@misc{NishikawaMizunoNiemiecetal.2016, author = {Nishikawa, Ken-Ichi and Mizuno, Yosuke and Niemiec, Jacek and Kobzar, Oleh and Pohl, Martin and G{\´o}mez, Jose L. and Duţan, Ioana and Pe'er, Asaf and Frederiksen, Jacob Trier and Nordlund, {\AA}ke and Meli, Athina and Sol, Helene and Hardee, Philip E. and Hartmann, Dieter H.}, title = {Microscopic processes in global relativistic jets containing helical magnetic fields}, series = {Galaxies}, journal = {Galaxies}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-407604}, pages = {9}, year = {2016}, abstract = {In the study of relativistic jets one of the key open questions is their interaction with the environment on the microscopic level. Here, we study the initial evolution of both electron-proton (e(-)-p(+)) and electron-positron (e(+/-)) relativistic jets containing helical magnetic fields, focusing on their interaction with an ambient plasma. We have performed simulations of "global" jets containing helical magnetic fields in order to examine how helical magnetic fields affect kinetic instabilities such as the Weibel instability, the kinetic Kelvin-Helmholtz instability (kKHI) and the Mushroom instability (MI). In our initial simulation study these kinetic instabilities are suppressed and new types of instabilities can grow. In the e(-)-p(+) jet simulation a recollimation-like instability occurs and jet electrons are strongly perturbed. In the e(+/-) jet simulation a recollimation-like instability occurs at early times followed by a kinetic instability and the general structure is similar to a simulation without helical magnetic field. Simulations using much larger systems are required in order to thoroughly follow the evolution of global jets containing helical magnetic fields.}, language = {en} } @phdthesis{Gutsch2016, author = {Gutsch, Martin}, title = {Model-based analysis of climate change impacts on the productivity of oak-pine forests in Brandenburg}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-97241}, school = {Universit{\"a}t Potsdam}, pages = {vii, 148}, year = {2016}, abstract = {The relationship between climate and forest productivity is an intensively studied subject in forest science. This Thesis is embedded within the general framework of future forest growth under climate change and its implications for the ongoing forest conversion. My objective is to investigate the future forest productivity at different spatial scales (from a single specific forest stand to aggregated information across Germany) with focus on oak-pine forests in the federal state of Brandenburg. The overarching question is: how are the oak-pine forests affected by climate change described by a variety of climate scenarios. I answer this question by using a model based analysis of tree growth processes and responses to different climate scenarios with emphasis on drought events. In addition, a method is developed which considers climate change uncertainty of forest management planning. As a first 'screening' of climate change impacts on forest productivity, I calculated the change in net primary production on the base of a large set of climate scenarios for different tree species and the total area of Germany. Temperature increases up to 3 K lead to positive effects on the net primary production of all selected tree species. But, in water-limited regions this positive net primary production trend is dependent on the length of drought periods which results in a larger uncertainty regarding future forest productivity. One of the regions with the highest uncertainty of net primary production development is the federal state of Brandenburg. To enhance the understanding and ability of model based analysis of tree growth sensitivity to drought stress two water uptake approaches in pure pine and mixed oak-pine stands are contrasted. The first water uptake approach consists of an empirical function for root water uptake. The second approach is more mechanistic and calculates the differences of soil water potential along a soil-plant-atmosphere continuum. I assumed the total root resistance to vary at low, medium and high total root resistance levels. For validation purposes three data sets on different tree growth relevant time scales are used. Results show that, except the mechanistic water uptake approach with high total root resistance, all transpiration outputs exceeded observed values. On the other hand high transpiration led to a better match of observed soil water content. The strongest correlation between simulated and observed annual tree ring width occurred with the mechanistic water uptake approach and high total root resistance. The findings highlight the importance of severe drought as a main reason for small diameter increment, best supported by the mechanistic water uptake approach with high root resistance. However, if all aspects of the data sets are considered no approach can be judged superior to the other. I conclude that the uncertainty of future productivity of water-limited forest ecosystems under changing environmental conditions is linked to simulated root water uptake. Finally my study aimed at the impacts of climate change combined with management scenarios on an oak-pine forest to evaluate growth, biomass and the amount of harvested timber. The pine and the oak trees are 104 and 9 years old respectively. Three different management scenarios with different thinning intensities and different climate scenarios are used to simulate the performance of management strategies which explicitly account for the risks associated with achieving three predefined objectives (maximum carbon storage, maximum harvested timber, intermediate). I found out that in most cases there is no general management strategy which fits best to different objectives. The analysis of variance in the growth related model outputs showed an increase of climate uncertainty with increasing climate warming. Interestingly, the increase of climate-induced uncertainty is much higher from 2 to 3 K than from 0 to 2 K.}, language = {en} } @phdthesis{Waetzoldt2016, author = {W{\"a}tzoldt, Sebastian}, title = {Modeling collaborations in adaptive systems of systems}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-97494}, school = {Universit{\"a}t Potsdam}, pages = {XII, 380}, year = {2016}, abstract = {Recently, due to an increasing demand on functionality and flexibility, beforehand isolated systems have become interconnected to gain powerful adaptive Systems of Systems (SoS) solutions with an overall robust, flexible and emergent behavior. The adaptive SoS comprises a variety of different system types ranging from small embedded to adaptive cyber-physical systems. On the one hand, each system is independent, follows a local strategy and optimizes its behavior to reach its goals. On the other hand, systems must cooperate with each other to enrich the overall functionality to jointly perform on the SoS level reaching global goals, which cannot be satisfied by one system alone. Due to difficulties of local and global behavior optimizations conflicts may arise between systems that have to be solved by the adaptive SoS. This thesis proposes a modeling language that facilitates the description of an adaptive SoS by considering the adaptation capabilities in form of feedback loops as first class entities. Moreover, this thesis adopts the Models@runtime approach to integrate the available knowledge in the systems as runtime models into the modeled adaptation logic. Furthermore, the modeling language focuses on the description of system interactions within the adaptive SoS to reason about individual system functionality and how it emerges via collaborations to an overall joint SoS behavior. Therefore, the modeling language approach enables the specification of local adaptive system behavior, the integration of knowledge in form of runtime models and the joint interactions via collaboration to place the available adaptive behavior in an overall layered, adaptive SoS architecture. Beside the modeling language, this thesis proposes analysis rules to investigate the modeled adaptive SoS, which enables the detection of architectural patterns as well as design flaws and pinpoints to possible system threats. Moreover, a simulation framework is presented, which allows the direct execution of the modeled SoS architecture. Therefore, the analysis rules and the simulation framework can be used to verify the interplay between systems as well as the modeled adaptation effects within the SoS. This thesis realizes the proposed concepts of the modeling language by mapping them to a state of the art standard from the automotive domain and thus, showing their applicability to actual systems. Finally, the modeling language approach is evaluated by remodeling up to date research scenarios from different domains, which demonstrates that the modeling language concepts are powerful enough to cope with a broad range of existing research problems.}, language = {en} } @misc{GliegeThomasSteidletal.2016, author = {Gliege, Steffen and Thomas, Bj{\"o}rn Daniel and Steidl, J{\"o}rg and Hohenbrink, Tobias Ludwig and Dietrich, Ottfried}, title = {Modeling the impact of ditch water level management on stream-aquifer interactions}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-407613}, pages = {17}, year = {2016}, abstract = {Decreasing groundwater levels in many parts of Germany and decreasing low flows in Central Europe have created a need for adaptation measures to stabilize the water balance and to increase low flows. The objective of our study was to estimate the impact of ditch water level management on stream-aquifer interactions in small lowland catchments of the mid-latitudes. The water balance of a ditch-irrigated area and fluxes between the subsurface and the adjacent stream were modeled for three runoff recession periods using the Hydrus-2D software package. The results showed that the subsurface flow to the stream was closely related to the difference between the water level in the ditch system and the stream. Evapotranspiration during the growing season additionally reduced base flow. It was crucial to stop irrigation during a recession period to decrease water withdrawal from the stream and enhance the base flow by draining the irrigated area. Mean fluxes to the stream were between 0.04 and 0.64 ls(-1) for the first 20 days of the low-flow periods. This only slightly increased the flow in the stream, whose mean was 57 ls(-1) during the period with the lowest flows. Larger areas would be necessary to effectively increase flows in mesoscale catchments.}, language = {en} } @phdthesis{Wichitsanguan2016, author = {Wichitsa-nguan, Korakot}, title = {Modifications and extensions of the logistic regression and Cox model}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-90033}, school = {Universit{\"a}t Potsdam}, pages = {x, 131}, year = {2016}, abstract = {In many statistical applications, the aim is to model the relationship between covariates and some outcomes. A choice of the appropriate model depends on the outcome and the research objectives, such as linear models for continuous outcomes, logistic models for binary outcomes and the Cox model for time-to-event data. In epidemiological, medical, biological, societal and economic studies, the logistic regression is widely used to describe the relationship between a response variable as binary outcome and explanatory variables as a set of covariates. However, epidemiologic cohort studies are quite expensive regarding data management since following up a large number of individuals takes long time. Therefore, the case-cohort design is applied to reduce cost and time for data collection. The case-cohort sampling collects a small random sample from the entire cohort, which is called subcohort. The advantage of this design is that the covariate and follow-up data are recorded only on the subcohort and all cases (all members of the cohort who develop the event of interest during the follow-up process). In this thesis, we investigate the estimation in the logistic model for case-cohort design. First, a model with a binary response and a binary covariate is considered. The maximum likelihood estimator (MLE) is described and its asymptotic properties are established. An estimator for the asymptotic variance of the estimator based on the maximum likelihood approach is proposed; this estimator differs slightly from the estimator introduced by Prentice (1986). Simulation results for several proportions of the subcohort show that the proposed estimator gives lower empirical bias and empirical variance than Prentice's estimator. Then the MLE in the logistic regression with discrete covariate under case-cohort design is studied. Here the approach of the binary covariate model is extended. Proving asymptotic normality of estimators, standard errors for the estimators can be derived. The simulation study demonstrates the estimation procedure of the logistic regression model with a one-dimensional discrete covariate. Simulation results for several proportions of the subcohort and different choices of the underlying parameters indicate that the estimator developed here performs reasonably well. Moreover, the comparison between theoretical values and simulation results of the asymptotic variance of estimator is presented. Clearly, the logistic regression is sufficient for the binary outcome refers to be available for all subjects and for a fixed time interval. Nevertheless, in practice, the observations in clinical trials are frequently collected for different time periods and subjects may drop out or relapse from other causes during follow-up. Hence, the logistic regression is not appropriate for incomplete follow-up data; for example, an individual drops out of the study before the end of data collection or an individual has not occurred the event of interest for the duration of the study. These observations are called censored observations. The survival analysis is necessary to solve these problems. Moreover, the time to the occurence of the event of interest is taken into account. The Cox model has been widely used in survival analysis, which can effectively handle the censored data. Cox (1972) proposed the model which is focused on the hazard function. The Cox model is assumed to be λ(t|x) = λ0(t) exp(β^Tx) where λ0(t) is an unspecified baseline hazard at time t and X is the vector of covariates, β is a p-dimensional vector of coefficient. In this thesis, the Cox model is considered under the view point of experimental design. The estimability of the parameter β0 in the Cox model, where β0 denotes the true value of β, and the choice of optimal covariates are investigated. We give new representations of the observed information matrix In(β) and extend results for the Cox model of Andersen and Gill (1982). In this way conditions for the estimability of β0 are formulated. Under some regularity conditions, ∑ is the inverse of the asymptotic variance matrix of the MPLE of β0 in the Cox model and then some properties of the asymptotic variance matrix of the MPLE are highlighted. Based on the results of asymptotic estimability, the calculation of local optimal covariates is considered and shown in examples. In a sensitivity analysis, the efficiency of given covariates is calculated. For neighborhoods of the exponential models, the efficiencies have then been found. It is appeared that for fixed parameters β0, the efficiencies do not change very much for different baseline hazard functions. Some proposals for applicable optimal covariates and a calculation procedure for finding optimal covariates are discussed. Furthermore, the extension of the Cox model where time-dependent coefficient are allowed, is investigated. In this situation, the maximum local partial likelihood estimator for estimating the coefficient function β(·) is described. Based on this estimator, we formulate a new test procedure for testing, whether a one-dimensional coefficient function β(·) has a prespecified parametric form, say β(·; ϑ). The score function derived from the local constant partial likelihood function at d distinct grid points is considered. It is shown that the distribution of the properly standardized quadratic form of this d-dimensional vector under the null hypothesis tends to a Chi-squared distribution. Moreover, the limit statement remains true when replacing the unknown ϑ0 by the MPLE in the hypothetical model and an asymptotic α-test is given by the quantiles or p-values of the limiting Chi-squared distribution. Finally, we propose a bootstrap version of this test. The bootstrap test is only defined for the special case of testing whether the coefficient function is constant. A simulation study illustrates the behavior of the bootstrap test under the null hypothesis and a special alternative. It gives quite good results for the chosen underlying model. References P. K. Andersen and R. D. Gill. Cox's regression model for counting processes: a large samplestudy. Ann. Statist., 10(4):1100{1120, 1982. D. R. Cox. Regression models and life-tables. J. Roy. Statist. Soc. Ser. B, 34:187{220, 1972. R. L. Prentice. A case-cohort design for epidemiologic cohort studies and disease prevention trials. Biometrika, 73(1):1{11, 1986.}, language = {en} } @misc{NavarroRetamalBremerAlzateMoralesetal.2016, author = {Navarro-Retamal, Carlos and Bremer, Anne and Alzate-Morales, Jans H. and Caballero, Julio and Hincha, Dirk K. and Gonz{\´a}lez, Wendy and Thalhammer, Anja}, title = {Molecular dynamics simulations and CD spectroscopy reveal hydration-induced unfolding of the intrinsically disordered LEA proteins COR15A and COR15B from Arabidopsis thaliana}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-394503}, pages = {25806 -- 25816}, year = {2016}, abstract = {The LEA (late embryogenesis abundant) proteins COR15A and COR15B from Arabidopsis thaliana are intrinsically disordered under fully hydrated conditions, but obtain α-helical structure during dehydration, which is reversible upon rehydration. To understand this unusual structural transition, both proteins were investigated by circular dichroism (CD) and molecular dynamics (MD) approaches. MD simulations showed unfolding of the proteins in water, in agreement with CD data obtained with both HIS-tagged and untagged recombinant proteins. Mainly intramolecular hydrogen bonds (H-bonds) formed by the protein backbone were replaced by H-bonds with water molecules. As COR15 proteins function in vivo as protectants in leaves partially dehydrated by freezing, unfolding was further assessed under crowded conditions. Glycerol reduced (40\%) or prevented (100\%) unfolding during MD simulations, in agreement with CD spectroscopy results. H-bonding analysis indicated that preferential exclusion of glycerol from the protein backbone increased stability of the folded state.}, language = {en} } @phdthesis{Ulaganathan2016, author = {Ulaganathan, Vamseekrishna}, title = {Molecular fundamentals of foam fractionation}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-94263}, school = {Universit{\"a}t Potsdam}, pages = {ix, 136}, year = {2016}, abstract = {Foam fractionation of surfactant and protein solutions is a process dedicated to separate surface active molecules from each other due to their differences in surface activities. The process is based on forming bubbles in a certain mixed solution followed by detachment and rising of bubbles through a certain volume of this solution, and consequently on the formation of a foam layer on top of the solution column. Therefore, systematic analysis of this whole process comprises of at first investigations dedicated to the formation and growth of single bubbles in solutions, which is equivalent to the main principles of the well-known bubble pressure tensiometry. The second stage of the fractionation process includes the detachment of a single bubble from a pore or capillary tip and its rising in a respective aqueous solution. The third and final stage of the process is the formation and stabilization of the foam created by these bubbles, which contains the adsorption layers formed at the growing bubble surface, carried up and gets modified during the bubble rising and finally ends up as part of the foam layer. Bubble pressure tensiometry and bubble profile analysis tensiometry experiments were performed with protein solutions at different bulk concentrations, solution pH and ionic strength in order to describe the process of accumulation of protein and surfactant molecules at the bubble surface. The results obtained from the two complementary methods allow understanding the mechanism of adsorption, which is mainly governed by the diffusional transport of the adsorbing protein molecules to the bubble surface. This mechanism is the same as generally discussed for surfactant molecules. However, interesting peculiarities have been observed for protein adsorption kinetics at sufficiently short adsorption times. First of all, at short adsorption times the surface tension remains constant for a while before it decreases as expected due to the adsorption of proteins at the surface. This time interval is called induction time and it becomes shorter with increasing protein bulk concentration. Moreover, under special conditions, the surface tension does not stay constant but even increases over a certain period of time. This so-called negative surface pressure was observed for BCS and BLG and discussed for the first time in terms of changes in the surface conformation of the adsorbing protein molecules. Usually, a negative surface pressure would correspond to a negative adsorption, which is of course impossible for the studied protein solutions. The phenomenon, which amounts to some mN/m, was rather explained by simultaneous changes in the molar area required by the adsorbed proteins and the non-ideality of entropy of the interfacial layer. It is a transient phenomenon and exists only under dynamic conditions. The experiments dedicated to the local velocity of rising air bubbles in solutions were performed in a broad range of BLG concentration, pH and ionic strength. Additionally, rising bubble experiments were done for surfactant solutions in order to validate the functionality of the instrument. It turns out that the velocity of a rising bubble is much more sensitive to adsorbing molecules than classical dynamic surface tension measurements. At very low BLG or surfactant concentrations, for example, the measured local velocity profile of an air bubble is changing dramatically in time scales of seconds while dynamic surface tensions still do not show any measurable changes at this time scale. The solution's pH and ionic strength are important parameters that govern the measured rising velocity for protein solutions. A general theoretical description of rising bubbles in surfactant and protein solutions is not available at present due to the complex situation of the adsorption process at a bubble surface in a liquid flow field with simultaneous Marangoni effects. However, instead of modelling the complete velocity profile, new theoretical work has been started to evaluate the maximum values in the profile as characteristic parameter for dynamic adsorption layers at the bubble surface more quantitatively. The studies with protein-surfactant mixtures demonstrate in an impressive way that the complexes formed by the two compounds change the surface activity as compared to the original native protein molecules and therefore lead to a completely different retardation behavior of rising bubbles. Changes in the velocity profile can be interpreted qualitatively in terms of increased or decreased surface activity of the formed protein-surfactant complexes. It was also observed that the pH and ionic strength of a protein solution have strong effects on the surface activity of the protein molecules, which however, could be different on the rising bubble velocity and the equilibrium adsorption isotherms. These differences are not fully understood yet but give rise to discussions about the structure of protein adsorption layer under dynamic conditions or in the equilibrium state. The third main stage of the discussed process of fractionation is the formation and characterization of protein foams from BLG solutions at different pH and ionic strength. Of course a minimum BLG concentration is required to form foams. This minimum protein concentration is a function again of solution pH and ionic strength, i.e. of the surface activity of the protein molecules. Although at the isoelectric point, at about pH 5 for BLG, the hydrophobicity and hence the surface activity should be the highest, the concentration and ionic strength effects on the rising velocity profile as well as on the foamability and foam stability do not show a maximum. This is another remarkable argument for the fact that the interfacial structure and behavior of BLG layers under dynamic conditions and at equilibrium are rather different. These differences are probably caused by the time required for BLG molecules to adapt respective conformations once they are adsorbed at the surface. All bubble studies described in this work refer to stages of the foam fractionation process. Experiments with different systems, mainly surfactant and protein solutions, were performed in order to form foams and finally recover a solution representing the foamed material. As foam consists to a large extent of foam lamella - two adsorption layers with a liquid core - the concentration in a foamate taken from foaming experiments should be enriched in the stabilizing molecules. For determining the concentration of the foamate, again the very sensitive bubble rising velocity profile method was applied, which works for any type of surface active materials. This also includes technical surfactants or protein isolates for which an accurate composition is unknown.