versus the in situ stress data stepwise for each data type and gradually optimized using statistically test methods. The optimum displacement on the model boundaries can be determined by bivariate linear regression, based on only three model runs with varying deformation ratio. The best-fit model is able to predict most of the in situ stress data quite well. Thus, the model can provide the full stress tensor along any chosen virtual well paths. This can be used to optimize the orientation of horizontal wells, which e.g. can be used for reservoir stimulation. The model confirms regional deviations from the average stress orientation trend, such as in the region of the Peace River Arch and the Bow Island Arch. In the context of data compilation for the Alberta stress model, the Canadian database of the World Stress Map (WSM) could be expanded by including 514 new data records. This publication of an update of the Canadian stress map after ~20 years with a specific focus on Alberta shows, that the maximum horizontal stress (SHmax) is oriented southwest to northeast over large areas in Northern America. The SHmax orientation in Alberta is very homogeneous, with an average of about 47°. In order to calculate the average SHmax orientation on a regular grid as well as to estimate the wave-length of stress orientation, an existing algorithm has been improved and is applied to the Canadian data. The newly introduced quasi interquartile range on the circle (QIROC) improves the variance estimation of periodic data, as it is less susceptible to its outliers. Another geomechanical-numerical model was built to estimate the 3D stress tensor in the target area "N{\"o}rdlich L{\"a}gern" in Northern Switzerland. This location, with Opalinus clay as a host rock, is a potential repository site for high-level radioactive waste. The performed modelling aims to investigate the sensitivity of the stress tensor on tectonic shortening, topography, faults and variable rock properties within the Mesozoic sedimentary stack, according to the required stability needed for a suitable radioactive waste disposal site. The majority of the tectonic stresses caused by the far-field shortening from the South are admitted by the competent rock units in the footwall and hanging wall of the argillaceous target horizon, the Upper Malm and Upper Muschelkalk. Thus, the differential stress within the host rock remains relatively low. East-west striking faults release stresses driven by tectonic shortening. The purely gravitational influence by the topography is low; higher SHmax magnitudes below topographical depression and lower values below hills are mainly observed near the surface. A complete calibration of the model is not possible, as no stress magnitude data are available for calibration, yet. The collection of this data will begin in 2015; subsequently they will be used to adjust the geomechanical-numerical model again. The third geomechanical-numerical model investigates the stress variation in an ultra-deep gold mine in South Africa. This reservoir model is spatially one order of magnitude smaller than the previous local model from Northern Switzerland. Here, the primary focus is to investigate the hypothesis that the Mw 1.9 earthquake on 27 December 2007 was induced by stress changes due to the mining process. The Coulomb failure stress change (DeltaCFS) was used to analyse the stress change. It confirmed that the seismic event was induced by static stress transfer due to the mining progress. The rock was brought closer to failure on the derived rupture plane by stress changes of up to 1.5-15MPa, in dependence of the DeltaCFS analysis type. A forward modelling of a generic excavation scheme reveals that with decreasing distance to the dyke the DeltaCFS values increase significantly. Hence, even small changes in the mining progress can have a significant impact on the seismic hazard risk, i.e. the change of the occurrence probability to induce a seismic event of economic concern.}, language = {en} } @phdthesis{Balzer2014, author = {Balzer, Arnim}, title = {Crab flare observations with H.E.S.S. phase II}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-72545}, school = {Universit{\"a}t Potsdam}, year = {2014}, abstract = {The H.E.S.S. array is a third generation Imaging Atmospheric Cherenkov Telescope (IACT) array. It is located in the Khomas Highland in Namibia, and measures very high energy (VHE) gamma-rays. In Phase I, the array started data taking in 2004 with its four identical 13 m telescopes. Since then, H.E.S.S. has emerged as the most successful IACT experiment to date. Among the almost 150 sources of VHE gamma-ray radiation found so far, even the oldest detection, the Crab Nebula, keeps surprising the scientific community with unexplained phenomena such as the recently discovered very energetic flares of high energy gamma-ray radiation. During its most recent flare, which was detected by the Fermi satellite in March 2013, the Crab Nebula was simultaneously observed with the H.E.S.S. array for six nights. The results of the observations will be discussed in detail during the course of this work. During the nights of the flare, the new 24 m × 32 m H.E.S.S. II telescope was still being commissioned, but participated in the data taking for one night. To be able to reconstruct and analyze the data of the H.E.S.S. Phase II array, the algorithms and software used by the H.E.S.S. Phase I array had to be adapted. The most prominent advanced shower reconstruction technique developed by de Naurois and Rolland, the template-based model analysis, compares real shower images taken by the Cherenkov telescope cameras with shower templates obtained using a semi-analytical model. To find the best fitting image, and, therefore, the relevant parameters that describe the air shower best, a pixel-wise log-likelihood fit is done. The adaptation of this advanced shower reconstruction technique to the heterogeneous H.E.S.S. Phase II array for stereo events (i.e. air showers seen by at least two telescopes of any kind), its performance using MonteCarlo simulations as well as its application to real data will be described.