}, language = {en} } @misc{WangHuangSachseetal.2016, author = {Wang, Xinxin and Huang, Xianyu and Sachse, Dirk and Ding, Weihua and Xue, Jiantao}, title = {Molecular paleoclimate reconstructions over the last 9 ka from a peat sequence in South China}, series = {Postprints der Universit{\"a}t Potsdam : Mathematisch-Naturwissenschaftliche Reihe}, journal = {Postprints der Universit{\"a}t Potsdam : Mathematisch-Naturwissenschaftliche Reihe}, number = {543}, issn = {1866-8372}, doi = {10.25932/publishup-41160}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-411608}, pages = {15}, year = {2016}, abstract = {To achieve a better understanding of Holocene climate change in the monsoon regions of China, we investigated the molecular distributions and carbon and hydrogen isotope compositions delta C-13 and delta D values) of long-chain n-alkanes in a peat core from the Shiwangutian SWGT) peatland, south China over the last 9 ka. By comparisons with other climate records, we found that the delta C-13 values of the long-chain n-alkanes can be a proxy for humidity, while the dD values of the long-chain n-alkanes primarily recorded the moisture source dD signal during 9-1.8 ka BP and responded to the dry climate during 1.8-0.3 ka BP. Together with the average chain length ACL) and the carbon preference index CPI) data, the climate evolution over last 9 ka in the SWGT peatland can be divided into three stages. During the first stage 9-5 ka BP), the delta C-13 values were depleted and CPI and Paq values were low, while ACL values were high. They reveal a period of warm and wet climate, which is regarded as the Holocene optimum. The second stage 5-1.8 ka BP) witnessed a shift to relatively cool and dry climate, as indicated by the more positive delta C-13 values and lower ACL values. During the third stage 1.8-0.3 ka BP), the delta C-13, delta D, CPI and Paq values showed marked increase and ACL values varied greatly, implying an abrupt change to cold and dry conditions. This climate pattern corresponds to the broad decline in Asian monsoon intensity through the latter part of the Holocene. Our results do not support a later Holocene optimum in south China as suggested by previous studies.}, language = {en} } @misc{EckertMiedemaQuevedoetal.2016, author = {Eckert, Sebastian and Miedema, Piter and Quevedo, Wilson and O'Cinneide, B. and Fondell, Mattis and Beye, Martin and Pietzsch, Annette and Ross, Matthew R. and Khalil, Munira and F{\"o}hlisch, Alexander}, title = {Molecular structures and protonation state of 2-Mercaptopyridine in aqueous solution}, series = {Postprints der Universit{\"a}t Potsdam : Mathematisch-Naturwissenschaftliche Reihe}, journal = {Postprints der Universit{\"a}t Potsdam : Mathematisch-Naturwissenschaftliche Reihe}, number = {953}, issn = {1866-8372}, doi = {10.25932/publishup-43747}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-437473}, pages = {103 -- 106}, year = {2016}, abstract = {The speciation of 2-Mercaptopyridine in aqueous solution has been investigated with nitrogen 1s Near Edge X-ray Absorption Fine Structure spectroscopy and time dependent Density Functional Theory. The prevalence of distinct species as a function of the solvent basicity is established. No indications of dimerization towards high concentrations are found. The determination of different molecular structures of 2-Mercaptopyridine in aqueous solution is put into the context of proton-transfer in keto-enol and thione-thiol tautomerisms. (C) 2016 The Authors. Published by Elsevier B.V.}, language = {en} } @misc{RajasundaramSelbig2016, author = {Rajasundaram, Dhivyaa and Selbig, Joachim}, title = {More effort — more results}, series = {Postprints der Universit{\"a}t Potsdam : Mathematisch-Naturwissenschaftliche Reihe}, journal = {Postprints der Universit{\"a}t Potsdam : Mathematisch-Naturwissenschaftliche Reihe}, number = {923}, issn = {1866-8372}, doi = {10.25932/publishup-44263}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-442639}, pages = {57 -- 61}, year = {2016}, abstract = {The development of 'omics' technologies has progressed to address complex biological questions that underlie various plant functions thereby producing copious amounts of data. The need to assimilate large amounts of data into biologically meaningful interpretations has necessitated the development of statistical methods to integrate multidimensional information. Throughout this review, we provide examples of recent outcomes of 'omics' data integration together with an overview of available statistical methods and tools.}, language = {en} } @phdthesis{Engel2016, author = {Engel, Tilman}, title = {Motor control strategies in response to unexpected disturbances of dynamic postural control in people with and without low back pain}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-400742}, school = {Universit{\"a}t Potsdam}, pages = {110}, year = {2016}, abstract = {Background: Low back pain (LBP) is one of the world wide leading causes of limited activity and disability. Impaired motor control has been found to be one of the possible factors related to the development or persistence of LBP. In particularly, motor control strategies seemed to be altered in situations requiring reactive responses of the trunk counteracting sudden external forces. However, muscular responses were mostly assessed in (quasi) static testing situations under simplified laboratory conditions. Comprehensive investigations in motor control strategies during dynamic everyday situations are lacking. The present research project aimed to investigate muscular compensation strategies following unexpected gait perturbations in people with and without LBP. A novel treadmill stumbling protocol was tested for its validity and reliability to provoke muscular reflex responses at the trunk and the lower extremities (study 1). Thereafter, motor control strategies in response to sudden perturbations were compared between people with LBP and asymptomatic controls (CTRL) (study 2). In accordance with more recent concepts of motor adaptation to pain, it was hypothesized that pain may have profound consequences on motor control strategies in LBP. Therefore, it was investigated whether differences in compensation strategies were either consisting of changes local to the painful area at the trunk, or also being present in remote areas such as at the lower extremities. Methods: All investigations were performed on a custom build split-belt treadmill simulating trip-like events by unexpected rapid deceleration impulses (amplitude: 2 m/s; duration: 100 ms; 200 ms after heel contact) at 1m/s baseline velocity. A total number of 5 (study 1) and 15 (study 2) right sided perturbations were applied during walking trials. Muscular activities were assessed by surface electromyography (EMG), recorded at 12 trunk muscles and 10 (study 1) respectively 5 (study 2) leg muscles. EMG latencies of muscle onset [ms] were retrieved by a semi-automatic detection method. EMG amplitudes (root mean square (RMS)) were assessed within 200 ms post perturbation, normalized to full strides prior to any perturbation [RMS\%]. Latency and amplitude investigations were performed for each muscle individually, as well as for pooled data of muscles grouped by location. Characteristic pain intensity scores (CPIS; 0-100 points, von Korff) based on mean intensity ratings reported for current, worst and average pain over the last three months were used to allocate participants into LBP (≥30 points) or CTRL (≤10 points). Test-retest reproducibility between measurements was determined by a compilation of measures of reliability. Differences in muscular activities between LBP and CTRL were analysed descriptively for individual muscles; differences based on grouped muscles were statistically tested by using a multivariate analysis of variance (MANOVA, α =0.05). Results: Thirteen individuals were included into the analysis of study 1. EMG latencies revealed reflex muscle activities following the perturbation (mean: 89 ms). Respective EMG amplitudes were on average 5-fold of those assessed in unperturbed strides, though being characterized by a high inter-subject variability. Test-retest reliability of muscle latencies showed a high reproducibility, both for muscles at the trunk and legs. In contrast, reproducibility of amplitudes was only weak to moderate for individual muscles, but increased when being assessed as a location specific outcome summary of grouped muscles. Seventy-six individuals were eligible for data analysis in study 2. Group allocation according to CPIS resulted in n=25 for LBP and n=29 for CTRL. Descriptive analysis of activity onsets revealed longer delays for all muscles within LBP compared to CTRL (trunk muscles: mean 10 ms; leg muscles: mean 3 ms). Onset latencies of grouped muscles revealed statistically significant differences between LBP and CTRL for right (p=0.009) and left (p=0.007) abdominal muscle groups. EMG amplitude analysis showed a high variability in activation levels between individuals, independent of group assignment or location. Statistical testing of grouped muscles indicated no significant difference in amplitudes between LBP and CTRL. Discussion: The present research project could show that perturbed treadmill walking is suitable to provoke comprehensive reflex responses at the trunk and lower extremities, both in terms of sudden onsets and amplitudes of reflex activity. Moreover, it could demonstrate that sudden loadings under dynamic conditions provoke an altered reflex timing of muscles surrounding the trunk in people with LBP compared to CTRL. In line with previous investigations, compensation strategies seemed to be deployed in a task specific manner, with differences between LBP and CTRL being evident predominately at ventral sides. No muscular alterations exceeding the trunk could be found when being assessed under the automated task of locomotion. While rehabilitation programs tailored towards LBP are still under debate, it is tempting to urge the implementation of dynamic sudden loading incidents of the trunk to enhance motor control and thereby to improve spinal protection. Moreover, in respect to the consistently observed task specificity of muscular compensation strategies, such a rehabilitation program should be rich in variety.}, language = {en} } @misc{LiuSchadKuschpeletal.2016, author = {Liu, Shuyan and Schad, Daniel and Kuschpel, Maxim S. and Rapp, Michael A. and Heinz, Andreas}, title = {Music and Video Gaming during Breaks}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-90700}, pages = {1 -- 12}, year = {2016}, abstract = {Different systems for habitual versus goal-directed control are thought to underlie human decision-making. Working memory is known to shape these decision-making systems and their interplay, and is known to support goal-directed decision making even under stress. Here, we investigated if and how decision systems are differentially influenced by breaks filled with diverse everyday life activities known to modulate working memory performance. We used a within-subject design where young adults listened to music and played a video game during breaks interleaved with trials of a sequential two-step Markov decision task, designed to assess habitual as well as goal-directed decision making. Based on a neurocomputational model of task performance, we observed that for individuals with a rather limited working memory capacity video gaming as compared to music reduced reliance on the goal-directed decision-making system, while a rather large working memory capacity prevented such a decline. Our findings suggest differential effects of everyday activities on key decision-making processes.}, language = {en} } @misc{BondueScheithauer2016, author = {Bond{\"u}, Rebecca and Scheithauer, Herbert}, title = {Narcissistic symptoms in German school shooters}, series = {Postprints der Universit{\"a}t Potsdam : Humanwissenschaftliche Reihe}, journal = {Postprints der Universit{\"a}t Potsdam : Humanwissenschaftliche Reihe}, number = {392}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-404452}, pages = {16}, year = {2016}, abstract = {School shooters are often described as narcissistic, but empirical evidence is scant. To provide more reliable and detailed information, we conducted an exploratory study, analyzing police investigation files on seven school shootings in Germany, looking for symptoms of narcissistic personality disorder as defined by the Diagnostic and Statistical Manual of Mental Disorders (4th ed.; DSM-IV) in witnesses' and offenders' reports and expert psychological evaluations. Three out of four offenders who had been treated for mental disorders prior to the offenses displayed detached symptoms of narcissism, but none was diagnosed with narcissistic personality disorder. Of the other three, two displayed narcissistic traits. In one case, the number of symptoms would have justified a diagnosis of narcissistic personality disorder. Offenders showed low and high self-esteem and a range of other mental disorders. Thus, narcissism is not a common characteristic of school shooters, but possibly more frequent than in the general population. This should be considered in developing adequate preventive and intervention measures.}, language = {en} } @misc{WippertFliesser2016, author = {Wippert, Pia-Maria and Fliesser, Michael}, title = {National doping prevention guidelines : Intent, efficacy and lessons learned}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-100406}, pages = {7}, year = {2016}, abstract = {Background Doping presents a potential health risk for young athletes. Prevention programs are intended to prevent doping by educating athletes about banned substances. However, such programs have their limitations in practice. This led Germany to introduce the National Doping Prevention Plan (NDPP), in hopes of ameliorating the situation among young elite athletes. Two studies examined 1) the degree to which the NDPP led to improved prevention efforts in elite sport schools, and 2) the extent to which newly developed prevention activities of the national anti-doping agency (NADA) based on the NDPP have improved knowledge among young athletes within elite sports schools. Methods The first objective was investigated in a longitudinal study (Study I: t0 = baseline, t1 = follow-up 4 years after NDPP introduction) with N = 22 teachers engaged in doping prevention in elite sports schools. The second objective was evaluated in a cross-sectional comparison study (Study II) in N = 213 elite sports school students (54.5 \% male, 45.5 \% female, age M = 16.7 ± 1.3 years (all students had received the improved NDDP measure in school; one student group had received additionally NADA anti-doping activities and a control group did not). Descriptive statistics were calculated, followed by McNemar tests, Wilcoxon tests and Analysis of Covariance (ANCOVA). Results Results indicate that 4 years after the introduction of the NDPP there have been limited structural changes with regard to the frequency, type, and scope of doping prevention in elite sport schools. On the other hand, in study II, elite sport school students who received further NADA anti-doping activities performed better on an anti-doping knowledge test than students who did not take part (F(1, 207) = 33.99, p <0.001), although this difference was small. Conclusion The integration of doping-prevention in elite sport schools as part of the NDPP was only partially successful. The results of the evaluation indicate that the introduction of the NDPP has contributed more to a change in the content of doping prevention activities than to a structural transformation in anti-doping education in elite sport schools. Moreover, while students who did receive additional education in the form of the NDPP"booster sessions" had significantly more knowledge about doping than students who did not receive such education, this difference was only small and may not translate to actual behavior.}, language = {en} } @article{Matijević2016, author = {Matijević, Tijana}, title = {National, post-national, transnational}, series = {Grenzr{\"a}ume - Grenzbewegungen : Ergebnisse der Arbeitstreffen des Jungen Forums Slavistische Literaturwissenschaft in Basel 2013 und Frankfurt (Oder) und Słubice 2014 ; Bd. 1}, volume = {1}, journal = {Grenzr{\"a}ume - Grenzbewegungen : Ergebnisse der Arbeitstreffen des Jungen Forums Slavistische Literaturwissenschaft in Basel 2013 und Frankfurt (Oder) und Słubice 2014 ; Bd. 1}, publisher = {Universit{\"a}tsverlag Potsdam}, address = {Potsdam}, isbn = {978-3-86956-358-9}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-92573}, pages = {101 -- 112}, year = {2016}, language = {en} } @phdthesis{Georgieva2016, author = {Georgieva, Viktoria}, title = {Neotectonics \& Cooling History of the Southern Patagonian Andes}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-104185}, school = {Universit{\"a}t Potsdam}, pages = {xviii, 200 Seiten}, year = {2016}, abstract = {The collision of bathymetric anomalies, such as oceanic spreading centers, at convergent plate margins can profoundly affect subduction dynamics, magmatism, and the structural and geomorphic evolution of the overriding plate. The Southern Patagonian Andes of South America are a prime example for sustained oceanic ridge collision and the successive formation and widening of an extensive asthenospheric slab window since the Middle Miocene. Several of the predicted upper-plate geologic manifestations of such deep-seated geodynamic processes have been studied in this region, but many topics remain highly debated. One of the main controversial topics is the interpretation of the regional low-temperature thermochronology exhumational record and its relationship with tectonic and/or climate-driven processes, ultimately manifested and recorded in the landscape evolution of the Patagonian Andes. The prominent along-strike variance in the topographic characteristics of the Andes, combined with coupled trends in low-temperature thermochronometer cooling ages have been interpreted in very contrasting ways, considering either purely climatic (i.e. glacial erosion) or geodynamic (slab-window related) controlling factors. This thesis focuses on two main aspects of these controversial topics. First, based on field observations and bedrock low-temperature thermochronology data, the thesis addresses an existing research gap with respect to the neotectonic activity of the upper plate in response to ridge collision - a mechanism that has been shown to affect the upper plate topography and exhumational patterns in similar tectonic settings. Secondly, the qualitative interpretation of my new and existing thermochronological data from this region is extended by inverse thermal modelling to define thermal histories recorded in the data and evaluate the relative importance of surface vs. geodynamic factors and their possible relationship with the regional cooling record. My research is centered on the Northern Patagonian Icefield (NPI) region of the Southern Patagonian Andes. This site is located inboard of the present-day location of the Chile Triple Junction - the juncture between the colliding Chile Rise spreading center and the Nazca and Antarctic Plates along the South American convergent margin. As such this study area represents the region of most recent oceanic-ridge collision and associated slab window formation. Importantly, this location also coincides with the abrupt rise in summit elevations and relief characteristics in the Southern Patagonian Andes. Field observations, based on geological, structural and geomorphic mapping, are combined with bedrock apatite (U-Th)/He and apatite fission track (AHe and AFT) cooling ages sampled along elevation transects across the orogen. This new data reveals the existence of hitherto unrecognized neotectonic deformation along the flanks of the range capped by the NPI. This deformation is associated with the closely spaced oblique collision of successive oceanic-ridge segments in this region over the past 6 Ma. I interpret that this has caused a crustal-scale partitioning of deformation and the decoupling, margin-parallel migration, and localized uplift of a large crustal sliver (the NPI block) along the subduction margin. The location of this uplift coincides with a major increase of summit elevations and relief at the northern edge of the NPI massif. This mechanism is compatible with possible extensional processes along the topographically subdued trailing edge of the NPI block as documented by very recent and possibly still active normal faulting. Taken together, these findings suggest a major structural control on short-wavelength variations in topography in the Southern Patagonian Andes - the region affected by ridge collision and slab window formation. The second research topic addressed here focuses on using my new and existing bedrock low-temperature cooling ages in forward and inverse thermal modeling. The data was implemented in the HeFTy and QTQt modeling platforms to constrain the late Cenozoic thermal history of the Southern Patagonian Andes in the region of the most recent upper-plate sectors of ridge collision. The data set combines AHe and AFT data from three elevation transects in the region of the Northern Patagonian Icefield. Previous similar studies claimed far-reaching thermal effects of the approaching ridge collision and slab window to affect patterns of Late Miocene reheating in the modelled thermal histories. In contrast, my results show that the currently available data can be explained with a simpler thermal history than previously proposed. Accordingly, a reheating event is not needed to reproduce the observations. Instead, the analyzed ensemble of modelled thermal histories defines a Late Miocene protracted cooling and Pliocene-to-recent stepwise exhumation. These findings agree with the geological record of this region. Specifically, this record indicates an Early Miocene phase of active mountain building associated with surface uplift and an active fold-and-thrust belt, followed by a period of stagnating deformation, peneplanation, and lack of synorogenic deposition in the Patagonian foreland. The subsequent period of stepwise exhumation likely resulted from a combination of pulsed glacial erosion and coeval neotectonic activity. The differences between the present and previously published interpretation of the cooling record can be reconciled with important inconsistencies of previously used model setup. These include mainly the insufficient convergence of the models and improper assumptions regarding the geothermal conditions in the region. This analysis puts a methodological emphasis on the prime importance of the model setup and the need for its thorough examination to evaluate the robustness of the final outcome.}, language = {en} } @misc{BeurskensSteinbergAntoniewiczetal.2016, author = {Beurskens, Rainer and Steinberg, Fabian and Antoniewicz, Franziska and Wolff, Wanja and Granacher, Urs}, title = {Neural Correlates of Dual-Task Walking}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-90742}, pages = {1 -- 9}, year = {2016}, abstract = {Walking while concurrently performing cognitive and/or motor interference tasks is the norm rather than the exception during everyday life and there is evidence from behavioral studies that it negatively affects human locomotion. However, there is hardly any information available regarding the underlying neural correlates of single- and dual-task walking. We had 12 young adults (23.8 ± 2.8 years) walk while concurrently performing a cognitive interference (CI) or a motor interference (MI) task. Simultaneously, neural activation in frontal, central, and parietal brain areas was registered using a mobile EEG system. Results showed that the MI task but not the CI task affected walking performance in terms of significantly decreased gait velocity and stride length and significantly increased stride time and tempo-spatial variability. Average activity in alpha and beta frequencies was significantly modulated during both CI and MI walking conditions in frontal and central brain regions, indicating an increased cognitive load during dual-task walking. Our results suggest that impaired motor performance during dual-task walking is mirrored in neural activation patterns of the brain. This finding is in line with established cognitive theories arguing that dual-task situations overstrain cognitive capabilities resulting in motor performance decrements.