}, language = {en} } @phdthesis{Steinhaus2014, author = {Steinhaus, Sebastian Peter}, title = {Constructing quantum spacetime}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-72558}, school = {Universit{\"a}t Potsdam}, year = {2014}, abstract = {Despite remarkable progress made in the past century, which has revolutionized our understanding of the universe, there are numerous open questions left in theoretical physics. Particularly important is the fact that the theories describing the fundamental interactions of nature are incompatible. Einstein's theory of general relative describes gravity as a dynamical spacetime, which is curved by matter and whose curvature determines the motion of matter. On the other hand we have quantum field theory, in form of the standard model of particle physics, where particles interact via the remaining interactions - electromagnetic, weak and strong interaction - on a flat, static spacetime without gravity. A theory of quantum gravity is hoped to cure this incompatibility by heuristically replacing classical spacetime by quantum spacetime'. Several approaches exist attempting to define such a theory with differing underlying premises and ideas, where it is not clear which is to be preferred. Yet a minimal requirement is the compatibility with the classical theory, they attempt to generalize. Interestingly many of these models rely on discrete structures in their definition or postulate discreteness of spacetime to be fundamental. Besides the direct advantages discretisations provide, e.g. permitting numerical simulations, they come with serious caveats requiring thorough investigation: In general discretisations break fundamental diffeomorphism symmetry of gravity and are generically not unique. Both complicates establishing the connection to the classical continuum theory. The main focus of this thesis lies in the investigation of this relation for spin foam models. This is done on different levels of the discretisation / triangulation, ranging from few simplices up to the continuum limit. In the regime of very few simplices we confirm and deepen the connection of spin foam models to discrete gravity. Moreover, we discuss dynamical, e.g. diffeomorphism invariance in the discrete, to fix the ambiguities of the models. In order to satisfy these conditions, the discrete models have to be improved in a renormalisation procedure, which also allows us to study their continuum dynamics. Applied to simplified spin foam models, we uncover a rich, non--trivial fixed point structure, which we summarize in a phase diagram. Inspired by these methods, we propose a method to consistently construct the continuum theory, which comes with a unique vacuum state.}, language = {en} } @phdthesis{BrandtKobele2014, author = {Brandt-Kobele, Oda-Christina}, title = {Comprehension of verb inflection in German-speaking children}, publisher = {Universit{\"a}tsverlag Potsdam}, address = {Potsdam}, isbn = {978-3-86956-216-2}, issn = {1869-3822}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-62046}, school = {Universit{\"a}t Potsdam}, pages = {xx, 325}, year = {2014}, abstract = {Previous studies on the acquisition of verb inflection in normally developing children have revealed an astonishing pattern: children use correctly inflected verbs in their own speech but fail to make use of verb inflections when comprehending sentences uttered by others. Thus, a three-year old might well be able to say something like 'The cat sleeps on the bed', but fails to understand that the same sentence, when uttered by another person, refers to only one sleeping cat but not more than one. The previous studies that have examined children's comprehension of verb inflections have employed a variant of a picture selection task in which the child was asked to explicitly indicate (via pointing) what semantic meaning she had inferred from the test sentence. Recent research on other linguistic structures, such as pronouns or focus particles, has indicated that earlier comprehension abilities can be found when methods are used that do not require an explicit reaction, like preferential looking tasks. This dissertation aimed to examine whether children are truly not able to understand the connection the the verb form and the meaning of the sentence subject until the age of five years or whether earlier comprehension can be found when a different measure, preferential looking, is used. Additionally, children's processing of subject-verb agreement violations was examined. The three experiments of this thesis that examined children's comprehension of verb inflections revealed the following: German-speaking three- to four-year old children looked more to a picture showing one actor when hearing a sentence with a singular inflected verb but only when their eye gaze was tracked and they did not have to perform a picture selection task. When they were asked to point to the matching picture, they performed at chance-level. This pattern indicates asymmetries in children's language performance even within the receptive modality. The fourth experiment examined sensitivity to subject-verb agreement violations and did not reveal evidence for sensitivity toward agreement violations in three- and four-year old children, but only found that children's looking patterns were influenced by the grammatical violations at the age of five. The results from these experiments are discussed in relation to the existence of a production-comprehension asymmetry in the use of verb inflections and children's underlying grammatical knowledge.}, language = {en} } @phdthesis{Yeldesbay2014, author = {Yeldesbay, Azamat}, title = {Complex regimes of synchronization}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-73348}, school = {Universit{\"a}t Potsdam}, pages = {ii, 60}, year = {2014}, abstract = {Synchronization is a fundamental phenomenon in nature. It can be considered as a general property of self-sustained oscillators to adjust their rhythm in the presence of an interaction. In this work we investigate complex regimes of synchronization phenomena by means of theoretical analysis, numerical modeling, as well as practical analysis of experimental data. As a subject of our investigation we consider chimera state, where due to spontaneous symmetry-breaking of an initially homogeneous oscillators lattice split the system into two parts with different dynamics. Chimera state as a new synchronization phenomenon was first found in non-locally coupled oscillators system, and has attracted a lot of attention in the last decade. However, the recent studies indicate that this state is also possible in globally coupled systems. In the first part of this work, we show under which conditions the chimera-like state appears in a system of globally coupled identical oscillators with intrinsic delayed feedback. The results of the research explain how initially monostable oscillators became effectivly bistable in the presence of the coupling and create a mean field that sustain the coexistence of synchronized and desynchronized states. Also we discuss other examples, where chimera-like state appears due to frequency dependence of the phase shift in the bistable system. In the second part, we make further investigation of this topic by modeling influence of an external periodic force to an oscillator with intrinsic delayed feedback. We made stability analysis of the synchronized state and constructed Arnold tongues. The results explain formation of the chimera-like state and hysteric behavior of the synchronization area. Also, we consider two sets of parameters of the oscillator with symmetric and asymmetric Arnold tongues, that correspond to mono- and bi-stable regimes of the oscillator. In the third part, we demonstrate the results of the work, which was done in collaboration with our colleagues from Psychology Department of University of Potsdam. The project aimed to study the effect of the cardiac rhythm on human perception of time using synchronization analysis. From our part, we made a statistical analysis of the data obtained from the conducted experiment on free time interval reproduction task. We examined how ones heartbeat influences the time perception and searched for possible phase synchronization between heartbeat cycles and time reproduction responses. The findings support the prediction that cardiac cycles can serve as input signals, and is used for reproduction of time intervals in the range of several seconds.}, language = {en} } @phdthesis{Jueppner2014, author = {J{\"u}ppner, Jessica}, title = {Characterization of metabolomic dynamics in synchronized Chlamydomonas reinhardtii cell cultures and the impact of TOR inhibition on cell cycle, proliferation and growth}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-76923}, school = {Universit{\"a}t Potsdam}, pages = {VI, 153}, year = {2014}, abstract = {The adaptation of cell growth and proliferation to environmental changes is essential for the surviving of biological systems. The evolutionary conserved Ser/Thr protein kinase "Target of Rapamycin" (TOR) has emerged as a major signaling node that integrates the sensing of numerous growth signals to the coordinated regulation of cellular metabolism and growth. Although the TOR signaling pathway has been widely studied in heterotrophic organisms, the research on TOR in photosynthetic eukaryotes has been hampered by the reported land plant resistance to rapamycin. Thus, the finding that Chlamydomonas reinhardtii is sensitive to rapamycin, establish this unicellular green alga as a useful model system to investigate TOR signaling in photosynthetic eukaryotes. The observation that rapamycin does not fully arrest Chlamydomonas growth, which is different from observations made in other organisms, prompted us to investigate the regulatory function of TOR in Chlamydomonas in context of the cell cycle. Therefore, a growth system