}, language = {en} } @phdthesis{Harding2016, author = {Harding, Eleanor Elizabeth}, title = {Neurocognitive entrainment to meter influences syntactic comprehension in music and language}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-102258}, school = {Universit{\"a}t Potsdam}, pages = {vi, 318}, year = {2016}, abstract = {Meter and syntax have overlapping elements in music and speech domains, and individual differences have been documented in both meter perception and syntactic comprehension paradigms. Previous evidence insinuated but never fully explored the relationship that metrical structure has to syntactic comprehension, the comparability of these processes across music and language domains, and the respective role of individual differences. This dissertation aimed to investigate neurocognitive entrainment to meter in music and language, the impact that neurocognitive entrainment had on syntactic comprehension, and whether individual differences in musical expertise, temporal perception and working memory played a role during these processes. A theoretical framework was developed, which linked neural entrainment, cognitive entrainment, and syntactic comprehension while detailing previously documented effects of individual differences on meter perception and syntactic comprehension. The framework was developed in both music and language domains and was tested using behavioral and EEG methods across three studies (seven experiments). In order to satisfy empirical evaluation of neurocognitive entrainment and syntactic aspects of the framework, original melodies and sentences were composed. Each item had four permutations: regular and irregular metricality, based on the hierarchical organization of strong and weak notes and syllables, and preferred and non-preferred syntax, based on structurally alternate endings. The framework predicted — for both music and language domains — greater neurocognitive entrainment in regular compared to irregular metricality conditions, and accordingly, better syntactic integration in regular compared to irregular metricality conditions. Individual differences among participants were expected for both entrainment and syntactic processes. Altogether, the dissertation was able to support a holistic account of neurocognitive entrainment to musical meter and its subsequent influence on syntactic integration of melodies, with musician participants. The theoretical predictions were not upheld in the language domain with musician participants, but initial behavioral evidence in combination with previous EEG evidence suggest that perhaps non-musician language EEG data would support the framework's predictions. Musicians' deviation from hypothesized results in the language domain were suspected to reflect heightened perception of acoustic features stemming from musical training, which caused current 'overly' regular stimuli to distract the cognitive system. The individual-differences approach was vindicated by the surfacing of two factors scores, Verbal Working Memory and Time and Pitch Discrimination, which in turn correlated with multiple experimental data across the three studies.}, language = {en} } @phdthesis{MartinezValdes2016, author = {Mart{\´i}nez Vald{\´e}s, Eduardo Andr{\´e}s}, title = {Neuromuscular adaptations of either endurance or high-intensity interval training}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-396383}, school = {Universit{\"a}t Potsdam}, pages = {VII, 140, XII}, year = {2016}, abstract = {During the last decade, high intensity interval training (HIIT) has been used as an alternative to endurance (END) exercise, since it requires less time to produce similar physiological adaptations. Previous literature has focused on HIIT changes in aerobic metabolism and cardiorespiratory fitness, however, there are currently no studies focusing on its neuromuscular adaptations. Therefore, this thesis aimed to compare the neuromuscular adaptations of both HIIT and END after a two-week training intervention, by using a novel technology called high-density surface electromyography (HDEMG) motor unit decomposition. This project consisted in two experiments, where healthy young men were recruited (aged between 18 to 35 years). In experiment one, the reliability of HDEMG motor unit variables (mean discharge rate, peak-to-peak amplitude, conduction velocity and discharge rate variability) was tested (Study 1), a new method to track the same motor units longitudinally was proposed (Study 2), and the level of low (<5Hz) and high (>5Hz) frequency motor unit coherence between vastus medialis (VM) and lateralis (VL) knee extensor muscles was measured (Study 4). In experiment two, a two-week HIIT and END intervention was conducted where cardiorespiratory fitness parameters (e.g. peak oxygen uptake) and motor unit variables from the VM and VL muscles were assessed pre and post intervention (Study 3). The results showed that HDEMG is reliable to monitor changes in motor unit activity and also allows the tracking of the same motor units across different testing sessions. As expected, both HIIT and END improved cardiorespiratory fitness parameters similarly. However, the neuromuscular adaptations of both types of training differed after the intervention, with HIIT showing a significant increase in knee extensor muscle strength that was accompanied by increased VM and VL motor unit discharge rates and HDEMG amplitude at the highest force levels [(50 and 70\% of the maximum voluntary contraction force (MVC)], while END training induced a marked increase in time to task failure at lower force levels (30\% MVC), without any influence on HDEMG amplitude and discharge rates. Additionally, the results showed that VM and VL muscles share most of their synaptic input since they present a large amount of low and high frequency motor unit coherence, which can explain the findings of the training intervention where both muscles showed similar changes in HDEMG amplitude and discharge rates. Taken together, the findings of the current thesis show that despite similar improvements in cardiopulmonary fitness, HIIT and END induced opposite adjustments in motor unit behavior. These results suggest that HIIT and END show specific neuromuscular adaptations, possibly related to their differences in exercise load intensity and training volume.}, language = {en} } @phdthesis{Couturier2016, author = {Couturier, Jean-Philippe}, title = {New inverse opal hydrogels as platform for detecting macromolecules}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-98412}, school = {Universit{\"a}t Potsdam}, pages = {xiii, 132, XXXVIII}, year = {2016}, abstract = {In this thesis, a route to temperature-, pH-, solvent-, 1,2-diol-, and protein-responsive sensors made of biocompatible and low-fouling materials is established. These sensor devices are based on the sensitivemodulation of the visual band gap of a photonic crystal (PhC), which is induced by the selective binding of analytes, triggering a volume phase transition. The PhCs introduced by this work show a high sensitivity not only for small biomolecules, but also for large analytes, such as glycopolymers or proteins. This enables the PhC to act as a sensor that detects analytes without the need of complex equipment. Due to their periodical dielectric structure, PhCs prevent the propagation of specific wavelengths. A change of the periodicity parameters is thus indicated by a change in the reflected wavelengths. In the case explored, the PhC sensors are implemented as periodically structured responsive hydrogels in formof an inverse opal. The stimuli-sensitive inverse opal hydrogels (IOHs) were prepared using a sacrificial opal template of monodispersed silica particles. First, monodisperse silica particles were assembled with a hexagonally packed structure via vertical deposition onto glass slides. The obtained silica crystals, also named colloidal crystals (CCs), exhibit structural color. Subsequently, the CCs templates were embedded in polymer matrix with low-fouling properties. The polymer matrices were composed of oligo(ethylene glycol) methacrylate derivatives (OEGMAs) that render the hydrogels thermoresponsive. Finally, the silica particles were etched, to produce highly porous hydrogel replicas of the CC. Importantly, the inner structure and thus the ability for light diffraction of the IOHs formed was maintained. The IOH membrane was shown to have interconnected pores with a diameter as well as interconnections between the pores of several hundred nanometers. This enables not only the detection of small analytes, but also, the detection of even large analytes that can diffuse into the nanostructured IOH membrane. Various recognition unit - analyte model systems, such as benzoboroxole - 1,2-diols, biotin - avidin and mannose - concanavalin A, were studied by incorporating functional comonomers of benzoboroxole, biotin and mannose into the copolymers. The incorporated recognition units specifically bind to certain low and highmolar mass biomolecules, namely to certain saccharides, catechols, glycopolymers or proteins. Their specific binding strongly changes the overall hydrophilicity, thus modulating the swelling of the IOH matrices, and in consequence, drastically changes their internal periodicity. This swelling is amplified by the thermoresponsive properties of the polymer matrix. The shift of the interference band gap due to the specific molecular recognition is easily visible by the naked eye (up to 150 nm shifts). Moreover, preliminary trial were attempted to detect even larger entities. Therefore anti-bodies were immobilized on hydrogel platforms via polymer-analogous esterification. These platforms incorporate comonomers made of tri(ethylene glycol) methacrylate end-functionalized with a carboxylic acid. In these model systems, the bacteria analytes are too big to penetrate into the IOH membranes, but can only interact with their surfaces. The selected model bacteria, as Escherichia coli, show a specific affinity to anti-body-functionalized hydrogels. Surprisingly in the case functionalized IOHs, this study produced weak color shifts, possibly opening a path to detect directly living organism, which will need further investigations.}, language = {en} } @phdthesis{Halecker2016, author = {Halecker, Bastian}, title = {New perspective and insights on business model innovation using systems thinking and action case studies}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-90404}, school = {Universit{\"a}t Potsdam}, pages = {IX, 239}, year = {2016}, abstract = {In recent years, entire industries and their participants have been affected by disruptive technologies, resulting in dramatic market changes and challenges to firm's business logic and thus their business models (BMs). Firms from mature industries are increasingly realizing that BMs that worked successfully for years have become insufficient to stay on track in today's "move fast and break things" economy. Firms must scrutinize the core logic that informs how they do business, which means exploring novel ways to engage customers and get them to pay. This can lead to a complete renewal of existing BMs or innovating completely new BMs. BMs have emerged as a popular object of research within the last decade. Despite the popularity of the BM, the theoretical and empirical foundation underlying the concept is still weak. In particular, the innovation process for BMs has been developed and implemented in firms, but understanding of the mechanisms behind it is still lacking. Business model innovation (BMI) is a complex and challenging management task that requires more than just novel ideas. Systematic studies to generate a better understanding of BMI and support incumbents with appropriate concepts to improve BMI development are in short supply. Further, there is a lack of knowledge about appropriate research practices for studying BMI and generating valid data sets in order to meet expectations in both practice and academia. This paper-based dissertation aims to contribute to research practice in the field of BM and BMI and foster better understanding of the BM concept and BMI processes in incumbent firms from mature industries. The overall dissertation presents three main results. The first result is a new perspective, or the systems thinking view, on the BM and BMI. With the systems thinking view, the fuzzy BM concept is clearly structured and a BMI framework is proposed. The second result is a new research strategy for studying BMI. After analyzing current research practice in the areas of BMs and BMI, it is obvious that there is a need for better research on BMs and BMI in terms of accuracy, transparency, and practical orientation. Thus, the action case study approach combined with abductive methodology is proposed and proven in the research setting of this thesis. The third result stems from three action case studies in incumbent firms from mature industries employed to study how BMI occurs in practice. The new insights and knowledge gained from the action case studies help to explain BMI in such industries and increase understanding of the core of these processes. By studying these issues, the articles complied in this thesis contribute conceptually and empirically to the recently consolidated but still increasing literature on the BM and BMI. The conclusions and implications made are intended to foster further research and improve managerial practices for achieving BMI in a dramatically changing business environment.}, language = {en} } @phdthesis{Vacogne2016, author = {Vacogne, Charlotte D.}, title = {New synthetic routes towards well-defined polypeptides, morphologies and hydrogels}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-396366}, school = {Universit{\"a}t Potsdam}, pages = {xii, 175}, year = {2016}, abstract = {Proteins are natural polypeptides produced by cells; they can be found in both animals and plants, and possess a variety of functions. One of these functions is to provide structural support to the surrounding cells and tissues. For example, collagen (which is found in skin, cartilage, tendons and bones) and keratin (which is found in hair and nails) are structural proteins. When a tissue is damaged, however, the supporting matrix formed by structural proteins cannot always spontaneously regenerate. Tailor-made synthetic polypeptides can be used to help heal and restore tissue formation. Synthetic polypeptides are typically synthesized by the so-called ring opening polymerization (ROP) of α-amino acid N-carboxyanhydrides (NCA). Such synthetic polypeptides are generally non-sequence-controlled and thus less complex than proteins. As such, synthetic polypeptides are rarely as efficient as proteins in their ability to self-assemble and form hierarchical or structural supramolecular assemblies in water, and thus, often require rational designing. In this doctoral work, two types of amino acids, γ-benzyl-L/D-glutamate (BLG / BDG) and allylglycine (AG), were selected to synthesize a series of (co)polypeptides of different compositions and molar masses. A new and versatile synthetic route to prepare polypeptides was developed, and its mechanism and kinetics were investigated. The polypeptide properties were thoroughly studied and new materials were developed from them. In particular, these polypeptides were able to aggregate (or self-assemble) in solution into microscopic fibres, very similar to those formed by collagen. By doing so, they formed robust physical networks and organogels which could be processed into high water-content, pH-responsive hydrogels. Particles with highly regular and chiral spiral morphologies were also obtained by emulsifying these polypeptides. Such polypeptides and the materials derived from them are, therefore, promising candidates for biomedical applications.}, language = {en} } @misc{MyachykovEllisCangelosietal.2016, author = {Myachykov, Andriy and Ellis, Rob and Cangelosi, Angelo and Fischer, Martin H.}, title = {Ocular drift along the mental number line}, series = {Postprints der Universit{\"a}t Potsdam Humanwissenschaftliche Reihe}, journal = {Postprints der Universit{\"a}t Potsdam Humanwissenschaftliche Reihe}, number = {553}, issn = {1866-8364}, doi = {10.25932/publishup-43048}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-430483}, pages = {379 -- 388}, year = {2016}, abstract = {We examined the spontaneous association between numbers and space by documenting attention deployment and the time course of associated spatial-numerical mapping with and without overt oculomotor responses. In Experiment 1, participants maintained central fixation while listening to number names. In Experiment 2, they made horizontal target-direct saccades following auditory number presentation. In both experiments, we continuously measured spontaneous ocular drift in horizontal space during and after number presentation. Experiment 2 also measured visual-probe-directed saccades following number presentation. Reliable ocular drift congruent with a horizontal mental number line emerged during and after number presentation in both experiments. Our results provide new evidence for the implicit and automatic nature of the oculomotor resonance effect associated with the horizontal spatial-numerical mapping mechanism.}, language = {en} } @phdthesis{Mazzonetto2016, author = {Mazzonetto, Sara}, title = {On the exact simulation of (skew) Brownian diffusions with discontinuous drift}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-102399}, school = {Universit{\"a}t Potsdam}, pages = {ii, 100}, year = {2016}, abstract = {This thesis is focused on the study and the exact simulation of two classes of real-valued Brownian diffusions: multi-skew Brownian motions with constant drift and Brownian diffusions whose drift admits a finite number of jumps. The skew Brownian motion was introduced in the sixties by It{\^o} and McKean, who constructed it from the reflected Brownian motion, flipping its excursions from the origin with a given probability. Such a process behaves as the original one except at the point 0, which plays the role of a semipermeable barrier. More generally, a skew diffusion with several semipermeable barriers, called multi-skew diffusion, is a diffusion everywhere except when it reaches one of the barriers, where it is partially reflected with a probability depending on that particular barrier. Clearly, a multi-skew diffusion can be characterized either as solution of a stochastic differential equation involving weighted local times (these terms providing the semi-permeability) or by its infinitesimal generator as Markov process. In this thesis we first obtain a contour integral representation for the transition semigroup of the multiskew Brownian motion with constant drift, based on a fine analysis of its complex properties. Thanks to this representation we write explicitly the transition densities of the two-skew Brownian motion with constant drift as an infinite series involving, in particular, Gaussian functions and their tails. Then we propose a new useful application of a generalization of the known rejection sampling method. Recall that this basic algorithm allows to sample from a density as soon as one finds an - easy to sample - instrumental density verifying that the ratio between the goal and the instrumental densities is a bounded function. The generalized rejection sampling method allows to sample exactly from densities for which indeed only an approximation is known. The originality of the algorithm lies in the fact that one finally samples directly from the law without any approximation, except the machine's. As an application, we sample from the transition density of the two-skew Brownian motion with or without constant drift. The instrumental density is the transition density of the Brownian motion with constant drift, and we provide an useful uniform bound for the ratio of the densities. We also present numerical simulations to study the efficiency of the algorithm. The second aim of this thesis is to develop an exact simulation algorithm for a Brownian diffusion whose drift admits several jumps. In the literature, so far only the case of a continuous drift (resp. of a drift with one finite jump) was treated. The theoretical method we give allows to deal with any finite number of discontinuities. Then we focus on the case of two jumps, using the transition densities of the two-skew Brownian motion obtained before. Various examples are presented and the efficiency of our approach is discussed.}, language = {en} } @book{BeyhlBlouinGieseetal.2016, author = {Beyhl, Thomas and Blouin, Dominique and Giese, Holger and Lambers, Leen}, title = {On the operationalization of graph queries with generalized discrimination networks}, number = {106}, publisher = {Universit{\"a}tsverlag Potsdam}, address = {Potsdam}, isbn = {978-3-86956-372-5}, issn = {1613-5652}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-96279}, publisher = {Universit{\"a}t Potsdam}, pages = {33}, year = {2016}, abstract = {Graph queries have lately gained increased interest due to application areas such as social networks, biological networks, or model queries. For the relational database case the relational algebra and generalized discrimination networks have been studied to find appropriate decompositions into subqueries and ordering of these subqueries for query evaluation or incremental updates of query results. For graph database queries however there is no formal underpinning yet that allows us to find such suitable operationalizations. Consequently, we suggest a simple operational concept for the decomposition of arbitrary complex queries into simpler subqueries and the ordering of these subqueries in form of generalized discrimination networks for graph queries inspired by the relational case. The approach employs graph transformation rules for the nodes of the network and thus we can employ the underlying theory. We further show that the proposed generalized discrimination networks have the same expressive power as nested graph conditions.}, language = {en} } @misc{Wickert2016, author = {Wickert, Andrew D.}, title = {Open-source modular solutions for flexural isostasy}, series = {Postprints der Universit{\"a}t Potsdam : Mathematisch-Naturwissenschaftliche Reihe}, journal = {Postprints der Universit{\"a}t Potsdam : Mathematisch-Naturwissenschaftliche Reihe}, number = {498}, issn = {1866-8372}, doi = {10.25932/publishup-40836}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-408366}, pages = {21}, year = {2016}, abstract = {Isostasy is one of the oldest and most widely applied concepts in the geosciences, but the geoscientific community lacks a coherent, easy-to-use tool to simulate flexure of a realistic (i.e., laterally heterogeneous) lithosphere under an arbitrary set of surface loads. Such a model is needed for studies of mountain building, sedimentary basin formation, glaciation, sea-level change, and other tectonic, geodynamic, and surface processes. Here I present gFlex (for GNU flexure), an open-source model that can produce analytical and finite difference solutions for lithospheric flexure in one (profile) and two (map view) dimensions. To simulate the flexural isostatic response to an imposed load, it can be used by itself or within GRASS GIS for better integration with field data. gFlex is also a component with the Community Surface Dynamics Modeling System (CSDMS) and Landlab modeling frameworks for coupling with a wide range of Earth-surface-related models, and can be coupled to additional models within Python scripts. As an example of this in-script coupling, I simulate the effects of spatially variable lithospheric thickness on a modeled Iceland ice cap. Finite difference solutions in gFlex can use any of five types of boundary conditions: 0-displacement, 0-slope (i.e., clamped); 0-slope, 0-shear; 0-moment, 0-shear (i.e., broken plate); mirror symmetry; and periodic. Typical calculations with gFlex require << 1 s to similar to 1 min on a personal laptop computer. These characteristics - multiple ways to run the model, multiple solution methods, multiple boundary conditions, and short compute time - make gFlex an effective tool for flexural isostatic modeling across the geosciences.}, language = {en} } @phdthesis{Lyu2016, author = {Lyu, Xiaojing}, title = {Operators on singular manifolds}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-103643}, school = {Universit{\"a}t Potsdam}, pages = {117}, year = {2016}, abstract = {We study the interplay between analysis on manifolds with singularities and complex analysis and develop new structures of operators based on the Mellin transform and tools for iterating the calculus for higher singularities. We refer to the idea of interpreting boundary value problems (BVPs) in terms of pseudo-differential operators with a principal symbolic hierarchy, taking into account that BVPs are a source of cone and edge operator algebras. The respective cone and edge pseudo-differential algebras in turn are the starting point of higher corner theories. In addition there are deep relationships between corner operators and complex analysis. This will be illustrated by the Mellin symbolic calculus.}, language = {en} } @unpublished{BlanchardMuecke2016, author = {Blanchard, Gilles and M{\"u}cke, Nicole}, title = {Optimal rates for regularization of statistical inverse learning problems}, volume = {5}, number = {5}, publisher = {Universit{\"a}tsverlag Potsdam}, address = {Potsdam}, issn = {2193-6943}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-89782}, pages = {36}, year = {2016}, abstract = {We consider a statistical inverse learning problem, where we observe the image of a function f through a linear operator A at i.i.d. random design points X_i, superposed with an additional noise. The distribution of the design points is unknown and can be very general. We analyze simultaneously the direct (estimation of Af) and the inverse (estimation of f) learning problems. In this general framework, we obtain strong and weak minimax optimal rates of convergence (as the number of observations n grows large) for a large class of spectral regularization methods over regularity classes defined through appropriate source conditions. This improves on or completes previous results obtained in related settings. The optimality of the obtained rates is shown not only in the exponent in n but also in the explicit dependence of the constant factor in the variance of the noise and the radius of the source condition set.