that allowed synchronously growth under widely unperturbed cultivation in a fermenter system was set up and the synchronized cells were characterized in detail. In a highly resolved kinetic study, the synchronized cells were analyzed for their changes in cytological parameters as cell number and size distribution and their starch content. Furthermore, we applied mass spectrometric analysis for profiling of primary and lipid metabolism. This system was then used to analyze the response dynamics of the Chlamydomonas metabolome and lipidome to TOR-inhibition by rapamycin The results show that TOR inhibition reduces cell growth, delays cell division and daughter cell release and results in a 50\% reduced cell number at the end of the cell cycle. Consistent with the growth phenotype we observed strong changes in carbon and nitrogen partitioning in the direction of rapid conversion into carbon and nitrogen storage through an accumulation of starch, triacylglycerol and arginine. Interestingly, it seems that the conversion of carbon into triacylglycerol occurred faster than into starch after TOR inhibition, which may indicate a more dominant role of TOR in the regulation of TAG biosynthesis than in the regulation of starch. This study clearly shows, for the first time, a complex picture of metabolic and lipidomic dynamically changes during the cell cycle of Chlamydomonas reinhardtii and furthermore reveals a complex regulation and adjustment of metabolite pools and lipid composition in response to TOR inhibition.}, language = {en} } @phdthesis{Tenenboim2014, author = {Tenenboim, Yehezkel}, title = {Characterization of a Chlamydomonas protein involved in cell division and autophagy}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-70650}, school = {Universit{\"a}t Potsdam}, year = {2014}, abstract = {The contractile vacuole (CV) is an osmoregulatory organelle found exclusively in algae and protists. In addition to expelling excessive water out of the cell, it also expels ions and other metabolites and thereby contributes to the cell's metabolic homeostasis. The interest in the CV reaches beyond its immediate cellular roles. The CV's function is tightly related to basic cellular processes such as membrane dynamics and vesicle budding and fusion; several physiological processes in animals, such as synaptic neurotransmission and blood filtration in the kidney, are related to the CV's function; and several pathogens, such as the causative agents of sleeping sickness, possess CVs, which may serve as pharmacological targets. The green alga Chlamydomonas reinhardtii has two CVs. They are the smallest known CVs in nature, and they remain relatively untouched in the CV-related literature. Many genes that have been shown to be related to the CV in other organisms have close homologues in C. reinhardtii. We attempted to silence some of these genes and observe the effect on the CV. One of our genes, VMP1, caused striking, severe phenotypes when silenced. Cells exhibited defective cytokinesis and aberrant morphologies. The CV, incidentally, remained unscathed. In addition, mutant cells showed some evidence of disrupted autophagy. Several important regulators of the cell cycle as well as autophagy were found to be underexpressed in the mutant. Lipidomic analysis revealed many meaningful changes between wild-type and mutant cells, reinforcing the compromised-autophagy observation. VMP1 is a singular protein, with homologues in numerous eukaryotic organisms (aside from fungi), but usually with no relatives in each particular genome. Since its first characterization in 2002 it has been associated with several cellular processes and functions, namely autophagy, programmed cell-death, secretion, cell adhesion, and organelle biogenesis. It has been implicated in several human diseases: pancreatitis, diabetes, and several types of cancer. Our results reiterate some of the observations in VMP1's six reported homologues, but, importantly, show for the first time an involvement of this protein in cell division. The mechanisms underlying this involvement in Chlamydomonas, as well as other key aspects, such as VMP1's subcellular localization and interaction partners, still await elucidation.}, language = {en} } @phdthesis{Loersch2014, author = {Loersch, Christian}, title = {Business start-ups and the effect of coaching programs}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-72605}, school = {Universit{\"a}t Potsdam}, pages = {XII, 282}, year = {2014}, abstract = {Entrepreneurship is known to be a main driver of economic growth. Hence, governments have an interest in supporting and promoting entrepreneurial activities. Start-up subsidies, which have been analyzed extensively, only aim at mitigating the lack of financial capital. However, some entrepreneurs also lack in human, social, and managerial capital. One way to address these shortcomings is by subsidizing coaching programs for entrepreneurs. However, theoretical and empirical evidence about business coaching and programs subsidizing coaching is scarce. This dissertation gives an extensive overview of coaching and is the first empirical study for Germany analyzing the effects of coaching programs on its participants. In the theoretical part of the dissertation the process of a business start-up is described and it is discussed how and in which stage of