}, language = {en} } @misc{EmbersonHoviusGalyetal.2016, author = {Emberson, Robert and Hovius, Niels and Galy, Albert and Marc, Odin}, title = {Oxidation of sulfides and rapid weathering in recent landslides}, series = {Postprints der Universit{\"a}t Potsdam : Mathematisch-Naturwissenschaftliche Reihe}, journal = {Postprints der Universit{\"a}t Potsdam : Mathematisch-Naturwissenschaftliche Reihe}, number = {553}, issn = {1866-8372}, doi = {10.25932/publishup-41232}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-412326}, pages = {16}, year = {2016}, abstract = {Linking together the processes of rapid physical erosion and the resultant chemical dissolution of rock is a crucial step in building an overall deterministic understanding of weathering in mountain belts. Landslides, which are the most volumetrically important geomorphic process at these high rates of erosion, can generate extremely high rates of very localised weathering. To elucidate how this process works we have taken advantage of uniquely intense landsliding, resulting from Typhoon Morakot, in the T'aimali River and surrounds in southern Taiwan. Combining detailed analysis of landslide seepage chemistry with estimates of catchment-by-catchment landslide volumes, we demonstrate that in this setting the primary role of landslides is to introduce fresh, highly labile mineral phases into the surface weathering environment. There, rapid weathering is driven by the oxidation of pyrite and the resultant sulfuric-acid-driven dissolution of primarily carbonate rock. The total dissolved load correlates well with dissolved sulfate - the chief product of this style of weathering - in both landslides and streams draining the area (R-2 = 0.841 and 0.929 respectively; p < 0.001 in both cases), with solute chemistry in seepage from landslides and catchments affected by significant landsliding governed by the same weathering reactions. The predominance of coupled carbonate-sulfuric-acid-driven weathering is the key difference between these sites and previously studied landslides in New Zealand (Emberson et al., 2016), but in both settings increasing volumes of landslides drive greater overall solute concentrations in streams. Bedrock landslides, by excavating deep below saprolite-rock interfaces, create conditions for weathering in which all mineral phases in a lithology are initially unweathered within landslide deposits. As a result, the most labile phases dominate the weathering immediately after mobilisation and during a transient period of depletion. This mode of dissolution can strongly alter the overall output of solutes from catchments and their contribution to global chemical cycles if landslide-derived material is retained in catchments for extended periods after mass wasting.}, language = {en} } @phdthesis{Ludewig2016, author = {Ludewig, Matthias}, title = {Path integrals on manifolds with boundary and their asymptotic expansions}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-94387}, school = {Universit{\"a}t Potsdam}, pages = {146}, year = {2016}, abstract = {It is "scientific folklore" coming from physical heuristics that solutions to the heat equation on a Riemannian manifold can be represented by a path integral. However, the problem with such path integrals is that they are notoriously ill-defined. One way to make them rigorous (which is often applied in physics) is finite-dimensional approximation, or time-slicing approximation: Given a fine partition of the time interval into small subintervals, one restricts the integration domain to paths that are geodesic on each subinterval of the partition. These finite-dimensional integrals are well-defined, and the (infinite-dimensional) path integral then is defined as the limit of these (suitably normalized) integrals, as the mesh of the partition tends to zero. In this thesis, we show that indeed, solutions to the heat equation on a general compact Riemannian manifold with boundary are given by such time-slicing path integrals. Here we consider the heat equation for general Laplace type operators, acting on sections of a vector bundle. We also obtain similar results for the heat kernel, although in this case, one has to restrict to metrics satisfying a certain smoothness condition at the boundary. One of the most important manipulations one would like to do with path integrals is taking their asymptotic expansions; in the case of the heat kernel, this is the short time asymptotic expansion. In order to use time-slicing approximation here, one needs the approximation to be uniform in the time parameter. We show that this is possible by giving strong error estimates. Finally, we apply these results to obtain short time asymptotic expansions of the heat kernel also in degenerate cases (i.e. at the cut locus). Furthermore, our results allow to relate the asymptotic expansion of the heat kernel to a formal asymptotic expansion of the infinite-dimensional path integral, which gives relations between geometric quantities on the manifold and on the loop space. In particular, we show that the lowest order term in the asymptotic expansion of the heat kernel is essentially given by the Fredholm determinant of the Hessian of the energy functional. We also investigate how this relates to the zeta-regularized determinant of the Jacobi operator along minimizing geodesics.}, language = {en} } @phdthesis{Prasse2016, author = {Prasse, Paul}, title = {Pattern recognition for computer security}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-100251}, school = {Universit{\"a}t Potsdam}, pages = {VI, 75}, year = {2016}, abstract = {Computer Security deals with the detection and mitigation of threats to computer networks, data, and computing hardware. This thesis addresses the following two computer security problems: email spam campaign and malware detection. Email spam campaigns can easily be generated using popular dissemination tools by specifying simple grammars that serve as message templates. A grammar is disseminated to nodes of a bot net, the nodes create messages by instantiating the grammar at random. Email spam campaigns can encompass huge data volumes and therefore pose a threat to the stability of the infrastructure of email service providers that have to store them. Malware -software that serves a malicious purpose- is affecting web servers, client computers via active content, and client computers through executable files. Without the help of malware detection systems it would be easy for malware creators to collect sensitive information or to infiltrate computers. The detection of threats -such as email-spam messages, phishing messages, or malware- is an adversarial and therefore intrinsically difficult problem. Threats vary greatly and evolve over time. The detection of threats based on manually-designed rules is therefore difficult and requires a constant engineering effort. Machine-learning is a research area that revolves around the analysis of data and the discovery of patterns that describe aspects of the data. Discriminative learning methods extract prediction models from data that are optimized to predict a target attribute as accurately as possible. Machine-learning methods hold the promise of automatically identifying patterns that robustly and accurately detect threats. This thesis focuses on the design and analysis of discriminative learning methods for the two computer-security problems under investigation: email-campaign and malware detection. The first part of this thesis addresses email-campaign detection. We focus on regular expressions as a syntactic framework, because regular expressions are intuitively comprehensible by security engineers and administrators, and they can be applied as a detection mechanism in an extremely efficient manner. In this setting, a prediction model is provided with exemplary messages from an email-spam campaign. The prediction model has to generate a regular expression that reveals the syntactic pattern that underlies the entire campaign, and that a security engineers finds comprehensible and feels confident enough to use the expression to blacklist further messages at the email server. We model this problem as two-stage learning problem with structured input and output spaces which can be solved using standard cutting plane methods. Therefore we develop an appropriate loss function, and derive a decoder for the resulting optimization problem. The second part of this thesis deals with the problem of predicting whether a given JavaScript or PHP file is malicious or benign. Recent malware analysis techniques use static or dynamic features, or both. In fully dynamic analysis, the software or script is executed and observed for malicious behavior in a sandbox environment. By contrast, static analysis is based on features that can be extracted directly from the program file. In order to bypass static detection mechanisms, code obfuscation techniques are used to spread a malicious program file in many different syntactic variants. Deobfuscating the code before applying a static classifier can be subjected to mostly static code analysis and can overcome the problem of obfuscated malicious code, but on the other hand increases the computational costs of malware detection by an order of magnitude. In this thesis we present a cascaded architecture in which a classifier first performs a static analysis of the original code and -based on the outcome of this first classification step- the code may be deobfuscated and classified again. We explore several types of features including token \$n\$-grams, orthogonal sparse bigrams, subroutine-hashings, and syntax-tree features and study the robustness of detection methods and feature types against the evolution of malware over time. The developed tool scans very large file collections quickly and accurately. Each model is evaluated on real-world data and compared to reference methods. Our approach of inferring regular expressions to filter emails belonging to an email spam campaigns leads to models with a high true-positive rate at a very low false-positive rate that is an order of magnitude lower than that of a commercial content-based filter. Our presented system -REx-SVMshort- is being used by a commercial email service provider and complements content-based and IP-address based filtering. Our cascaded malware detection system is evaluated on a high-quality data set of almost 400,000 conspicuous PHP files and a collection of more than 1,00,000 JavaScript files. From our case study we can conclude that our system can quickly and accurately process large data collections at a low false-positive rate.}, language = {en} } @misc{HaeuslerSanchezGellertetal.2016, author = {H{\"a}usler, Andreas and S{\´a}nchez, Alba and Gellert, Paul and Deeken, Friederike and Nordheim, Johanna and Rapp, Michael A.}, title = {Perceived stress and quality of life in dementia patients and their caregiving spouses}, series = {Postprints der Universit{\"a}t Potsdam : Humanwissenschaftliche Reihe}, journal = {Postprints der Universit{\"a}t Potsdam : Humanwissenschaftliche Reihe}, number = {448}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-413464}, pages = {10}, year = {2016}, abstract = {Background: Given the well-established association between perceived stress and quality of life (QoL) in dementia patients and their partners, our goal was to identify whether relationship quality and dyadic coping would operate as mediators between perceived stress and QoL. Methods: 82 dyads of dementia patients and their spousal caregivers were included in a cross-sectional assessment from a prospective study. QoL was assessed with the Quality of Life in Alzheimer's Disease scale (QoL-AD) for dementia patients and the WHO Quality of Life-BREF for spousal caregivers. Perceived stress was measured with the Perceived Stress Scale (PSS-14). Both partners were assessed with the Dyadic Coping Inventory (DCI). Analyses of correlation as well as regression models including mediator analyses were performed. Results: We found negative correlations between stress and QoL in both partners (QoL-AD: r = -0.62; p < 0.001; WHO-QOL Overall: r = -0.27; p = 0.02). Spousal caregivers had a significantly lower DCI total score than dementia patients (p < 0.001). Dyadic coping was a significant mediator of the relationship between stress and QoL in spousal caregivers (z = 0.28; p = 0.02), but not in dementia patients. Likewise, relationship quality significantly mediated the relationship between stress and QoL in caregivers only (z = -2.41; p = 0.02). Conclusions: This study identified dyadic coping as a mediator on the relationship between stress and QoL in (caregiving) partners of dementia patients. In patients, however, we found a direct negative effect of stress on QoL. The findings suggest the importance of stress reducing and dyadic interventions for dementia patients and their partners, respectively.}, language = {en} } @misc{ReppertPuddellKocetal.2016, author = {Reppert, Alexander von and Puddell, J. and Koc, A. and Reinhardt, M. and Leitenberger, Wolfram and Dumesnil, K. and Zamponi, Flavio and Bargheer, Matias}, title = {Persistent nonequilibrium dynamics of the thermal energies in the spin and phonon systems of an antiferromagnet}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-98710}, pages = {11}, year = {2016}, abstract = {We present a temperature and fluence dependent Ultrafast X-Ray Diffraction study of a laser-heated antiferromagnetic dysprosium thin film. The loss of antiferromagnetic order is evidenced by a pronounced lattice contraction. We devise a method to determine the energy flow between the phonon and spin system from calibrated Bragg peak positions in thermal equilibrium. Reestablishing the magnetic order is much slower than the cooling of the lattice, especially around the N{\´e}el temperature. Despite the pronounced magnetostriction, the transfer of energy from the spin system to the phonons in Dy is slow after the spin-order is lost.}, language = {en} } @misc{SchneiderWeigertLesnyaketal.2016, author = {Schneider, Ralf and Weigert, Florian and Lesnyak, Vladimir and Leubner, Susanne and Lorenz, Tommy and Behnke, Thomas and Dubavik, Aliaksei and Joswig, Jan-Ole and Resch-Genger, Ute and Gaponik, Nikolai and Eychm{\"u}ller, Alexander}, title = {pH and concentration dependence of the optical properties of thiol-capped CdTe nanocrystals in water and D2O}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-395143}, pages = {10}, year = {2016}, abstract = {The optical properties of semiconductor nanocrystals (SC NCs) are largely controlled by their size and surface chemistry, i.e., the chemical composition and thickness of inorganic passivation shells and the chemical nature and number of surface ligands as well as the strength of their bonds to surface atoms. The latter is particularly important for CdTe NCs, which - together with alloyed CdxHg1-xTe - are the only SC NCs that can be prepared in water in high quality without the need for an additional inorganic passivation shell. Aiming at a better understanding of the role of stabilizing ligands for the control of the application-relevant fluorescence features of SC NCs, we assessed the influence of two of the most commonly used monodentate thiol ligands, thioglycolic acid (TGA) and mercaptopropionic acid (MPA), on the colloidal stability, photoluminescence (PL) quantum yield (QY), and PL decay behavior of a set of CdTe NC colloids. As an indirect measure for the strength of the coordinative bond of the ligands to SC NC surface atoms, the influence of the pH (pD) and the concentration on the PL properties of these colloids was examined in water and D2O and compared to the results from previous dilution studies with a set of thiol-capped Cd1-xHgxTe SC NCs in D2O. As a prerequisite for these studies, the number of surface ligands was determined photometrically at different steps of purification after SC NC synthesis with Ellman's test. Our results demonstrate ligand control of the pH-dependent PL of these SC NCs, with MPA-stabilized CdTe NCs being less prone to luminescence quenching than TGA-capped ones. For both types of CdTe colloids, ligand desorption is more pronounced in H2O compared to D2O, underlining also the role of hydrogen bonding and solvent molecules.}, language = {en} } @phdthesis{Ata2016, author = {Ata, Metin}, title = {Phase-space reconstructions of cosmic velocities and the cosmic web}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-403565}, school = {Universit{\"a}t Potsdam}, pages = {xi, 155}, year = {2016}, abstract = {In the current paradigm of cosmology, the formation of large-scale structures is mainly driven by non-radiating dark matter, making up the dominant part of the matter budget of the Universe. Cosmological observations however, rely on the detection of luminous galaxies, which are biased tracers of the underlying dark matter. In this thesis I present cosmological reconstructions of both, the dark matter density field that forms the cosmic web, and cosmic velocities, for which both aspects of my work are delved into, the theoretical formalism and the results of its applications to cosmological simulations and also to a galaxy redshift survey.The foundation of our method is relying on a statistical approach, in which a given galaxy catalogue is interpreted as a biased realization of the underlying dark matter density field. The inference is computationally performed on a mesh grid by sampling from a probability density function, which describes the joint posterior distribution of matter density and the three dimensional velocity field. The statistical background of our method is described in Chapter "Implementation of argo", where the introduction in sampling methods is given, paying special attention to Markov Chain Monte-Carlo techniques. In Chapter "Phase-Space Reconstructions with N-body Simulations", I introduce and implement a novel biasing scheme to relate the galaxy number density to the underlying dark matter, which I decompose into a deterministic part, described by a non-linear and scale-dependent analytic expression, and a stochastic part, by presenting a negative binomial (NB) likelihood function that models deviations from Poissonity. Both bias components had already been studied theoretically, but were so far never tested in a reconstruction algorithm. I test these new contributions againstN-body simulations to quantify improvements and show that, compared to state-of-the-art methods, the stochastic bias is inevitable at wave numbers of k≥0.15h Mpc^-1 in the power spectrum in order to obtain unbiased results from the reconstructions. In the second part of Chapter "Phase-Space Reconstructions with N-body Simulations" I describe and validate our approach to infer the three dimensional cosmic velocity field jointly with the dark matter density. I use linear perturbation theory for the large-scale bulk flows and a dispersion term to model virialized galaxy motions, showing that our method is accurately recovering the real-space positions of the redshift-space distorted galaxies. I analyze the results with the isotropic and also the two-dimensional power spectrum.Finally, in Chapter "Phase-space Reconstructions with Galaxy Redshift Surveys", I show how I combine all findings and results and apply the method to the CMASS (for Constant (stellar) Mass) galaxy catalogue of the Baryon Oscillation Spectroscopic Survey (BOSS). I describe how our method is accounting for the observational selection effects inside our reconstruction algorithm. Also, I demonstrate that the renormalization of the prior distribution function is mandatory to account for higher order contributions in the structure formation model, and finally a redshift-dependent bias factor is theoretically motivated and implemented into our method. The various refinements yield unbiased results of the dark matter until scales of k≤0.2 h Mpc^-1in the power spectrum and isotropize the galaxy catalogue down to distances of r∼20h^-1 Mpc in the correlation function. We further test the results of our cosmic velocity field reconstruction by comparing them to a synthetic mock galaxy catalogue, finding a strong correlation between the mock and the reconstructed velocities. The applications of both, the density field without redshift-space distortions, and the velocity reconstructions, are very broad and can be used for improved analyses of the baryonic acoustic oscillations, environmental studies of the cosmic web, the kinematic Sunyaev-Zel'dovic or integrated Sachs-Wolfe effect.}, language = {en} } @misc{RainfordHofreiterMayhew2016, author = {Rainford, James L. and Hofreiter, Michael and Mayhew, Peter J.}, title = {Phylogenetic analyses suggest that diversification and body size evolution are independent in insects}, series = {BMC evolutionary biology}, journal = {BMC evolutionary biology}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-407328}, pages = {17}, year = {2016}, abstract = {Background: Skewed body size distributions and the high relative richness of small-bodied taxa are a fundamental property of a wide range of animal clades. The evolutionary processes responsible for generating these distributions are well described in vertebrate model systems but have yet to be explored in detail for other major terrestrial clades. In this study, we explore the macro-evolutionary patterns of body size variation across families of Hexapoda (insects and their close relatives), using recent advances in phylogenetic understanding, with an aim to investigate the link between size and diversity within this ancient and highly diverse lineage. Results: The maximum, minimum and mean-log body lengths of hexapod families are all approximately log-normally distributed, consistent with previous studies at lower taxonomic levels, and contrasting with skewed distributions typical of vertebrate groups. After taking phylogeny and within-tip variation into account, we find no evidence for a negative relationship between diversification rate and body size, suggesting decoupling of the forces controlling these two traits. Likelihood-based modeling of the log-mean body size identifies distinct processes operating within Holometabola and Diptera compared with other hexapod groups, consistent with accelerating rates of size evolution within these clades, while as a whole, hexapod body size evolution is found to be dominated by neutral processes including significant phylogenetic conservatism. Conclusions: Based on our findings we suggest that the use of models derived from well-studied but atypical clades, such as vertebrates may lead to misleading conclusions when applied to other major terrestrial lineages. Our results indicate that within hexapods, and within the limits of current systematic and phylogenetic knowledge, insect diversification is generally unfettered by size-biased macro-evolutionary processes, and that these processes over large timescales tend to converge on apparently neutral evolutionary processes. We also identify limitations on available data within the clade and modeling approaches for the resolution of trees of higher taxa, the resolution of which may collectively enhance our understanding of this key component of terrestrial ecosystems.}, language = {en} } @phdthesis{Hoffmann2016, author = {Hoffmann, Bernd}, title = {Plant organic matter mobilization and export in fluvial systems}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-99336}, school = {Universit{\"a}t Potsdam}, pages = {xiii, 131}, year = {2016}, abstract = {The global carbon cycle is closely linked to Earth's climate. In the context of continuously unchecked anthropogenic CO₂ emissions, the importance of natural CO₂ bond and carbon storage is increasing. An important biogenic mechanism of natural atmospheric CO₂ drawdown is the photosynthetic carbon fixation in plants and the subsequent longterm deposition of plant detritus in sediments. The main objective of this thesis is to identify factors that control mobilization and transport of plant organic matter (pOM) through rivers towards sedimentation basins. I investigated this aspect in the eastern Nepalese Arun Valley. The trans-Himalayan Arun River is characterized by a strong elevation gradient (205 - 8848 m asl) that is accompanied by strong changes in ecology and climate ranging from wet tropical conditions in the Himalayan forelad to high alpine tundra on the Tibetan Plateau. Therefore, the Arun is an excellent natural laboratory, allowing the investigation of the effect of vegetation cover, climate, and topography on plant organic matter mobilization and export in tributaries along the gradient. Based on hydrogen isotope measurements of plant waxes sampled along the Arun River and its tributaries, I first developed a model that allows for an indirect quantification of pOM contributed to the mainsetm by the Arun's tributaries. In order to determine the role of climatic and topographic parameters of sampled tributary catchments, I looked for significant statistical relations between the amount of tributary pOM export and tributary characteristics (e.g. catchment size, plant cover, annual precipitation or runoff, topographic measures). On one hand, I demonstrated that pOMsourced from the Arun is not uniformly derived from its entire catchment area. On the other, I showed that dense vegetation is a necessary, but not sufficient, criterion for high tributary pOM export. Instead, I identified erosion and rainfall and runoff as key factors controlling pOM sourcing in the Arun Valley. This finding is supported by terrestrial cosmogenic nuclide concentrations measured on river sands along the Arun and its tributaries in order to quantify catchment wide denudation rates. Highest denudation rates corresponded well with maximum pOM mobilization and export also suggesting the link between erosion and pOM sourcing. The second part of this thesis focusses on the applicability of stable isotope records such as plant wax n-alkanes in sediment archives as qualitative and quantitative proxy for the variability of past Indian Summer Monsoon (ISM) strength. First, I determined how ISM strength affects the hydrogen and oxygen stable isotopic composition (reported as δD and δ18O values vs. Vienna Standard Mean Ocean Water) of precipitation in the Arun Valley and if this amount effect (Dansgaard, 1964) is strong enough to be recorded in potential paleo-ISM isotope proxies. Second, I investigated if potential isotope records across the Arun catchment reflect ISM strength dependent precipitation δD values only, or if the ISM isotope signal is superimposed by winter precipitation or glacial melt. Furthermore, I tested if δD values of plant waxes in fluvial deposits reflect δD values of environmental waters in the respective catchments. I showed that surface water δD values in the Arun Valley and precipitation δD from south of the Himalaya both changed similarly during two consecutive years (2011 \& 2012) with distinct ISM rainfall amounts (~20\% less in 2012). In order to evaluate the effect of other water sources (Winter-Westerly precipitation, glacial melt) and evapotranspiration in the Arun Valley, I analysed satellite remote sensing data of rainfall distribution (TRMM 3B42V7), snow cover (MODIS MOD10C1), glacial coverage (GLIMSdatabase, Global Land Ice Measurements from Space), and evapotranspiration (MODIS MOD16A2). In addition to the predominant ISM in the entire catchment I found through stable isotope analysis of surface waters indications for a considerable amount of glacial melt derived from high altitude tributaries and the Tibetan Plateau. Remotely sensed snow cover data revealed that the upper portion of the Arun also receives considerable winter precipitation, but the effect of snow melt on the Arun Valley hydrology could not be evaluated as it takes place in early summer, several months prior to our sampling campaigns. However, I infer that plant wax records and other potential stable isotope proxy archives below the snowline are well-suited for qualitative, and potentially quantitative, reconstructions of past changes of ISM strength.