the company's evolvement coaching can influence entrepreneurial success. The concept of coaching is compared to other non-monetary types of support as training, mentoring, consulting, and counseling. Furthermore, national and international support programs are described. Most programs have either no or small positive effects. However, there is little quantitative evidence in the international literature. In the empirical part of the dissertation the effectiveness of coaching is shown by evaluating two German coaching programs, which support entrepreneurs via publicly subsidized coaching sessions. One of the programs aims at entrepreneurs who have been employed before becoming self-employed, whereas the other program is targeted at former unemployed entrepreneurs. The analysis is based on the evaluation of a quantitative and a qualitative dataset. The qualitative data are gathered by intensive one-on-one interviews with coaches and entrepreneurs. These data give a detailed insight about the coaching topics, duration, process, effectiveness, and the thoughts of coaches and entrepreneurs. The quantitative data include information about 2,936 German-based entrepreneurs. Using propensity score matching, the success of participants of the two coaching programs is compared with adequate groups of non-participants. In contrast to many other studies also personality traits are observed and controlled for in the matching process. The results show that only the program for former unemployed entrepreneurs has small positive effects. Participants have a larger survival probability in self-employment and a larger probability to hire employees than matched non-participants. In contrast, the program for former employed individuals has negative effects. Compared to individuals who did not participate in the coaching program, participants have a lower probability to stay in self-employment, lower earned net income, lower number of employees and lower life satisfaction. There are several reasons for these differing results of the two programs. First, former unemployed individuals have more basic coaching needs than former employed individuals. Coaches can satisfy these basic coaching needs, whereas former employed individuals have more complex business problems, which are not very easy to be solved by a coaching intervention. Second, the analysis reveals that former employed individuals are very successful in general. It is easier to increase the success of former unemployed individuals as they have a lower base level of success than former employed individuals. An effect heterogeneity analysis shows that coaching effectiveness differs by region. Coaching for previously unemployed entrepreneurs is especially useful in regions with bad labor market conditions. In summary, in line with previous literature, it is found that coaching has little effects on the success of entrepreneurs. The previous employment status, the characteristics of the entrepreneur and the regional labor market conditions play a crucial role in the effectiveness of coaching. In conclusion, coaching needs to be well tailored to the individual and applied thoroughly. Therefore, governments should design and provide coaching programs only after due consideration.}, language = {en} } @phdthesis{Steinert2014, author = {Steinert, Bastian}, title = {Built-in recovery support for explorative programming}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-71305}, school = {Universit{\"a}t Potsdam}, year = {2014}, abstract = {This work introduces concepts and corresponding tool support to enable a complementary approach in dealing with recovery. Programmers need to recover a development state, or a part thereof, when previously made changes reveal undesired implications. However, when the need arises suddenly and unexpectedly, recovery often involves expensive and tedious work. To avoid tedious work, literature recommends keeping away from unexpected recovery demands by following a structured and disciplined approach, which consists of the application of various best practices including working only on one thing at a time, performing small steps, as well as making proper use of versioning and testing tools. However, the attempt to avoid unexpected recovery is both time-consuming and error-prone. On the one hand, it requires disproportionate effort to minimize the risk of unexpected situations. On the other hand, applying recommended practices selectively, which saves time, can hardly avoid recovery. In addition, the constant need for foresight and self-control has unfavorable implications. It is exhaustive and impedes creative problem solving. This work proposes to make recovery fast and easy and introduces corresponding support called CoExist. Such dedicated support turns situations of unanticipated recovery from tedious experiences into pleasant ones. It makes recovery fast and easy to accomplish, even if explicit commits are unavailable or tests have been ignored for some time. When mistakes and unexpected insights are no longer associated with tedious corrective actions, programmers are encouraged to change source code as a means to reason about it, as opposed to making changes only after structuring and evaluating them mentally. This work further reports on an implementation of the proposed tool support in the Squeak/Smalltalk development environment. The development of the tools has been accompanied by regular performance and usability tests. In addition, this work investigates whether the proposed tools affect programmers' performance. In a controlled lab study, 22 participants improved the design of two different applications. Using a repeated measurement setup, the study examined the effect of providing CoExist on programming performance. The result of analyzing 88 hours of programming suggests that built-in recovery support as provided with CoExist positively has a positive effect on programming performance in explorative programming tasks.}, language = {en} } @phdthesis{Tinnefeld2014, author = {Tinnefeld, Christian}, title = {Building a columnar database on shared main memory-based storage}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-72063}, school = {Universit{\"a}t Potsdam}, pages = {175}, year = {2014}, abstract = {In the field of disk-based parallel database management systems exists a great variety of solutions based on a shared-storage or a shared-nothing architecture. In contrast, main memory-based parallel database management systems are dominated solely by the shared-nothing approach as it preserves the in-memory performance advantage by processing data locally on each server. We argue that this unilateral development is going to cease due to the combination of the following three trends: a) Nowadays network technology features remote direct memory access (RDMA) and narrows the performance gap between accessing main memory inside a server and of a remote server to and even below a single order of magnitude. b) Modern storage systems scale gracefully, are elastic, and provide high-availability. c) A modern storage system such as Stanford's RAMCloud even keeps all data resident in main memory. Exploiting these characteristics in the context of a main-memory parallel database management system is desirable. The advent of RDMA-enabled network technology makes the creation of a parallel main memory DBMS based on a shared-storage approach feasible. This thesis describes building a columnar database on shared main memory-based storage. The thesis discusses the resulting architecture (Part I), the implications on query processing (Part II), and presents an evaluation of the resulting solution in terms of performance, high-availability, and elasticity (Part III). In our architecture, we use Stanford's RAMCloud as shared-storage, and the self-designed and developed in-memory AnalyticsDB as relational query processor on top. AnalyticsDB encapsulates data access and operator execution via an interface which allows seamless switching between local and remote main memory, while RAMCloud provides not only storage capacity, but also processing power. Combining both aspects allows pushing-down the execution of database operators into the storage system. We describe how the columnar data processed by AnalyticsDB is mapped to RAMCloud's key-value data model and how the performance advantages of columnar data storage can be preserved. The combination of fast network technology and the possibility to execute database operators in the storage system opens the discussion for site selection. We construct a system model that allows the estimation of operator execution costs in terms of network transfer, data processed in memory, and wall time. This can be used for database operators that work on one relation at a time - such as a scan or materialize operation - to discuss the site selection problem (data pull vs. operator push). Since a database query translates to the execution of several database operators, it is possible that the optimal site selection varies per operator. For the execution of a database operator that works on two (or more) relations at a time, such as a join, the system model is enriched by additional factors such as the chosen algorithm (e.g. Grace- vs. Distributed Block Nested Loop Join vs. Cyclo-Join), the data partitioning of the respective relations, and their overlapping as well as the allowed resource allocation. We present an evaluation on a cluster with 60 nodes where all nodes are connected via RDMA-enabled network equipment. We show that query processing performance is about 2.4x slower if everything is done via the data pull operator execution strategy (i.e. RAMCloud is being used only for data access) and about 27\% slower if operator execution is also supported inside RAMCloud (in comparison to operating only on main memory inside a server without any network communication at all). The fast-crash recovery feature of RAMCloud can be leveraged to provide high-availability, e.g. a server crash during query execution only delays the query response for about one second. Our solution is elastic in a way that it can adapt to changing workloads a) within seconds, b) without interruption of the ongoing query processing, and c) without manual intervention.}, language = {en} } @phdthesis{Schipper2014, author = {Schipper, Florian}, title = {Biomass derived carbon for new energy storage technologies}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-72045}, school = {Universit{\"a}t Potsdam}, year = {2014}, abstract = {The thesis deals with the production and evaluation of porous carbon materials for energy storage technologies, namely super capacitors and lithium sulfur batteries.