}, language = {en} } @misc{StuetzWeberDolleetal.2016, author = {Stuetz, Wolfgang and Weber, Daniela and Doll{\´e}, Martijn E. T. and Jansen, Eug{\`e}ne and Grubeck-Loebenstein, Beatrix and Fiegl, Simone and Toussaint, Olivier and Bernhardt, Juergen and Gonos, Efstathios S. and Franceschi, Claudio and Sikora, Ewa and Moreno-Villanueva, Mar{\´i}a and Breusing, Nicolle and Grune, Tilman and B{\"u}rkle, Alexander}, title = {Plasma carotenoids, tocopherols, and retinol in the age-stratified (35-74 years) general population}, series = {Nutrients}, journal = {Nutrients}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-407659}, pages = {17}, year = {2016}, abstract = {Blood micronutrient status may change with age. We analyzed plasma carotenoids, α-/γ-tocopherol, and retinol and their associations with age, demographic characteristics, and dietary habits (assessed by a short food frequency questionnaire) in a cross-sectional study of 2118 women and men (age-stratified from 35 to 74 years) of the general population from six European countries. Higher age was associated with lower lycopene and α-/β-carotene and higher β-cryptoxanthin, lutein, zeaxanthin, α-/γ-tocopherol, and retinol levels. Significant correlations with age were observed for lycopene (r = -0.248), α-tocopherol (r = 0.208), α-carotene (r = -0.112), and β-cryptoxanthin (r = 0.125; all p < 0.001). Age was inversely associated with lycopene (-6.5\% per five-year age increase) and this association remained in the multiple regression model with the significant predictors (covariables) being country, season, cholesterol, gender, smoking status, body mass index (BMI (kg/m2)), and dietary habits. The positive association of α-tocopherol with age remained when all covariates including cholesterol and use of vitamin supplements were included (1.7\% vs. 2.4\% per five-year age increase). The association of higher β-cryptoxanthin with higher age was no longer statistically significant after adjustment for fruit consumption, whereas the inverse association of α-carotene with age remained in the fully adjusted multivariable model (-4.8\% vs. -3.8\% per five-year age increase). We conclude from our study that age is an independent predictor of plasma lycopene, α-tocopherol, and α-carotene.}, language = {en} } @misc{KampeZimmermannScholzetal.2016, author = {Kampe, Heike and Zimmermann, Matthias and Scholz, Jana and G{\"o}rlich, Petra and Engel, Silke}, title = {Portal Wissen = Point}, number = {01/2016}, organization = {University of Potsdam, Press and Public Relations Department}, issn = {2198-9974}, doi = {10.25932/publishup-44156}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-441569}, pages = {54}, year = {2016}, abstract = {A point is more than meets the eye. In geometry, a point is an object with zero dimensions - it is there but takes up little space. You may assume that something so small is easily overlooked. A closer look reveals that points are everywhere and play a significant role in many areas. In physics, for example, a mass point is the highest possible idealization of a body, which is the theoretical notion that the entire mass of a body is concentrated in a point, its "center of mass". Points are at the beginning (starting points), at intersections (pivot points), and at the end (final points). A point symbolizes great precision. There is a reason we "get to the point". In writing, a point abbreviates, structures, and finalizes what is said. Physicians puncture, and athletes collect points on playing fields, courses, and on tables. It's no wonder that researchers are "surrounded" by points and work with them every day: Points bring order to chaos, structure the unexplained, and name the nameless. A point is often the beginning, an entry to worlds, findings, or problems. Points are for everyone, though. German mathematician Oskar Perron wrote, "A point is exactly what the intelligent yet innocent, uncorrupted reader imagines it to be." We want to follow up on this quotation: The latest edition of Portal Wissen offers exciting starting points, analyzes points of view, and gets right to the point. We follow a physicist to the sun - the center point of our solar system - to ponder the origin of solar eruptions. We talked to a marketing professor about turning contentious points into successful deals during negotiation. Business information experts present leverage points that prepare both humans and machines for factories in the age of Industry 4.0. Enthusiastic entrepreneurs show us how their research became the starting point of a successful business idea - and also make the world a bit better. Geoscientists explain why the weather phenomenon El Ni{\~n}o causes - wet and dry - flashpoints. Just to name a few of many points … We hope our magazine scores points with you and wish you an inspiring read! The Editorial}, language = {en} } @misc{KampeScholzZimmermannetal.2016, author = {Kampe, Heike and Scholz, Jana and Zimmermann, Matthias and Eckardt, Barbara and Horn-Conrad, Antje}, title = {Portal Wissen = small}, number = {02/2016}, organization = {University of Potsdam, Press and Public Relations Department}, issn = {2198-9974}, doi = {10.25932/publishup-44162}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-441621}, pages = {58}, year = {2016}, abstract = {Let's be honest: even science wants to make it big, at least when it comes to discovering new knowledge. Yet if one thing belongs in the annals of successful research, it is definitely small things. Scientists have long understood that their job is to explore things that they don't see right away. Seneca once wrote, "If something is smaller than the great, this does not mean at all that it is insignificant." The smallest units of life, such as bacteria or viruses, can often have powerful effects. And again and again, (seemingly) large things must first be disassembled or reduced to small pieces in order to recognize their nature. One of the greatest secrets of our world - the atom, the smallest, if no longer indivisible, unit of chemical elements - revealed itself only by looking at its diminutive size. By no means is 'small' (German: klein) merely a counterpoint to large, at least in linguistic terms; the word comes from West Germanic klaini, which means 'fine' or 'delicate,' and is also related to the English word 'clean.' Fine and clean - certainly something worth striving for in scientific work. And a bit of attention to detail doesn't hurt either. This doesn't mean that researchers can be smallminded; they should be ready to expect the unexpected and to adjust their work accordingly. And even if they cannot attain their goals in the short term, they need staying power to keep themselves from being talked down, from giving up. Strictly speaking, research is like putting together a puzzle with tons of tiny pieces; you don't want it to end. Every discovery worthy of a Nobel Prize, every major research project, has to start with a small idea, with a tiny spark, and then the planning of the minutest details can begin. What follows is work focused on minuscule details: hours of interviews searching for the secret of the cerebellum (Latin for 'little brain'), days of field studies searching for Lilliputian forms of life, weeks of experimentation meant to render visible the microscopically tiny, months of archival research that brings odds and ends to light, or years of reading fine print. All while hunting for a big hit... This is why we've assembled a few 'little' stories about research at the University of Potsdam, under the motto: small, but look out! Nutritional scientists are working on rescuing some of the earth's smaller residents - mice - from the fate of 'lab rats' by developing alternatives to animal testing. Linguists are using innovative methods in several projects to investigate how small children learn languages. Astrophysicists in Potsdam are scanning the skies above Babelsberg for the billions of stars in the Magellan Cloud, which only seem tiny from down here. The Research Center Sanssouci, initiated by the Prussian Palaces and Gardens Foundation and the University of Potsdam, is starting small but will bring about great things for Potsdam's cultural landscape. Biologists are drilling down to the smallest building blocks of life, looking for genes in barley so that new strains with positive characteristics can be cultivated. Like we said: little things. Have fun reading! The Editorial}, language = {en} } @phdthesis{Sin2016, author = {Sin, Celine}, title = {Post-transcriptional control of gene expression}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-102469}, school = {Universit{\"a}t Potsdam}, pages = {xxv, 238}, year = {2016}, abstract = {Gene expression describes the process of making functional gene products (e.g. proteins or special RNAs) from instructions encoded in the genetic information (e.g. DNA). This process is heavily regulated, allowing cells to produce the appropriate gene products necessary for cell survival, adapting production as necessary for different cell environments. Gene expression is subject to regulation at several levels, including transcription, mRNA degradation, translation and protein degradation. When intact, this system maintains cell homeostasis, keeping the cell alive and adaptable to different environments. Malfunction in the system can result in disease states and cell death. In this dissertation, we explore several aspects of gene expression control by analyzing data from biological experiments. Most of the work following uses a common mathematical model framework based on Markov chain models to test hypotheses, predict system dynamics or elucidate network topology. Our work lies in the intersection between mathematics and biology and showcases the power of statistical data analysis and math modeling for validation and discovery of biological phenomena.}, language = {en} } @unpublished{EcksteinWiemannWalleretal.2016, author = {Eckstein, Lars and Wiemann, Dirk and Waller, Nicole and Bartels, Anke}, title = {Postcolonial Justice}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-103220}, pages = {20}, year = {2016}, abstract = {In July 2014, some of us participated in a handover ceremony of 14 ancestral remains to their Australian traditional owners, performed on the premises of the Charit{\´e} Campus in Berlin.}, language = {en} } @unpublished{Eckstein2016, author = {Eckstein, Lars}, title = {Postcolonial Piracy}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-103307}, year = {2016}, abstract = {Media piracy is a contested term in the academic as much as the public debate. It is used by the corporate industries as a synonym for the theft of protected media content with disastrous economic consequences. It is celebrated by technophile elites as an expression of freedom that ensures creativity as much as free market competition. Marxist critics and activists promote flapiracy as a subversive practice that undermines the capitalist world system and its structural injustices. Artists and entrepreneurs across the globe curse it as a threat to their existence, while many use pirate infrastructures and networks fundamentally for the production and dissemination of their art. For large sections of the population across the global South, piracy is simply the only means of accessing the medial flows of a progressively globalising planet.}, language = {en} } @misc{BeurskensHaegerKliegletal.2016, author = {Beurskens, Rainer and Haeger, Matthias and Kliegl, Reinhold and Roecker, Kai and Granacher, Urs}, title = {Postural Control in Dual-Task Situations}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-96638}, pages = {1 -- 15}, year = {2016}, abstract = {Postural control is important to cope with demands of everyday life. It has been shown that both attentional demand (i.e., cognitive processing) and fatigue affect postural control in young adults. However, their combined effect is still unresolved. Therefore, we investigated the effects of fatigue on single- (ST) and dual-task (DT) postural control. Twenty young subjects (age: 23.7 ± 2.7) performed an all-out incremental treadmill protocol. After each completed stage, one-legged-stance performance on a force platform under ST (i.e., one-legged-stance only) and DT conditions (i.e., one-legged-stance while subtracting serial 3s) was registered. On a second test day, subjects conducted the same balance tasks for the control condition (i.e., non-fatigued). Results showed that heart rate, lactate, and ventilation increased following fatigue (all p < 0.001; d = 4.2-21). Postural sway and sway velocity increased during DT compared to ST (all p < 0.001; d = 1.9-2.0) and fatigued compared to non-fatigued condition (all p < 0.001; d = 3.3-4.2). In addition, postural control deteriorated with each completed stage during the treadmill protocol (all p < 0.01; d = 1.9-3.3). The addition of an attention-demanding interference task did not further impede one-legged-stance performance. Although both additional attentional demand and physical fatigue affected postural control in healthy young adults, there was no evidence for an overadditive effect (i.e., fatigue-related performance decrements in postural control were similar under ST and DT conditions). Thus, attentional resources were sufficient to cope with the DT situations in the fatigue condition of this experiment.}, language = {en} } @misc{BubeckAertsdeMoeletal.2016, author = {Bubeck, Philip and Aerts, Jeroen C. J. H. and de Moel, Hans and Kreibich, Heidi}, title = {Preface}, series = {Postprints der Universit{\"a}t Potsdam : Mathematisch-Naturwissenschaftliche Reihe}, journal = {Postprints der Universit{\"a}t Potsdam : Mathematisch-Naturwissenschaftliche Reihe}, number = {609}, issn = {1866-8372}, doi = {10.25932/publishup-41238}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-412387}, pages = {6}, year = {2016}, abstract = {kein abstract}, language = {en} } @misc{SalzwedelHeidlerHauboldetal.2016, author = {Salzwedel, Annett and Heidler, Maria-Dorothea and Haubold, Kathrin and Schikora, Martin and Reibis, Rona Katharina and Wegscheider, Karl and J{\"o}bgens, Michael and V{\"o}ller, Heinz}, title = {Prevalence of mild cognitive impairment in employable patients after acute coronary event in cardiac rehabilitation}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-104113}, pages = {55 -- 60}, year = {2016}, abstract = {Introduction: Adequate cognitive function in patients is a prerequisite for successful implementation of patient education and lifestyle coping in comprehensive cardiac rehabilitation (CR) programs. Although the association between cardiovascular diseases and cognitive impairments (CIs) is well known, the prevalence particularly of mild CI in CR and the characteristics of affected patients have been insufficiently investigated so far. Methods: In this prospective observational study, 496 patients (54.5 ± 6.2 years, 79.8\% men) with coronary artery disease following an acute coronary event (ACE) were analyzed. Patients were enrolled within 14 days of discharge from the hospital in a 3-week inpatient CR program. Patients were tested for CI using the Montreal Cognitive Assessment (MoCA) upon admission to and discharge from CR. Additionally, sociodemographic, clinical, and physiological variables were documented. The data were analyzed descriptively and in a multivariate stepwise backward elimination regression model with respect to CI. Results: At admission to CR, the CI (MoCA score < 26) was determined in 182 patients (36.7\%). Significant differences between CI and no CI groups were identified, and CI group was associated with high prevalence of smoking (65.9 vs 56.7\%, P = 0.046), heavy (physically demanding) workloads (26.4 vs 17.8\%, P < 0.001), sick leave longer than 1 month prior to CR (28.6 vs 18.5\%, P = 0.026), reduced exercise capacity (102.5 vs 118.8 W, P = 0.006), and a shorter 6-min walking distance (401.7 vs 421.3 m, P = 0.021) compared to no CI group. The age- and education-adjusted model showed positive associations with CI only for sick leave more than 1 month prior to ACE (odds ratio [OR] 1.673, 95\% confidence interval 1.07-2.79; P = 0.03) and heavy workloads (OR 2.18, 95\% confidence interval 1.42-3.36; P < 0.01). Conclusion: The prevalence of CI in CR was considerably high, affecting more than one-third of cardiac patients. Besides age and education level, CI was associated with heavy workloads and a longer sick leave before ACE.}, language = {en} } @misc{SchusterKraheTopluDemirtaş2016, author = {Schuster, Isabell and Krah{\´e}, Barbara and Toplu-Demirta{\c{s}}, Ezgi}, title = {Prevalence of Sexual Aggression Victimization and Perpetration in a Sample of Female and Male College Students in Turkey}, doi = {10.1080/00224499.2016.1207057}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-96357}, pages = {1 -- 14}, year = {2016}, abstract = {In Turkey, there is a shortage of studies on the prevalence of sexual aggression among young adults. The present study examined sexual aggression victimization and perpetration since the age of 15 in a convenience sample of N = 1,376 college students (886 women) from four public universities in Ankara, Turkey. Prevalence rates for different coercive strategies, victim-perpetrator constellations, and sexual acts were measured with a Turkish version of the Sexual Aggression and Victimization Scale (SAV-S). Overall, 77.6\% of women and 65.5\% of men reported at least one instance of sexual aggression victimization, and 28.9\% of men and 14.2\% of women reported at least one instance of sexual aggression perpetration. Prevalence rates of sexual aggression victimization and perpetration were highest for current or former partners, followed by acquaintances/friends and strangers. Alcohol was involved in a substantial proportion of the reported incidents. The findings are the first to provide systematic evidence on sexual aggression perpetration and victimization among college students in Turkey, including both women and men.}, language = {en} } @book{OPUS4-10026, title = {Proceedings of the 10th Ph.D. Retreat of the HPI Research School on Service-oriented Systems Engineering}, number = {111}, editor = {Meinel, Christoph and Plattner, Hasso and D{\"o}llner, J{\"u}rgen Roland Friedrich and Weske, Mathias and Polze, Andreas and Hirschfeld, Robert and Naumann, Felix and Giese, Holger and Baudisch, Patrick and Friedrich, Tobias and M{\"u}ller, Emmanuel}, publisher = {Universit{\"a}tsverlag Potsdam}, address = {Potsdam}, isbn = {978-3-86956-390-9}, issn = {1613-5652}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-100260}, publisher = {Universit{\"a}t Potsdam}, pages = {vi, 255}, year = {2016}, abstract = {Design and Implementation of service-oriented architectures imposes a huge number of research questions from the fields of software engineering, system analysis and modeling, adaptability, and application integration. Component orientation and web services are two approaches for design and realization of complex web-based system. Both approaches allow for dynamic application adaptation as well as integration of enterprise application. Commonly used technologies, such as J2EE and .NET, form de facto standards for the realization of complex distributed systems. Evolution of component systems has lead to web services and service-based architectures. This has been manifested in a multitude of industry standards and initiatives such as XML, WSDL UDDI, SOAP, etc. All these achievements lead to a new and promising paradigm in IT systems engineering which proposes to design complex software solutions as collaboration of contractually defined software services. Service-Oriented Systems Engineering represents a symbiosis of best practices in object-orientation, component-based development, distributed computing, and business process management. It provides integration of business and IT concerns. The annual Ph.D. Retreat of the Research School provides each member the opportunity to present his/her current state of their research and to give an outline of a prospective Ph.D. thesis. Due to the interdisciplinary structure of the research school, this technical report covers a wide range of topics. These include but are not limited to: Human Computer Interaction and Computer Vision as Service; Service-oriented Geovisualization Systems; Algorithm Engineering for Service-oriented Systems; Modeling and Verification of Self-adaptive Service-oriented Systems; Tools and Methods for Software Engineering in Service-oriented Systems; Security Engineering of Service-based IT Systems; Service-oriented Information Systems; Evolutionary Transition of Enterprise Applications to Service Orientation; Operating System Abstractions for Service-oriented Computing; and Services Specification, Composition, and Enactment.}, language = {en} } @book{BowlerHsiehShenetal.2016, author = {Bowler, Margit and Hsieh, I-Ta Chris and Shen, Zheng and Korat, Omer and Tran, Thuan}, title = {Proceedings of the Semantics of African, Asian and Austronesian Languages (TripleA) 2}, editor = {Grubic, Mira and Mucha, Anne}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-91742}, publisher = {Universit{\"a}t Potsdam}, pages = {64}, year = {2016}, abstract = {TripleA is a workshop series founded by linguists from the University of T{\"u}bingen and the University of Potsdam. Its aim is to provide a forum for semanticists doing fieldwork on understudied languages, and its focus is on languages from Africa, Asia, Australia and Oceania. The second TripleA workshop was held at the University of Potsdam, June 3-5, 2015.}, language = {en} } @book{OPUS4-8754, title = {Proceedings of the Third HPI Cloud Symposium "Operating the Cloud" 2015}, number = {105}, editor = {Bartok, David and van der Walt, Estee and Lindemann, Jan and Eschrig, Johannes and Plauth, Max}, publisher = {Universit{\"a}tsverlag Potsdam}, address = {Potsdam}, isbn = {978-3-86956-360-2}, issn = {1613-5652}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-87548}, publisher = {Universit{\"a}t Potsdam}, pages = {vii, 63}, year = {2016}, abstract = {Every year, the Hasso Plattner Institute (HPI) invites guests from industry and academia to a collaborative scientific workshop on the topic "Operating the Cloud". Our goal is to provide a forum for the exchange of knowledge and experience between industry and academia. Hence, HPI's Future SOC Lab is the adequate environment to host this event which is also supported by BITKOM. On the occasion of this workshop we called for submissions of research papers and practitioner's reports. "Operating the Cloud" aims to be a platform for productive discussions of innovative ideas, visions, and upcoming technologies in the field of cloud operation and administration. In this workshop proceedings the results of the third HPI cloud symposium "Operating the Cloud" 2015 are published. We thank the authors for exciting presentations and insights into their current work and research. Moreover, we look forward to more interesting submissions for the upcoming symposium in 2016.}, language = {en} } @misc{WernerMuenzbergHassetal.2016, author = {Werner, Peter and M{\"u}nzberg, Marvin and Hass, Roland and Reich, Oliver}, title = {Process analytical approaches for the coil-to-globule transition of poly(N-isopropylacrylamide) in a concentrated aqueous suspension}, series = {Postprints der Universit{\"a}t Potsdam : Mathematisch-Naturwissenschaftliche Reihe}, journal = {Postprints der Universit{\"a}t Potsdam : Mathematisch-Naturwissenschaftliche Reihe}, number = {944}, issn = {1866-8372}, doi = {10.25932/publishup-43116}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-431162}, pages = {807 -- 819}, year = {2016}, abstract = {The coil-to-globule transition of poly(N-isopropylacrylamide) (PNIPAM) microgel particles suspended in water has been investigated in situ as a function of heating and cooling rate with four optical process analytical technologies (PAT), sensitive to structural changes of the polymer. Photon Density Wave (PDW) spectroscopy, Focused Beam Reflectance Measurements (FBRM), turbidity measurements, and Particle Vision Microscope (PVM) measurements are found to be powerful tools for the monitoring of the temperature-dependent transition of such thermo-responsive polymers. These in-line technologies allow for monitoring of either the reduced scattering coefficient and the absorption coefficient, the chord length distribution, the reflected intensities, or the relative backscatter index via in-process imaging, respectively. Varying heating and cooling rates result in rate-dependent lower critical solution temperatures (LCST), with different impact of cooling and heating. Particularly, the data obtained by PDW spectroscopy can be used to estimate the thermodynamic transition temperature of PNIPAM for infinitesimal heating or cooling rates. In addition, an inverse hysteresis and a reversible building of micrometer-sized agglomerates are observed for the PNIPAM transition process.