}, language = {de} } @phdthesis{Grigoli2014, author = {Grigoli, Francesco}, title = {Automated seismic event location by waveform coherence analysis}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-70329}, school = {Universit{\"a}t Potsdam}, year = {2014}, abstract = {Automated location of seismic events is a very important task in microseismic monitoring operations as well for local and regional seismic monitoring. Since microseismic records are generally characterised by low signal-to-noise ratio, such methods are requested to be noise robust and sufficiently accurate. Most of the standard automated location routines are based on the automated picking, identification and association of the first arrivals of P and S waves and on the minimization of the residuals between theoretical and observed arrival times of the considered seismic phases. Although current methods can accurately pick P onsets, the automatic picking of the S onset is still problematic, especially when the P coda overlaps the S wave onset. In this thesis I developed a picking free automated method based on the Short-Term-Average/Long-Term-Average (STA/LTA) traces at different stations as observed data. I used the STA/LTA of several characteristic functions in order to increase the sensitiveness to the P wave and the S waves. For the P phases we use the STA/LTA traces of the vertical energy function, while for the S phases, we use the STA/LTA traces of the horizontal energy trace and then a more optimized characteristic function which is obtained using the principal component analysis technique. The orientation of the horizontal components can be retrieved by robust and linear approach of waveform comparison between stations within a network using seismic sources outside the network (chapter 2). To locate the seismic event, we scan the space of possible hypocentral locations and origin times, and stack the STA/LTA traces along the theoretical arrival time surface for both P and S phases. Iterating this procedure on a three-dimensional grid we retrieve a multidimensional matrix whose absolute maximum corresponds to the spatial and temporal coordinates of the seismic event. Location uncertainties are then estimated by perturbing the STA/LTA parameters (i.e the length of both long and short time windows) and relocating each event several times. In order to test the location method I firstly applied it to a set of 200 synthetic events. Then we applied it to two different real datasets. A first one related to mining induced microseismicity in a coal mine in the northern Germany (chapter 3). In this case we successfully located 391 microseismic event with magnitude range between 0.5 and 2.0 Ml. To further validate the location method I compared the retrieved locations with those obtained by manual picking procedure. The second dataset consist in a pilot application performed in the Campania-Lucania region (southern Italy) using a 33 stations seismic network (Irpinia Seismic Network) with an aperture of about 150 km (chapter 4). We located 196 crustal earthquakes (depth < 20 km) with magnitude range 1.1 < Ml < 2.7. A subset of these locations were compared with accurate locations retrieved by a manual location procedure based on the use of a double difference technique. In both cases results indicate good agreement with manual locations. Moreover, the waveform stacking location method results noise robust and performs better than classical location methods based on the automatic picking of the P and S waves first arrivals.}, language = {en} } @phdthesis{Wilde2014, author = {Wilde, Anja}, title = {Auspr{\"a}gungen r{\"a}umlicher Identit{\"a}t in ehemaligen sudetendeutschen Gebieten der Tschechischen Republik}, publisher = {Universit{\"a}tsverlag Potsdam}, address = {Potsdam}, isbn = {978-3-86956-311-4}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-70247}, school = {Universit{\"a}t Potsdam}, pages = {XVI, 395}, year = {2014}, abstract = {Das tschechische Grenzgebiet ist eine der Regionen in Europa, die in der Folge des Zweiten Weltkrieges am gravierendsten von Umbr{\"u}chen in der zuvor bestehenden Bev{\"o}lkerungsstruktur betroffen waren. Der erzwungenen Aussiedlung eines Großteils der ans{\"a}ssigen Bev{\"o}lkerung folgten die Neubesiedlung durch verschiedenste Zuwanderergruppen sowie teilweise langanhaltende Fluktuationen der Einwohnerschaft. Die Stabilisierung der Bev{\"o}lkerung stand sodann unter dem Zeichen der sozialistischen Gesellschafts- und Wirtschaftsordnung, die die Lebensweise und Raumwahrnehmung der neuen Einwohner nachhaltig pr{\"a}gte. Die Grenz{\"o}ffnung von 1989, die politische Transformation sowie die Integration der Tschechischen Republik in die Europ{\"a}ische Union brachten neue demographische und sozio{\"o}konomische Entwicklungen mit sich. Sie schufen aber auch die Bedingungen daf{\"u}r, sich neu und offen auch mit der spezifischen Geschichte des ehemaligen Sudetenlandes sowie mit dem Zustand der gegenw{\"a}rtigen Gesellschaft in diesem Gebiet auseinanderzusetzen. Im Rahmen der vorliegenden Arbeit wird anhand zweier Beispielregionen untersucht, welche Raumvorstellungen und Raumbindungen bei der heute in den ehemaligen sudetendeutschen Gebieten ans{\"a}ssigen Bev{\"o}lkerung vorhanden sind und welche Einfl{\"u}sse die unterschiedlichen raumstrukturellen Bedingungen darauf aus{\"u}ben. Besonderes Augenmerk wird auf die soziale Komponente der Auspr{\"a}gung r{\"a}umlicher Identit{\"a}t gelegt, das heißt auf die Rolle von Bedeutungszuweisungen gegen{\"u}ber Raumelementen im Rahmen sozialer Kommunikation und Interaktion. Dies erscheint von besonderer Relevanz in einem Raum, der sich durch eine gewisse Heterogenit{\"a}t seiner Einwohnerschaft hinsichtlich ihres ethnischen, kulturellen beziehungsweise biographischen Hintergrundes auszeichnet. Schließlich wird ermittelt, welche Impulse unter Umst{\"a}nden von einer ausgepr{\"a}gten r{\"a}umlichen Identit{\"a}t f{\"u}r die Entwicklung des Raumes ausgehen.}, language = {de} } @phdthesis{Girbig2014, author = {Girbig, Dorothee}, title = {Analysing concerted criteria for local dynamic properties of metabolic systems}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-72017}, school = {Universit{\"a}t Potsdam}, year = {2014}, abstract = {Metabolic systems tend to exhibit steady states that can be measured in terms of their concentrations and fluxes. These measurements can be regarded as a phenotypic representation of all the complex interactions and regulatory mechanisms taking place in the underlying metabolic network. Such interactions determine the system's response to external perturbations and are responsible, for example, for its asymptotic stability or for oscillatory trajectories around the steady state. However, determining these perturbation responses in the absence of fully specified kinetic models remains an important challenge of computational systems biology. Structural kinetic modeling (SKM) is a framework to analyse whether a metabolic steady state remains stable under perturbation, without requiring detailed knowledge about individual rate equations. It provides a parameterised representation of the system's Jacobian matrix in which the model parameters encode information about the enzyme-metabolite interactions. Stability criteria can be derived by generating a large number of structural kinetic models (SK-models) with randomly sampled parameter sets and evaluating the resulting Jacobian matrices. The parameter space can be analysed statistically in order to detect network positions that contribute significantly to the perturbation response. Because the sampled parameters are equivalent to the elasticities used in metabolic control analysis (MCA), the results are easy to interpret biologically. In this project, the SKM framework was extended by several novel methodological improvements. These improvements were evaluated in a simulation study using a set of small example pathways with simple Michaelis Menten rate laws. Afterwards, a detailed analysis of the dynamic properties of the neuronal TCA cycle was performed in order to demonstrate how the new insights obtained in this work could be used for the study of complex metabolic systems. The first improvement was achieved by examining the biological feasibility of the elasticity combinations created during Monte Carlo sampling. Using a set of small example systems, the findings showed that the majority of sampled SK-models would yield negative kinetic parameters if they were translated back into kinetic models. To overcome this problem, a simple criterion was formulated that mitigates such infeasible models and the application of this criterion changed the conclusions of the SKM experiment. The second improvement of this work was the application of supervised machine-learning approaches in order to analyse SKM experiments. So far, SKM experiments have focused on the detection of individual enzymes to identify single reactions important for maintaining the stability or oscillatory trajectories. In this work, this approach was extended by demonstrating how SKM enables the detection of ensembles of enzymes or metabolites that act together in an orchestrated manner to coordinate the pathways response to perturbations. In doing so, stable and unstable states served as class labels, and classifiers were trained to detect elasticity regions associated with stability and instability. Classification was performed using decision trees and relevance vector machines (RVMs). The decision trees produced good classification accuracy in terms of model bias and generalizability. RVMs outperformed decision trees when applied to small models, but encountered severe problems when applied to larger systems because of their high runtime requirements. The decision tree rulesets were analysed statistically and individually in order to explore the role of individual enzymes or metabolites in controlling the system's trajectories around steady states. The third improvement of this work was the establishment of a relationship between the SKM framework and the related field of MCA. In particular, it was shown how the sampled elasticities could be converted to flux control coefficients, which were then investigated for their predictive information content in classifier training. After evaluation on the small example pathways, the methodology was used to study two steady states of the neuronal TCA cycle with respect to their intrinsic mechanisms responsible for stability or instability. The findings showed that several elasticities were jointly coordinated to control stability and that the main source for potential instabilities were mutations in the enzyme alpha-ketoglutarate dehydrogenase.}, language = {en} }