}, language = {en} } @phdthesis{Breitling2016, author = {Breitling, Frank}, title = {Propagation of energetic electrons in the solar corona observed with LOFAR}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-396893}, school = {Universit{\"a}t Potsdam}, pages = {xiii, 101}, year = {2016}, abstract = {This work reports about new high-resolution imaging and spectroscopic observations of solar type III radio bursts at low radio frequencies in the range from 30 to 80 MHz. Solar type III radio bursts are understood as result of the beam-plasma interaction of electron beams in the corona. The Sun provides a unique opportunity to study these plasma processes of an active star. Its activity appears in eruptive events like flares, coronal mass ejections and radio bursts which are all accompanied by enhanced radio emission. Therefore solar radio emission carries important information about plasma processes associated with the Sun's activity. Moreover, the Sun's atmosphere is a unique plasma laboratory with plasma processes under conditions not found in terrestrial laboratories. Because of the Sun's proximity to Earth, it can be studied in greater detail than any other star but new knowledge about the Sun can be transfer to them. This "solar stellar connection" is important for the understanding of processes on other stars. The novel radio interferometer LOFAR provides imaging and spectroscopic capabilities to study these processes at low frequencies. Here it was used for solar observations. LOFAR, the characteristics of its solar data and the processing and analysis of the latter with the Solar Imaging Pipeline and Solar Data Center are described. The Solar Imaging Pipeline is the central software that allows using LOFAR for solar observations. So its development was necessary for the analysis of solar LOFAR data and realized here. Moreover a new density model with heat conduction and Alfv{\´e}n waves was developed that provides the distance of radio bursts to the Sun from dynamic radio spectra. Its application to the dynamic spectrum of a type III burst observed on March 16, 2016 by LOFAR shows a nonuniform radial propagation velocity of the radio emission. The analysis of an imaging observation of type III bursts on June 23, 2012 resolves a burst as bright, compact region localized in the corona propagating in radial direction along magnetic field lines with an average velocity of 0.23c. A nonuniform propagation velocity is revealed. A new beam model is presented that explains the nonuniform motion of the radio source as a propagation effect of an electron ensemble with a spread velocity distribution and rules out a monoenergetic electron distribution. The coronal electron number density is derived in the region from 1.5 to 2.5 R☉ and fitted with the newly developed density model. It determines the plasma density for the interplanetary space between Sun and Earth. The values correspond to a 1.25- and 5-fold Newkirk model for harmonic and fundamental emission, respectively. In comparison to data from other radio instruments the LOFAR data shows a high sensitivity and resolution in space, time and frequency. The new results from LOFAR's high resolution imaging spectroscopy are consistent with current theories of solar type III radio bursts and demonstrate its capability to track fast moving radio sources in the corona. LOFAR solar data is found to be a valuable source for solar radio physics and opens a new window for studying plasma processes associated with highly energetic electrons in the solar corona.}, language = {en} } @misc{BaylisKowalskiVoigtetal.2016, author = {Baylis, Alastair M. M. and Kowalski, Gabriele Joanna and Voigt, Christian C. and Orben, Rachael A. and Trillmich, Fritz and Staniland, Iain J. and Hoffman, Joseph I.}, title = {Pup vibrissae stable isotopes reveal geographic differences in adult female southern sea lion habitat use during gestation}, series = {Postprints der Universit{\"a}t Potsdam : Mathematisch-Naturwissenschaftliche Reihe}, journal = {Postprints der Universit{\"a}t Potsdam : Mathematisch-Naturwissenschaftliche Reihe}, number = {546}, issn = {1866-8372}, doi = {10.25932/publishup-41184}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-411842}, pages = {11}, year = {2016}, abstract = {Individuals within populations often differ substantially in habitat use, the ecological consequences of which can be far reaching. Stable isotope analysis provides a convenient and often cost effective means of indirectly assessing the habitat use of individuals that can yield valuable insights into the spatiotemporal distribution of foraging specialisations within a population. Here we use the stable isotope ratios of southern sea lion (Otaria flavescens) pup vibrissae at the Falkland Islands, in the South Atlantic, as a proxy for adult female habitat use during gestation. A previous study found that adult females from one breeding colony (Big Shag Island) foraged in two discrete habitats, inshore (coastal) or offshore (outer Patagonian Shelf). However, as this species breeds at over 70 sites around the Falkland Islands, it is unclear if this pattern is representative of the Falkland Islands as a whole. In order to characterize habitat use, we therefore assayed carbon (delta C-13) and nitrogen (delta N-15) ratios from 65 southern sea lion pup vibrissae, sampled across 19 breeding colonies at the Falkland Islands. Model-based clustering of pup isotope ratios identified three distinct clusters, representing adult females that foraged inshore, offshore, and a cluster best described as intermediate. A significant difference was found in the use of inshore and offshore habitats between West and East Falkland and between the two colonies with the largest sample sizes, both of which are located in East Falkland. However, habitat use was unrelated to the proximity of breeding colonies to the Patagonian Shelf, a region associated with enhanced biological productivity. Our study thus points towards other factors, such as local oceanography and its influence on resource distribution, playing a prominent role in inshore and offshore habitat use.}, language = {en} } @misc{RasovicBlagojevicBaranacStojanovicetal.2016, author = {Rasovic, Aleksandar and Blagojevic, Vladimir and Baranac-Stojanovic, Marija and Kleinpeter, Erich and Markovic, Rade and Minic, Dragica M.}, title = {Quantification of the push-pull effect in 2-alkylidene-4-oxothiazolidines by using NMR spectral data and barriers to rotation around the C=C bond}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-394523}, pages = {6364 -- 6373}, year = {2016}, abstract = {Information about the strength of donor-acceptor interactions in push-pull alkenes is valuable, as this so-called "push-pull effect" influences their chemical reactivity and dynamic behaviour. In this paper, we discuss the applicability of NMR spectral data and barriers to rotation around the C[double bond, length as m-dash]C double bond to quantify the push-pull effect in biologically important 2-alkylidene-4-oxothiazolidines. While olefinic proton chemical shifts and differences in 13C NMR chemical shifts of the two carbons constituting the C[double bond, length as m-dash]C double bond fail to give the correct trend in the electron withdrawing ability of the substituents attached to the exocyclic carbon of the double bond, barriers to rotation prove to be a reliable quantity in providing information about the extent of donor-acceptor interactions in the push-pull systems studied. In particular all relevant kinetic data, that is the Arrhenius parameters (apparent activation energy Ea and frequency factor A) and activation parameters (ΔS‡, ΔH‡ and ΔG‡), were determined from the data of the experimentally studied configurational isomerization of (E)-9a. These results were compared to previously published related data for other two compounds, (Z)-1b and (2E,5Z)-7, showing that experimentally determined ΔG‡ values are a good indicator of the strength of push-pull character. Theoretical calculations of the rotational barriers of eight selected derivatives excellently correlate with the calculated C[double bond, length as m-dash]C bond lengths and corroborate the applicability of ΔG‡ for estimation of the strength of the push-pull effect in these and related systems.}, language = {en} } @phdthesis{JaraMunoz2016, author = {Jara Mu{\~n}oz, Julius}, title = {Quantifying forearc deformation patterns using coastal geomorphic markers}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-102652}, school = {Universit{\"a}t Potsdam}, pages = {XXV, 213}, year = {2016}, abstract = {Rapidly uplifting coastlines are frequently associated with convergent tectonic boundaries, like subduction zones, which are repeatedly breached by giant megathrust earthquakes. The coastal relief along tectonically active realms is shaped by the effect of sea-level variations and heterogeneous patterns of permanent tectonic deformation, which are accumulated through several cycles of megathrust earthquakes. However, the correlation between earthquake deformation patterns and the sustained long-term segmentation of forearcs, particularly in Chile, remains poorly understood. Furthermore, the methods used to estimate permanent deformation from geomorphic markers, like marine terraces, have remained qualitative and are based on unrepeatable methods. This contrasts with the increasing resolution of digital elevation models, such as Light Detection and Ranging (LiDAR) and high-resolution bathymetric surveys. Throughout this thesis I study permanent deformation in a holistic manner: from the methods to assess deformation rates, to the processes involved in its accumulation. My research focuses particularly on two aspects: Developing methodologies to assess permanent deformation using marine terraces, and comparing permanent deformation with seismic cycle deformation patterns under different spatial scales along the M8.8 Maule earthquake (2010) rupture zone. Two methods are developed to determine deformation rates from wave-built and wave-cut terraces respectively. I selected an archetypal example of a wave-built terrace at Santa Maria Island studying its stratigraphy and recognizing sequences of reoccupation events tied with eleven radiocarbon sample ages (14C ages). I developed a method to link patterns of reoccupation with sea-level proxies by iterating relative sea level curves for a range of uplift rates. I find the best fit between relative sea-level and the stratigraphic patterns for an uplift rate of 1.5 +- 0.3 m/ka. A Graphical User Interface named TerraceM® was developed in Matlab®. This novel software tool determines shoreline angles in wave-cut terraces under different geomorphic scenarios. To validate the methods, I select test sites in areas of available high-resolution LiDAR topography along the Maule earthquake rupture zone and in California, USA. The software allows determining the 3D location of the shoreline angle, which is a proxy for the estimation of permanent deformation rates. The method is based on linear interpolations to define the paleo platform and cliff on swath profiles. The shoreline angle is then located by intersecting these interpolations. The accuracy and precision of TerraceM® was tested by comparing its results with previous assessments, and through an experiment with students in a computer lab setting at the University of Potsdam. I combined the methods developed to analyze wave-built and wave-cut terraces to assess regional patterns of permanent deformation along the (2010) Maule earthquake rupture. Wave-built terraces are tied using 12 Infra Red Stimulated luminescence ages (IRSL ages) and shoreline angles in wave-cut terraces are estimated from 170 aligned swath profiles. The comparison of coseismic slip, interseismic coupling, and permanent deformation, leads to three areas of high permanent uplift, terrace warping, and sharp fault offsets. These three areas correlate with regions of high slip and low coupling, as well as with the spatial limit of at least eight historical megathrust ruptures (M8-9.5). I propose that the zones of upwarping at Arauco and Topocalma reflect changes in frictional properties of the megathrust, which result in discrete boundaries for the propagation of mega earthquakes. To explore the application of geomorphic markers and quantitative morphology in offshore areas I performed a local study of patterns of permanent deformation inferred from hitherto unrecognized drowned shorelines at the Arauco Bay, at the southern part of the (2010) Maule earthquake rupture zone. A multidisciplinary approach, including morphometry, sedimentology, paleontology, 3D morphoscopy, and a landscape Evolution Model is used to recognize, map, and assess local rates and patterns of permanent deformation in submarine environments. Permanent deformation patterns are then reproduced using elastic models to assess deformation rates of an active submarine splay fault defined as Santa Maria Fault System. The best fit suggests a reverse structure with a slip rate of 3.7 m/ka for the last 30 ka. The register of land level changes during the earthquake cycle at Santa Maria Island suggest that most of the deformation may be accrued through splay fault reactivation during mega earthquakes, like the (2010) Maule event. Considering a recurrence time of 150 to 200 years, as determined from historical and geological observations, slip between 0.3 and 0.7 m per event would be required to account for the 3.7 m/ka millennial slip rate. However, if the SMFS slips only every ~1000 years, representing a few megathrust earthquakes, then a slip of ~3.5 m per event would be required to account for the long- term rate. Such event would be equivalent to a magnitude ~6.7 earthquake capable to generate a local tsunami. The results of this thesis provide novel and fundamental information regarding the amount of permanent deformation accrued in the crust, and the mechanisms responsible for this accumulation at millennial time-scales along the M8.8 Maule earthquake (2010) rupture zone. Furthermore, the results of this thesis highlight the application of quantitative geomorphology and the use of repeatable methods to determine permanent deformation, improve the accuracy of marine terrace assessments, and estimates of vertical deformation rates in tectonically active coastal areas. This is vital information for adequate coastal-hazard assessments and to anticipate realistic earthquake and tsunami scenarios.}, language = {en} } @misc{BoettleRybskiKropp2016, author = {Boettle, Markus and Rybski, Diego and Kropp, J{\"u}rgen}, title = {Quantifying the effect of sea level rise and flood defence}, series = {Postprints der Universit{\"a}t Potsdam : Mathematisch-Naturwissenschaftliche Reihe}, journal = {Postprints der Universit{\"a}t Potsdam : Mathematisch-Naturwissenschaftliche Reihe}, number = {559}, issn = {1866-8372}, doi = {10.25932/publishup-41240}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-412405}, pages = {18}, year = {2016}, abstract = {In contrast to recent advances in projecting sea levels, estimations about the economic impact of sea level rise are vague. Nonetheless, they are of great importance for policy making with regard to adaptation and greenhouse-gas mitigation. Since the damage is mainly caused by extreme events, we propose a stochastic framework to estimate the monetary losses from coastal floods in a confined region. For this purpose, we follow a Peak-over-Threshold approach employing a Poisson point process and the Generalised Pareto Distribution. By considering the effect of sea level rise as well as potential adaptation scenarios on the involved parameters, we are able to study the development of the annual damage. An application to the city of Copenhagen shows that a doubling of losses can be expected from a mean sea level increase of only 11 cm. In general, we find that for varying parameters the expected losses can be well approximated by one of three analytical expressions depending on the extreme value parameters. These findings reveal the complex interplay of the involved parameters and allow conclusions of fundamental relevance. For instance, we show that the damage typically increases faster than the sea level rise itself. This in turn can be of great importance for the assessment of sea level rise impacts on the global scale. Our results are accompanied by an assessment of uncertainty, which reflects the stochastic nature of extreme events. While the absolute value of uncertainty about the flood damage increases with rising mean sea levels, we find that it decreases in relation to the expected damage.}, language = {en} } @misc{Goychuk2016, author = {Goychuk, Igor}, title = {Quantum ergodicity breaking in semi-classical electron transfer dynamics}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-102264}, pages = {11}, year = {2016}, abstract = {Can the statistical properties of single-electron transfer events be correctly predicted within a common equilibrium ensemble description? This fundamental in nanoworld question of ergodic behavior is scrutinized within a very basic semi-classical curve-crossing problem. It is shown that in the limit of non-adiabatic electron transfer (weak tunneling) well-described by the Marcus-Levich-Dogonadze(MLD) rate the answer is yes. However, in the limit of the so-called solvent-controlled adiabatic electron transfer, a profound breaking of ergodicity occurs. Namely, a common description based on the ensemble reduced density matrix with an initial equilibrium distribution of the reaction coordinate is not able to reproduce the statistics of single-trajectory events in this seemingly classical regime. For sufficiently large activation barriers, the ensemble survival probability in a state remains nearly exponential with the inverse rate given by the sum of the adiabatic curve crossing (Kramers) time and the inverse MLD rate. In contrast, near to the adiabatic regime, the single-electron survival probability is clearly non-exponential, even though it possesses an exponential tail which agrees well with the ensemble description. Initially, it is well described by a Mittag-Leffler distribution with a fractional rate. Paradoxically, the mean transfer time in this classical on the ensemble level regime is well described by the inverse of the nonadiabatic quantum tunneling rate on a single particle level. An analytical theory is developed which perfectly agrees with stochastic simulations and explains our findings.}, language = {en} } @misc{HollsteinSeglGuanteretal.2016, author = {Hollstein, Andr{\´e} and Segl, Karl and Guanter, Luis and Brell, Maximilian and Enesco, Marta}, title = {Ready-to-Use methods for the detection of clouds, cirrus, snow, shadow, water and clear sky pixels in Sentinel-2 MSI images}, series = {remote sensing}, journal = {remote sensing}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-407938}, pages = {18}, year = {2016}, abstract = {Classification of clouds, cirrus, snow, shadows and clear sky areas is a crucial step in the pre-processing of optical remote sensing images and is a valuable input for their atmospheric correction. The Multi-Spectral Imager on board the Sentinel-2's of the Copernicus program offers optimized bands for this task and delivers unprecedented amounts of data regarding spatial sampling, global coverage, spectral coverage, and repetition rate. Efficient algorithms are needed to process, or possibly reprocess, those big amounts of data. Techniques based on top-of-atmosphere reflectance spectra for single-pixels without exploitation of external data or spatial context offer the largest potential for parallel data processing and highly optimized processing throughput. Such algorithms can be seen as a baseline for possible trade-offs in processing performance when the application of more sophisticated methods is discussed. We present several ready-to-use classification algorithms which are all based on a publicly available database of manually classified Sentinel-2A images. These algorithms are based on commonly used and newly developed machine learning techniques which drastically reduce the amount of time needed to update the algorithms when new images are added to the database. Several ready-to-use decision trees are presented which allow to correctly label about 91\% of the spectra within a validation dataset. While decision trees are simple to implement and easy to understand, they offer only limited classification skill. It improves to 98\% when the presented algorithm based on the classical Bayesian method is applied. This method has only recently been used for this task and shows excellent performance concerning classification skill and processing performance. A comparison of the presented algorithms with other commonly used techniques such as random forests, stochastic gradient descent, or support vector machines is also given. Especially random forests and support vector machines show similar classification skill as the classical Bayesian method.}, language = {en} } @phdthesis{Chen2016, author = {Chen, Kejie}, title = {Real-time GNSS for fast seismic source inversion and tsunami early warning}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-93174}, school = {Universit{\"a}t Potsdam}, pages = {xii, 81}, year = {2016}, abstract = {Over the past decades, rapid and constant advances have motivated GNSS technology to approach the ability to monitor transient ground motions with mm to cm accuracy in real-time. As a result, the potential of using real-time GNSS for natural hazards prediction and early warning has been exploited intensively in recent years, e.g., landslides and volcanic eruptions monitoring. Of particular note, compared with traditional seismic instruments, GNSS does not saturate or tilt in terms of co-seismic displacement retrieving, which makes it especially valuable for earthquake and earthquake induced tsunami early warning. In this thesis, we focus on the application of real-time GNSS to fast seismic source inversion and tsunami early warning. Firstly, we present a new approach to get precise co-seismic displacements using cost effective single-frequency receivers. As is well known, with regard to high precision positioning, the main obstacle for single-frequency GPS receiver is ionospheric delay. Considering that over a few minutes, the change of ionospheric delay is almost linear, we constructed a linear model for each satellite to predict ionospheric delay. The effectiveness of this method has been validated by an out-door experiment and 2011 Tohoku event, which confirms feasibility of using dense GPS networks for geo-hazard early warning at an affordable cost. Secondly, we extended temporal point positioning from GPS-only to GPS/GLONASS and assessed the potential benefits of multi-GNSS for co-seismic displacement determination. Out-door experiments reveal that when observations are conducted in an adversary environment, adding a couple of GLONASS satellites could provide more reliable results. The case study of 2015 Illapel Mw 8.3 earthquake shows that the biases between co-seismic displacements derived from GPS-only and GPS/GLONASS vary from station to station, and could be up to 2 cm in horizontal direction and almost 3 cm in vertical direction. Furthermore, slips inverted from GPS/GLONASS co-seismic displacements using a layered crust structure on a curved plane are shallower and larger for the Illapel event. Thirdly, we tested different inversion tools and discussed the uncertainties of using real-time GNSS for tsunami early warning. To be exact, centroid moment tensor inversion, uniform slip inversion using a single Okada fault and distributed slip inversion in layered crust on a curved plane were conducted using co-seismic displacements recorded during 2014 Pisagua earthquake. While the inversion results give similar magnitude and the rupture center, there are significant differences in depth, strike, dip and rake angles, which lead to different tsunami propagation scenarios. Even though, resulting tsunami forecasting along the Chilean coast is close to each other for all three models. Finally, based on the fact that the positioning performance of BDS is now equivalent to GPS in Asia-Pacific area and Manila subduction zone has been identified as a zone of potential tsunami hazard, we suggested a conceptual BDS/GPS network for tsunami early warning in South China Sea. Numerical simulations with two earthquakes (Mw 8.0 and Mw 7.5) and induced tsunamis demonstrate the viability of this network. In addition, the advantage of BDS/GPS over a single GNSS system by source inversion grows with decreasing earthquake magnitudes.}, language = {en} } @misc{SchuermannBald2016, author = {Sch{\"u}rmann, Robin Mathis and Bald, Ilko}, title = {Real-time monitoring of plasmon induced dissociative electron transfer to the potential DNA radiosensitizer 8-bromoadenine}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-395113}, pages = {5}, year = {2016}, abstract = {The excitation of localized surface plasmons in noble metal nanoparticles (NPs) results in different nanoscale effects such as electric field enhancement, the generation of hot electrons and a temperature increase close to the NP surface. These effects are typically exploited in diverse fields such as surface-enhanced Raman scattering (SERS), NP catalysis and photothermal therapy (PTT). Halogenated nucleobases are applied as radiosensitizers in conventional radiation cancer therapy due to their high reactivity towards secondary electrons. Here, we use SERS to study the transformation of 8-bromoadenine (8BrA) into adenine on the surface of Au and AgNPs upon irradiation with a low-power continuous wave laser at 532, 633 and 785 nm, respectively. The dissociation of 8BrA is ascribed to a hot-electron transfer reaction and the underlying kinetics are carefully explored. The reaction proceeds within seconds or even milliseconds. Similar dissociation reactions might also occur with other electrophilic molecules, which must be considered in the interpretation of respective SERS spectra. Furthermore, we suggest that hot-electron transfer induced dissociation of radiosensitizers such as 8BrA can be applied in the future in PTT to enhance the damage of tumor tissue upon irradiation.}, language = {en} } @unpublished{Eckstein2016, author = {Eckstein, Lars}, title = {Recollecting Bones}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-103278}, pages = {20}, year = {2016}, abstract = {In the same "guarded, roundabout and reticent way" which Lindsay Barrett invokes for Australian conversations about imperial injustice, Germans, too, must begin to more systematically explore, in Paul Gilroy's words, "the connections and the differences between anti-semitism and anti-black and other racisms and asses[s] the issues that arise when it can no longer be denied that they interacted over a long time in what might be seen as Fascism's intellectual, ethical and scientific pre-history" (Gilroy 1996: 26). In the meantime, we need to care for the dead. We need to return them, first, from the status of scientific objects to the status of ancestral human beings, and then progressively, and proactively, as close as possible to the care of those communities from whom they were stolen.}, language = {en} } @misc{Ganghof2016, author = {Ganghof, Steffen}, title = {Reconciling representation and accountability}, series = {Government and Opposition}, journal = {Government and Opposition}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-413456}, pages = {25}, year = {2016}, abstract = {An egalitarian approach to the fair representation of voters specifies three main institutional requirements: proportional representation, legislative majority rule and a parliamentary system of government. This approach faces two challenges: the under-determination of the resulting democratic process and the idea of a trade-off between equal voter representation and government accountability. Linking conceptual with comparative analysis, the article argues that we can distinguish three ideal-typical varieties of the egalitarian vision of democracy, based on the stages at which majorities are formed. These varieties do not put different relative normative weight onto equality and accountability, but have different conceptions of both values and their reconciliation. The view that accountability is necessarily linked to clarity of responsibility', widespread in the comparative literature, is questioned - as is the idea of a general trade-off between representation and accountability. Depending on the vision of democracy, the two values need not be in conflict.}, language = {en} } @misc{KibrikKhudyakovaDobrovetal.2016, author = {Kibrik, Andrej A. and Khudyakova, Mariya V. and Dobrov, Grigory B. and Linnik, Anastasia and Zalmanov, Dmitrij A.}, title = {Referential Choice}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-100313}, pages = {21}, year = {2016}, abstract = {We report a study of referential choice in discourse production, understood as the choice between various types of referential devices, such as pronouns and full noun phrases. Our goal is to predict referential choice, and to explore to what extent such prediction is possible. Our approach to referential choice includes a cognitively informed theoretical component, corpus analysis, machine learning methods and experimentation with human participants. Machine learning algorithms make use of 25 factors, including referent's properties (such as animacy and protagonism), the distance between a referential expression and its antecedent, the antecedent's syntactic role, and so on. Having found the predictions of our algorithm to coincide with the original almost 90\% of the time, we hypothesized that fully accurate prediction is not possible because, in many situations, more than one referential option is available. This hypothesis was supported by an experimental study, in which participants answered questions about either the original text in the corpus, or about a text modified in accordance with the algorithm's prediction. Proportions of correct answers to these questions, as well as participants' rating of the questions' difficulty, suggested that divergences between the algorithm's prediction and the original referential device in the corpus occur overwhelmingly in situations where the referential choice is not categorical.}, language = {en} } @unpublished{Eckstein2016, author = {Eckstein, Lars}, title = {Reflections of Lus{\´a}ni Ciss{\´e}}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-103196}, pages = {17}, year = {2016}, abstract = {On the last sunny October weekend in 2015 I decided to cycle from my home in Berlin to the small town of W{\"u}nsdorf some 40 kilometres south of the city.}, language = {en} } @misc{MuenchKipfstuhlFreitagetal.2016, author = {M{\"u}nch, Thomas and Kipfstuhl, Sepp and Freitag, Johannes and Meyer, Hanno and Laepple, Thomas}, title = {Regional climate signal vs. local noise}, series = {Postprints der Universit{\"a}t Potsdam : Mathematisch-Naturwissenschaftliche Reihe}, journal = {Postprints der Universit{\"a}t Potsdam : Mathematisch-Naturwissenschaftliche Reihe}, number = {500}, issn = {1866-8372}, doi = {10.25932/publishup-40838}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-408385}, pages = {17}, year = {2016}, abstract = {In low-accumulation regions, the reliability of delta O-18-derived temperature signals from ice cores within the Holocene is unclear, primarily due to the small climate changes relative to the intrinsic noise of the isotopic signal. In order to learn about the representativity of single ice cores and to optimise future ice-core-based climate reconstructions, we studied the stable-water isotope composition of firn at Kohnen Station, Dronning Maud Land, Antarctica. Analysing delta O-18 in two 50m long snow trenches allowed us to create an unprecedented, two-dimensional image characterising the isotopic variations from the centimetre to the 100-metre scale. Our results show seasonal layering of the isotopic composition but also high horizontal isotopic variability caused by local stratigraphic noise. Based on the horizontal and vertical structure of the isotopic variations, we derive a statistical noise model which successfully explains the trench data. The model further allows one to determine an upper bound for the reliability of climate reconstructions conducted in our study region at seasonal to annual resolution, depending on the number and the spacing of the cores taken.}, language = {en} } @misc{Scharrer2016, type = {Master Thesis}, author = {Scharrer, Christian}, title = {Relating diameter and mean curvature for varifolds}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-97013}, school = {Universit{\"a}t Potsdam}, pages = {42}, year = {2016}, abstract = {The main results of this thesis are formulated in a class of surfaces (varifolds) generalizing closed and connected smooth submanifolds of Euclidean space which allows singularities. Given an indecomposable varifold with dimension at least two in some Euclidean space such that the first variation is locally bounded, the total variation is absolutely continuous with respect to the weight measure, the density of the weight measure is at least one outside a set of weight measure zero and the generalized mean curvature is locally summable to a natural power (dimension of the varifold minus one) with respect to the weight measure. The thesis presents an improved estimate of the set where the lower density is small in terms of the one dimensional Hausdorff measure. Moreover, if the support of the weight measure is compact, then the intrinsic diameter with respect to the support of the weight measure is estimated in terms of the generalized mean curvature. This estimate is in analogy to the diameter control for closed connected manifolds smoothly immersed in some Euclidean space of Peter Topping. Previously, it was not known whether the hypothesis in this thesis implies that two points in the support of the weight measure have finite geodesic distance.}, language = {en} } @misc{DeSouzaSilveiraCarlsohnLangenetal.2016, author = {De Souza Silveira, Raul and Carlsohn, Anja and Langen, Georg and Mayer, Frank and Scharhag-Rosenberger, Friederike}, title = {Reliability and day-to-day variability of peak fat oxidation during treadmill ergometry}, series = {Postprints der Universit{\"a}t Potsdam : Humanwissenschaftliche Reihe}, journal = {Postprints der Universit{\"a}t Potsdam : Humanwissenschaftliche Reihe}, number = {423}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-407334}, pages = {7}, year = {2016}, abstract = {Background: Exercising at intensities where fat oxidation rates are high has been shown to induce metabolic benefits in recreational and health-oriented sportsmen. The exercise intensity (Fat peak ) eliciting peak fat oxidation rates is therefore of particular interest when aiming to prescribe exercise for the purpose of fat oxidation and related metabolic effects. Although running and walking are feasible and popular among the target population, no reliable protocols are available to assess Fat peak as well as its actual velocity (V PFO ) during treadmill ergometry. Our purpose was therefore, to assess the reliability and day-to-day variability of V PFO and Fat peak during treadmill ergometry running. Methods: Sixteen recreational athletes (f = 7, m = 9; 25 ± 3 y; 1.76 ± 0.09 m; 68.3 ± 13.7 kg; 23.1 ± 2.9 kg/m 2 ) performed 2 different running protocols on 3 different days with standardized nutrition the day before testing. At day 1, peak oxygen uptake (VO 2peak ) and the velocities at the aerobic threshold (V LT ) and respiratory exchange ratio (RER) of 1.00 (V RER ) were assessed. At days 2 and 3, subjects ran an identical submaximal incremental test (Fat-peak test) composed of a 10 min warm-up (70 \% V LT ) followed by 5 stages of 6 min with equal increments (stage 1 = V LT , stage 5 = V RER ). Breath-by-breath gas exchange data was measured continuously and used to determine fat oxidation rates. A third order polynomial function was used to identify V PFO and subsequently Fat peak . The reproducibility and variability of variables was verified with an int raclass correlation coef ficient (ICC), Pearson ' s correlation coefficient, coefficient of variation (CV) an d the mean differences (bias) ± 95 \% limits of agreement (LoA). Results: ICC, Pearson ' s correlation and CV for V PFO and Fat peak were 0.98, 0.97, 5.0 \%; and 0.90, 0.81, 7.0 \%, respectively. Bias ± 95 \% LoA was - 0.3 ± 0.9 km/h for V PFO and - 2±8\%ofVO 2peak for Fat peak. Conclusion: In summary, relative and absolute reliability indicators for V PFO and Fat peak were found to be excellent. The observed LoA may now serve as a basis for future training prescriptions, although fat oxidation rates at prolonged exercise bouts at this intensity still need to be investigated.}, language = {en} } @misc{SasMuellerKappeletal.2016, author = {Sas, Claudia and M{\"u}ller, Frank and Kappel, Christian and Kent, Tyler V. and Wright, Stephen I. and Hilker, Monika and Lenhard, Michael}, title = {Repeated inactivation of the first committed enzyme underlies the loss of benzaldehyde emission after the selfing transition in Capsella}, series = {Postprints der Universit{\"a}t Potsdam : Mathematisch-Naturwissenschaftliche Reihe}, journal = {Postprints der Universit{\"a}t Potsdam : Mathematisch-Naturwissenschaftliche Reihe}, number = {904}, issn = {1866-8372}, doi = {10.25932/publishup-43801}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-438018}, pages = {3313 -- 3319}, year = {2016}, abstract = {The enormous species richness of flowering plants is at least partly due to floral diversification driven by interactions between plants and their animal pollinators [1, 2]. Specific pollinator attraction relies on visual and olfactory floral cues [3-5]; floral scent can not only attract pollinators but also attract or repel herbivorous insects [6-8]. However, despite its central role for plant-animal interactions, the genetic control of floral scent production and its evolutionary modification remain incompletely understood [9-13]. Benzenoids are an important class of floral scent compounds that are generated from phenylalanine via several enzymatic pathways [14-17]. Here we address the genetic basis of the loss of floral scent associated with the transition from outbreeding to selfing in the genus Capsella. While the outbreeding C. grandiflora emits benzaldehyde as a major constituent of its floral scent, this has been lost in the selfing C. rubella. We identify the Capsella CNL1 gene encoding cinnamate: CoA ligase as responsible for this variation. Population genetic analysis indicates that CNL1 has been inactivated twice independently in C. rubella via different novel mutations to its coding sequence. Together with a recent study in Petunia [18], this identifies cinnamate: CoA ligase as an evolutionary hotspot for mutations causing the loss of benzenoid scent compounds in association with a shift in the reproductive strategy of Capsella from pollination by insects to self-fertilization.}, language = {en} } @misc{LichtDupontNivetPullenetal.2016, author = {Licht, Alexis and Dupont-Nivet, Guillaume and Pullen, Alex and Kapp, Paul and Abels, Hemmo A. and Lai, Zulong and Guo, ZhaoJie and Abell, Jordan and Giesler, Dominique}, title = {Resilience of the Asian atmospheric circulation shown by paleogene dust provenance}, series = {Postprints der Universit{\"a}t Potsdam : Mathematisch-Naturwissenschaftliche Reihe}, journal = {Postprints der Universit{\"a}t Potsdam : Mathematisch-Naturwissenschaftliche Reihe}, number = {1114}, issn = {1866-8372}, doi = {10.25932/publishup-43638}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-436381}, pages = {8}, year = {2016}, abstract = {The onset of modern central Asian atmospheric circulation is traditionally linked to the interplay of surface uplift of the Mongolian and Tibetan-Himalayan orogens, retreat of the Paratethys sea from central Asia and Cenozoic global cooling. Although the role of these players has not yet been unravelled, the vast dust deposits of central China support the presence of arid conditions and modern atmospheric pathways for the last 25 million years (Myr). Here, we present provenance data from older (42-33 Myr) dust deposits, at a time when the Tibetan Plateau was less developed, the Paratethys sea still present in central Asia and atmospheric pCO(2) much higher. Our results show that dust sources and near-surface atmospheric circulation have changed little since at least 42 Myr. Our findings indicate that the locus of central Asian high pressures and concurrent aridity is a resilient feature only modulated by mountain building, global cooling and sea retreat.}, language = {en} } @misc{PatilVasishthLewis2016, author = {Patil, Umesh and Vasishth, Shravan and Lewis, Richard L.}, title = {Retrieval interference in syntactic processing}, series = {Postprints der Universit{\"a}t Potsdam : Humanwissenschaftliche Reihe}, journal = {Postprints der Universit{\"a}t Potsdam : Humanwissenschaftliche Reihe}, number = {493}, issn = {1866-8364}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-407987}, pages = {18}, year = {2016}, abstract = {It has been proposed that in online sentence comprehension the dependency between a reflexive pronoun such as himself/herself and its antecedent is resolved using exclusively syntactic constraints. Under this strictly syntactic search account, Principle A of the binding theory which requires that the antecedent c-command the reflexive within the same clause that the reflexive occurs in constrains the parser's search for an antecedent. The parser thus ignores candidate antecedents that might match agreement features of the reflexive (e.g., gender) but are ineligible as potential antecedents because they are in structurally illicit positions. An alternative possibility accords no special status to structural constraints: in addition to using Principle A, the parser also uses non-structural cues such as gender to access the antecedent. According to cue -based retrieval theories of memory (e.g., Lewis and Vasishth, 2005), the use of non-structural cues should result in increased retrieval times and occasional errors when candidates partially match the cues, even if the candidates are in structurally illicit positions. In this paper, we first show how the retrieval processes that underlie the reflexive binding are naturally realized in the Lewis and Vasishth (2005) model. We present the predictions of the model under the assumption that both structural and non-structural cues are used during retrieval, and provide a critical analysis of previous empirical studies that failed to find evidence for the use of non-structural cues, suggesting that these failures may be Type II errors. We use this analysis and the results of further modeling to motivate a new empirical design that we use in an eye tracking study. The results of this study confirm the key predictions of the model concerning the use of non-structural cues, and are inconsistent with the strictly syntactic search account. These results present a challenge for theories advocating the infallibility of the human parser in the case of reflexive resolution, and provide support for the inclusion of agreement features such as gender in the set of retrieval cues.}, language = {en} } @misc{ThiekenKienzlerKreibichetal.2016, author = {Thieken, Annegret and Kienzler, Sarah and Kreibich, Heidi and Kuhlicke, Christian and Kunz, Michael and M{\"u}hr, Bernhard and M{\"u}ller, Meike and Otto, Antje and Petrow, Theresia and Pisi, Sebastian and Schr{\"o}ter, Kai}, title = {Review of the flood risk management system in Germany after the major flood in 2013}, issn = {1866-8372}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-100600}, pages = {12}, year = {2016}, abstract = {Widespread flooding in June 2013 caused damage costs of €6 to 8 billion in Germany, and awoke many memories of the floods in August 2002, which resulted in total damage of €11.6 billion and hence was the most expensive natural hazard event in Germany up to now. The event of 2002 does, however, also mark a reorientation toward an integrated flood risk management system in Germany. Therefore, the flood of 2013 offered the opportunity to review how the measures that politics, administration, and civil society have implemented since 2002 helped to cope with the flood and what still needs to be done to achieve effective and more integrated flood risk management. The review highlights considerable improvements on many levels, in particular (1) an increased consideration of flood hazards in spatial planning and urban development, (2) comprehensive property-level mitigation and preparedness measures, (3) more effective flood warnings and improved coordination of disaster response, and (4) a more targeted maintenance of flood defense systems. In 2013, this led to more effective flood management and to a reduction of damage. Nevertheless, important aspects remain unclear and need to be clarified. This particularly holds for balanced and coordinated strategies for reducing and overcoming the impacts of flooding in large catchments, cross-border and interdisciplinary cooperation, the role of the general public in the different phases of flood risk management, as well as a transparent risk transfer system. Recurring flood events reveal that flood risk management is a continuous task. Hence, risk drivers, such as climate change, land-use changes, economic developments, or demographic change and the resultant risks must be investigated at regular intervals, and risk reduction strategies and processes must be reassessed as well as adapted and implemented in a dialogue with all stakeholders.}, language = {en} } @techreport{Krieger2016, type = {Working Paper}, author = {Krieger, Heike}, title = {Rights and Obligations of Third Parties in Armed Conflict}, series = {KFG Working Paper Series}, journal = {KFG Working Paper Series}, number = {5}, issn = {2509-3770}, doi = {10.25932/publishup-42073}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-420732}, pages = {23}, year = {2016}, abstract = {This paper will turn into a contribution to a book on community obligations. It focusses on third parties' rights and obligations in armed conflict. It is often said that international law has developed from a legal order which is designed to protect sovereignty to a system which also promotes community interests. This shift is said to be reflected in structural changes of the legal system. The creation of rights and obligations for third parties is generally seen as a part of this perceived paradigmatic shift. Community interests can be furthered either by negative duties of abstention, by an entitlement for third states, or even by duties to take positive measures. Since the shift towards protecting community interests apparently requires some form of cooperation, positive rights and duties to protect and to promote appear to be indispensable. Authors relying on a community perspective often dismiss duties of abstention as an expression of indifference in the face of a violation of a fundamental norm. Solidarity seems to require that third states take a more proactive role in actively enforcing community interests. The paper aims to test this understanding on the basis of an analysis of rights and obligations of third states in armed conflict. In order to argue that duties of abstention of third states are a central instrument for promoting community interests in relation to armed conflicts, the paper will first trace pertinent structural changes in international law. In particular, it will question the extent to which positive rights and obligations of third states have been firmly established in international law. In a second step, this contribution will evaluate the overall tendencies in the ongoing lawmaking process for promoting community interests in relation to armed conflict.}, language = {en} } @misc{BookerJacobRappetal.2016, author = {Booker, Anke and Jacob, Louis E. C. and Rapp, Michael A. and Bohlken, Jens and Kostev, Karel}, title = {Risk factors for dementia diagnosis in German primary care practices}, series = {Postprints der Universit{\"a}t Potsdam : Humanwissenschaftliche Reihe}, journal = {Postprints der Universit{\"a}t Potsdam : Humanwissenschaftliche Reihe}, number = {449}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-413441}, pages = {7}, year = {2016}, abstract = {Background: Dementia is a psychiatric condition the development of which is associated with numerous aspects of life. Our aim was to estimate dementia risk factors in German primary care patients. Methods: The case-control study included primary care patients (70-90 years) with first diagnosis of dementia (all-cause) during the index period (01/2010-12/2014) (Disease Analyzer, Germany), and controls without dementia matched (1:1) to cases on the basis of age, sex, type of health insurance, and physician. Practice visit records were used to verify that there had been 10 years of continuous follow-up prior to the index date. Multivariate logistic regression models were fitted with dementia as a dependent variable and the potential predictors. Results: The mean age for the 11,956 cases and the 11,956 controls was 80.4 (SD: 5.3) years. 39.0\% of them were male and 1.9\% had private health insurance. In the multivariate regression model, the following variables were linked to a significant extent with an increased risk of dementia: diabetes (OR: 1.17; 95\% CI: 1.10-1.24), lipid metabolism (1.07; 1.00-1.14), stroke incl. TIA (1.68; 1.57-1.80), Parkinson's disease (PD) (1.89; 1.64-2.19), intracranial injury (1.30; 1.00-1.70), coronary heart disease (1.06; 1.00-1.13), mild cognitive impairment (MCI) (2.12; 1.82-2.48), mental and behavioral disorders due to alcohol use (1.96; 1.50-2.57). The use of statins (OR: 0.94; 0.90-0.99), proton-pump inhibitors (PPI) (0.93; 0.90-0.97), and antihypertensive drugs (0.96, 0.94-0.99) were associated with a decreased risk of developing dementia. Conclusions: Risk factors for dementia found in this study are consistent with the literature. Nevertheless, the associations between statin, PPI and antihypertensive drug use, and decreased risk of dementia need further investigations.}, language = {en} } @phdthesis{Teshebaeva2016, author = {Teshebaeva, Kanayim}, title = {SAR interferometry analysis of surface processes in the Pamir - Tien Shan active orogens - emphasis on coseismic deformation and landslides}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-96743}, school = {Universit{\"a}t Potsdam}, pages = {128}, year = {2016}, abstract = {This thesis presents new approaches of SAR methods and their application to tectonically active systems and related surface deformation. With 3 publications two case studies are presented: (1) The coseismic deformation related to the Nura earthquake (5th October 2008, magnitude Mw 6.6) at the eastern termination of the intramontane Alai valley. Located between the southern Tien Shan and the northern Pamir the coseismic surface displacements are analysed using SAR (Synthetic Aperture RADAR) data. The results show clear gradients in the vertical and horizontal directions along a complex pattern of surface ruptures and active faults. To integrate and to interpret these observations in the context of the regional active tectonics a SAR data analysis is complemented with seismological data and geological field observations. The main moment release of the Nura earthquake appears to be on the Pamir Frontal thrust, while the main surface displacements and surface rupture occurred in the footwall and along of the NE-SW striking Irkeshtam fault. With InSAR data from ascending and descending satellite tracks along with pixel offset measurements the Nura earthquake source is modelled as a segmented rupture. One fault segment corresponds to high-angle brittle faulting at the Pamir Frontal thrust and two more fault segments show moderate-angle and low-friction thrusting at the Irkeshtam fault. The integrated analysis of the coseismic deformation argues for a rupture segmentation and strain partitioning associated to the earthquake. It possibly activated an orogenic wedge in the easternmost segment of the Pamir-Alai collision zone. Further, the style of the segmentation may be associated with the presence of Paleogene evaporites. (2) The second focus is put on slope instabilities and consequent landslides in the area of prominent topographic transition between the Fergana basin and high-relief Alai range. The Alai range constitutes an active orogenic wedge of the Pamir - Tien Shan collision zone that described as a progressively northward propagating fold-and-thrust belt. The interferometric analysis of ALOS/PALSAR radar data integrates a period of 4 years (2007-2010) based on the Small Baseline Subset (SBAS) time-series technique to assess surface deformation with millimeter surface change accuracy. 118 interferograms are analyzed to observe spatially-continuous movements with downslope velocities up to 71 mm/yr. The obtained rates indicate slow movement of the deep-seated landslides during the observation time. We correlated these movements with precipitation and seismic records. The results suggest that the deformation peaks correlate with rainfall in the 3 preceding months and with one earthquake event. In the next step, to understand the spatial pattern of landslide processes, the tectonic morphologic and lithologic settings are combined with the patterns of surface deformation. We demonstrate that the lithological and tectonic structural patterns are the main controlling factors for landslide occurrence and surface deformation magnitudes. Furthermore active contractional deformation in the front of the orogenic wedge is the main mechanism to sustain relief. Some of the slower but continuously moving slope instabilities are directly related to tectonically active faults and unconsolidated young Quaternary syn-orogenic sedimentary sequences. The InSAR observed slow moving landslides represent active deep-seated gravitational slope deformation phenomena which is first time observed in the Tien Shan mountains. Our approach offers a new combination of InSAR techniques and tectonic aspects to localize and understand enhanced slope instabilities in tectonically active mountain fronts in the Kyrgyz Tien Shan.}, language = {en} } @phdthesis{Synodinos2016, author = {Synodinos, Alexios D.}, title = {Savanna dynamics under extreme conditions}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-395000}, school = {Universit{\"a}t Potsdam}, pages = {x, 168}, year = {2016}, abstract = {Savannas cover a broad geographical range across continents and are a biome best described by a mix of herbaceous and woody plants. The former create a more or less continuous layer while the latter should be sparse enough to leave an open canopy. What has long intrigued ecologists is how these two competing plant life forms of vegetation coexist. Initially attributed to resource competition, coexistence was considered the stable outcome of a root niche differentiation between trees and grasses. The importance of environmental factors became evident later, when data from moister environments demonstrated that tree cover was often lower than what the rainfall conditions would allow for. Our current understanding relies on the interaction of competition and disturbances in space and time. Hence, the influence of grazing and fire and the corresponding feedbacks they generate have been keenly investigated. Grazing removes grass cover, initiating a self-reinforcing process propagating tree cover expansion. This is known as the encroachment phenomenon. Fire, on the other hand, imposes a bottleneck on the tree population by halting the recruitment of young trees into adulthood. Since grasses fuel fires, a feedback linking grazing, grass cover, fire, and tree cover is created. In African savannas, which are the focus of this dissertation, these feedbacks play a major role in the dynamics. The importance of these feedbacks came into sharp focus when the notion of alternative states began to be applied to savannas. Alternative states in ecology arise when different states of an ecosystem can occur under the same conditions. According to this an open savanna and a tree-dominated savanna can be classified as alternative states, since they can both occur under the same climatic conditions. The aforementioned feedbacks are critical in the creation of alternative states. The grass-fire feedback can preserve an open canopy as long as fire intensity and frequency remain above a certain threshold. Conversely, crossing a grazing threshold can force an open savanna to shift to a tree-dominated state. Critically, transitions between such alternative states can produce hysteresis, where a return to pre-transition conditions will not suffice to restore the ecosystem to its original state. In the chapters that follow, I will cover aspects relating to the coexistence mechanisms and the role of feedbacks in tree-grass interactions. Coming back to the coexistence question, due to the overwhelming focus on competition and disturbance another important ecological process was neglected: facilitation. Therefore, in the first study within this dissertation I examine how facilitation can expand the tree-grass coexistence range into drier conditions. For the second study I focus on another aspect of savanna dynamics which remains underrepresented in the literature: the impacts of inter-annual rainfall variability upon savanna trees and the resilience of the savanna state. In the third and final study within this dissertation I approach the well-researched encroachment phenomenon from a new perspective: I search for an early warning indicator of the process to be used as a prevention tool for savanna conservation. In order to perform all this work I developed a mathematical ecohydrological model of Ordinary Differential Equations (ODEs) with three variables: soil moisture content, grass cover and tree cover. Facilitation: Results showed that the removal of grass cover through grazing was detrimental to trees under arid conditions, contrary to expectation based on resource competition. The reason was that grasses preserved moisture in the soil through infiltration and shading, thus ameliorating the harsh conditions for trees in accordance with the Stress Gradient Hypothesis. The exclusion of grasses from the model further demonstrated this: tree cover was lower in the absence of grasses, indicating that the benefits of grass facilitation outweighed the costs of grass competition for trees. Thus, facilitation expanded the climatic range where savannas persisted into drier conditions. Rainfall variability: By adjusting the model to current rainfall patterns in East Africa, I simulated conditions of increasing inter-annual rainfall variability for two distinct mean rainfall scenarios: semi-arid and mesic. Alternative states of tree-less grassland and tree-dominated savanna emerged in both cases. Increasing variability reduced semi-arid savanna tree cover to the point that at high variability the savanna state was eliminated, because variability intensified resource competition and strengthened the fire disturbance during high rainfall years. Mesic savannas, on the other hand, became more resilient along the variability gradient: increasing rainfall variability created more opportunities for the rapid growth of trees to overcome the fire disturbance, boosting the chances of savannas persisting and thus increasing mesic savanna resilience. Preventing encroachment: The breakdown in the grass-fire feedback caused by heavy grazing promoted the expansion of woody cover. This could be irreversible due to the presence of alternative states of encroached and open savanna, which I found along a simulated grazing gradient. When I simulated different short term heavy grazing treatments followed by a reduction to the original grazing conditions, certain cases converged to the encroached state. Utilising woody cover changes only during the heavy grazing treatment, I developed an early warning indicator which identified these cases with a high risk of such hysteresis and successfully distinguished them from those with a low risk. Furthermore, after validating the indicator on encroachment data, I demonstrated that it appeared early enough for encroachment to be prevented through realistic grazing-reduction treatments. Though this dissertation is rooted in the theory of savanna dynamics, its results can have significant applications in savanna conservation. Facilitation has only recently become a topic of interest within savanna literature. Given the threat of increasing droughts and a general anticipation of drier conditions in parts of Africa, insights stemming from this research may provide clues for preserving arid savannas. The impacts of rainfall variability on savannas have not yet been thoroughly studied, either. Conflicting results appear as a result of the lack of a robust theoretical understanding of plant interactions under variable conditions. . My work and other recent studies argue that such conditions may increase the importance of fast resource acquisition creating a 'temporal niche'. Woody encroachment has been extensively studied as phenomenon, though not from the perspective of its early identification and prevention. The development of an encroachment forecasting tool, as the one presented in this work, could protect both the savanna biome and societies dependent upon it for (economic) survival. All studies which follow are bound by the attempt to broaden the horizons of savanna-related research in order to deal with extreme conditions and phenomena; be it through the enhancement of the coexistence debate or the study of an imminent external threat or the development of a management-oriented tool for the conservation of savannas.}, language = {en} } @misc{XiongStolleLuehretal.2016, author = {Xiong, Chao and Stolle, Claudia and L{\"u}hr, Hermann and Park, Jaeheung and Fejer, Bela G. and Kervalishvili, Guram N.}, title = {Scale analysis of equatorial plasma irregularities derived from Swarm constellation}, series = {Postprints der Universit{\"a}t Potsdam : Mathematisch-Naturwissenschaftliche Reihe}, journal = {Postprints der Universit{\"a}t Potsdam : Mathematisch-Naturwissenschaftliche Reihe}, number = {1112}, issn = {1866-8372}, doi = {10.25932/publishup-43184}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-431842}, pages = {14}, year = {2016}, abstract = {In this study, we investigated the scale sizes of equatorial plasma irregularities (EPIs) using measurements from the Swarm satellites during its early mission and final constellation phases. We found that with longitudinal separation between Swarm satellites larger than 0.4°, no significant correlation was found any more. This result suggests that EPI structures include plasma density scale sizes less than 44 km in the zonal direction. During the Swarm earlier mission phase, clearly better EPI correlations are obtained in the northern hemisphere, implying more fragmented irregularities in the southern hemisphere where the ambient magnetic field is low. The previously reported inverted-C shell structure of EPIs is generally confirmed by the Swarm observations in the northern hemisphere, but with various tilt angles. From the Swarm spacecrafts with zonal separations of about 150 km, we conclude that larger zonal scale sizes of irregularities exist during the early evening hours (around 1900 LT).}, language = {en} } @misc{BhataraLaukkaBollAvetisyanetal.2016, author = {Bhatara, Anjali and Laukka, Petri and Boll-Avetisyan, Natalie and Granjon, Lionel and Elfenbein, Hillary Anger and B{\"a}nziger, Tanja}, title = {Second language ability and emotional prosody perception}, series = {Postprints der Universit{\"a}t Potsdam : Humanwissenschaftliche Reihe}, journal = {Postprints der Universit{\"a}t Potsdam : Humanwissenschaftliche Reihe}, number = {503}, issn = {1866-8364}, doi = {10.25932/publishup-41186}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-411860}, pages = {13}, year = {2016}, abstract = {The present study examines the effect of language experience on vocal emotion perception in a second language. Native speakers of French with varying levels of self-reported English ability were asked to identify emotions from vocal expressions produced by American actors in a forced-choice task, and to rate their pleasantness, power, alertness and intensity on continuous scales. Stimuli included emotionally expressive English speech (emotional prosody) and non-linguistic vocalizations (affect bursts), and a baseline condition with Swiss-French pseudo-speech. Results revealed effects of English ability on the recognition of emotions in English speech but not in non-linguistic vocalizations. Specifically, higher English ability was associated with less accurate identification of positive emotions, but not with the interpretation of negative emotions. Moreover, higher English ability was associated with lower ratings of pleasantness and power, again only for emotional prosody. This suggests that second language skills may sometimes interfere with emotion recognition from speech prosody, particularly for positive emotions.}, language = {en} } @misc{ZhuSchluppTiedemann2016, author = {Zhu, Fangjun and Schlupp, Ingo and Tiedemann, Ralph}, title = {Sequence Evolution and Expression of the Androgen Receptor and Other Pathway-Related Genes in a Unisexual Fish, the Amazon Molly, Poecilia formosa, and Its Bisexual Ancestors}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-97119}, pages = {19}, year = {2016}, abstract = {The all-female Amazon molly (Poecilia formosa) originated from a single hybridization of two bisexual ancestors, Atlantic molly (Poecilia mexicana) and sailfin molly (Poecilia latipinna). As a gynogenetic species, the Amazon molly needs to copulate with a heterospecific male, but the genetic information of the sperm-donor does not contribute to the next generation, as the sperm only acts as the trigger for the diploid eggs' embryogenesis. Here, we study the sequence evolution and gene expression of the duplicated genes coding for androgen receptors (ars) and other pathway-related genes, i.e., the estrogen receptors (ers) and cytochrome P450, family19, subfamily A, aromatase genes (cyp19as), in the Amazon molly, in comparison to its bisexual ancestors. Mollies possess-as most other teleost fish—two copies of the ar, er, and cyp19a genes, i.e., arα/arβ, erα/erβ1, and cyp19a1 (also referred as cyp19a1a)/cyp19a2 (also referred to as cyp19a1b), respectively. Non-synonymous single nucleotide polymorphisms (SNPs) among the ancestral bisexual species were generally predicted not to alter protein function. Some derived substitutions in the P. mexicana and one in P. formosa are predicted to impact protein function. We also describe the gene expression pattern of the ars and pathway-related genes in various tissues (i.e., brain, gill, and ovary) and provide SNP markers for allele specific expression research. As a general tendency, the levels of gene expression were lowest in gill and highest in ovarian tissues, while expression levels in the brain were intermediate in most cases. Expression levels in P. formosa were conserved where expression did not differ between the two bisexual ancestors. In those cases where gene expression levels significantly differed between the bisexual species, P. formosa expression was always comparable to the higher expression level among the two ancestors. Interestingly, erβ1 was expressed neither in brain nor in gill in the analyzed three molly species, which implies a more important role of erα in the estradiol synthesis pathway in these tissues. Furthermore, our data suggest that interactions of steroid-signaling pathway genes differ across tissues, in particular the interactions of ars and cyp19as.}, language = {en} } @misc{SchusterKraheIlabacaBaezaetal.2016, author = {Schuster, Isabell and Krah{\´e}, Barbara and Ilabaca Baeza, Paola and Munoz-Reyes, Jose Antonio}, title = {Sexual Aggression Victimization and Perpetration among Male and Female College Students in Chile}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-104684}, year = {2016}, abstract = {Evidence on the prevalence of sexual aggression among college students is primarily based on studies from Western countries. In Chile, a South American country strongly influenced by the Catholic Church, little research on sexual aggression among college students is available. Therefore, the purpose of the present study was to examine the prevalence of sexual aggression victimization and perpetration since the age of 14 (the legal age of consent) in a sample of male and female students aged between 18 and 29 years from five Chilean universities (N = 1135), to consider possible gender differences, and to study the extent to which alcohol was involved in the reported incidents of perpetration and victimization. Sexual aggression victimization and perpetration was measured with a Chilean Spanish version of the Sexual Aggression and Victimization Scale (SAV-S), which includes three coercive strategies (use or threat of physical force, exploitation of an incapacitated state, and verbal pressure), three victim-perpetrator constellations (current or former partners, friends/acquaintances, and strangers), and four sexual acts (sexual touch, attempted sexual intercourse, completed sexual intercourse, and other sexual acts, such as oral sex). Overall, 51.9\% of women and 48.0\% of men reported at least one incident of sexual victimization, and 26.8\% of men and 16.5\% of women reported at least one incident of sexual aggression perpetration since the age of 14. For victimization, only few gender differences were found, but significantly more men than women reported sexual aggression perpetration. A large proportion of perpetrators also reported victimization experiences. Regarding victim-perpetrator relationship, sexual aggression victimization and perpetration were more common between persons who knew each other than between strangers. Alcohol use by the perpetrator, victim, or both was involved in many incidents of sexual aggression victimization and perpetration, particularly among strangers. The present data are the first to provide a systematic and detailed picture of sexual aggression among college students in Chile, including victimization and perpetration reports by both men and women and confirming the critical role of alcohol established in past research from Western countries.}, language = {en} } @misc{FeldmannLevermann2016, author = {Feldmann, Johannes and Levermann, Anders}, title = {Similitude of ice dynamics against scaling of geometry and physical parameters}, series = {Postprints der Universit{\"a}t Potsdam : Mathematisch Naturwissenschaftliche Reihe}, journal = {Postprints der Universit{\"a}t Potsdam : Mathematisch Naturwissenschaftliche Reihe}, number = {564}, issn = {1866-8372}, doi = {10.25932/publishup-41244}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-412441}, pages = {1753 -- 1769}, year = {2016}, abstract = {The concept of similitude is commonly employed in the fields of fluid dynamics and engineering but rarely used in cryospheric research. Here we apply this method to the problem of ice flow to examine the dynamic similitude of isothermal ice sheets in shallow-shelf approximation against the scaling of their geometry and physical parameters. Carrying out a dimensional analysis of the stress balance we obtain dimensionless numbers that characterize the flow. Requiring that these numbers remain the same under scaling we obtain conditions that relate the geometric scaling factors, the parameters for the ice softness, surface mass balance and basal friction as well as the ice-sheet intrinsic response time to each other. We demonstrate that these scaling laws are the same for both the (two-dimensional) flow-line case and the three-dimensional case. The theoretically predicted ice-sheet scaling behavior agrees with results from numerical simulations that we conduct in flow-line and three-dimensional conceptual setups. We further investigate analytically the implications of geometric scaling of ice sheets for their response time. With this study we provide a framework which, under several assumptions, allows for a fundamental comparison of the ice-dynamic behavior across different scales. It proves to be useful in the design of conceptual numerical model setups and could also be helpful for designing laboratory glacier experiments. The concept might also be applied to real-world systems, e.g., to examine the response times of glaciers, ice streams or ice sheets to climatic perturbations.}, language = {en} } @article{Korat2016, author = {Korat, Omer}, title = {Singular quantified terms}, series = {Proceedings of the Semantics of African, Asian and Austronesian Languages (TripleA) 2}, journal = {Proceedings of the Semantics of African, Asian and Austronesian Languages (TripleA) 2}, editor = {Grubic, Mira and Mucha, Anne}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-92313}, pages = {36 -- 51}, year = {2016}, abstract = {In this paper, I discuss the behavior of singular partitives, focusing on Hebrew. I show that group noun-headed singular quantified terms behave essentially different from other singular quantified terms. Specifically, the domain of quantification in the former is a discrete set (the members of the group), while in the latter the domain of quantification is a set of mass entities. I propose a preliminary analysis of singular quantified terms in Hebrew, respecting the properties peculiar to this language as well as the observations about group vs. non-group singular quantified terms. This analysis is based on a novel class of quantifiers I name 'Measure Quantifiers', which instantiate relations between algebraic sums. Using shifts between algebraic sums, we can represent the different readings of singular and plural individual or group terms.}, language = {en} } @misc{Fischer2016, type = {Master Thesis}, author = {Fischer, Friederike}, title = {SLA research and course books for EFL}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-395163}, school = {Universit{\"a}t Potsdam}, pages = {63}, year = {2016}, abstract = {Die vorliegende Arbeit besch{\"a}ftigt sich mit der Grammatikvermittlung im Englischunterricht. Im Rahmen dessen wird ein Schulbuch (English G 21 A2) daraufhin untersucht ob es kompatibel mit aktuellen Theorien zum Zweitspracherwerb ist. Zu Beginn der Arbeit werden historische und aktuelle Auffassungen zur Grammatikvermittlung zusammengefasst und im Anschluss der aktuelle Rahmenlehrplan auf seine Aussagen hinsichtlich der zu vermittelnden Grammatik im Fremdsprachenunterricht untersucht. Hierbei wird deutlich dass der Rahmenlehrplan des Landes Brandenburg wenige Vorgaben bez{\"u}glich der grammatischen Ph{\"a}nomene, die behandelt werden sollen, gibt. Dies erkl{\"a}rt unter anderem den hohen Stellenwert, den Lehrb{\"u}cher im Fremdsprachenunterricht haben. Sie dienen den Lehrenden als Materialquelle und gleichzeitig als Richtlinie daf{\"u}r, welche Themen wie und in welcher Reihenfolge unterrichtet werden k{\"o}nnen. Es folgt eine {\"U}bersicht {\"u}ber kognitive Theorien des Zweitspracherwerbs und des Sprachunterrichts, u.a. Krashens Monitorhypothese, R. Ellis' Weak Interface Modell oder Pienemanns Processability Theory. Auf der Basis dieser Theorien werden Kriterien f{\"u}r die Gestaltung von Schulb{\"u}chern, die einen m{\"o}glichst aktuellen Erkenntnissen folgenden Grammatikunterricht unterst{\"u}tzen herausgearbeitet. Dazu geh{\"o}ren das Anbieten von viel zielsprachlichem Input, Bereitstellung von {\"U}bungen (practice) und bewusstmachenden Aktivit{\"a}ten (consciousness-raising activities), das Beachten der Erwerbssequenz und das Bereitstellen eines diagnostischen Instruments sodass die Sch{\"u}lerinnen und Sch{\"u}ler herausfinden k{\"o}nnen, wo sie im Fremdsprachenerwerb stehen und woran sie noch arbeiten m{\"u}ssen. Auch das Anbieten vieler Gelegenheiten zur (individuellen) Wiederholung wird als sehr wichtig herausgestellt. All diese Vorgaben stehen nat{\"u}rlich unter dem Vorbehalt dass Schulb{\"u}cher den Unterricht nur in begrenztem Maße beeinflussen k{\"o}nnen und die endg{\"u}ltigen Entscheidungen von den Lehrenden in der Situation getroffen werden. F{\"u}r den Analyseteil wird eine kommunikative Absicht, die in der Regel im Englischunterricht der Sekundarstufe 1 behandelt wird, herausgegriffen. Es handelt sich dabei um die F{\"a}higkeit, {\"u}ber die Zukunft zu sprechen. Dazu werden zun{\"a}chst die M{\"o}glichkeiten im Englischen {\"u}ber die Zukunft zu sprechen beschrieben und in der didaktischen Analyse f{\"u}r die Vermittlung im Unterricht reduziert. Nach einer Beschreibung des betrachteten Schulbuchs und der Behandlung dieses Themas in diesem Buch wird dies mit den ausgearbeiteten Kriterien verglichen. Hierbei stellt sich heraus, dass das Buch in vielen Punkten durchaus mit aktuellen Zweitspracherwerbstheorien kompatibel ist (z.B. bez{\"u}glich des Einarbeitens von Erkl{\"a}rungen zu grammatikalischen Strukturen) in anderen jedoch noch Raum f{\"u}r Verbesserungen besteht (z.B. bez{\"u}glich der F{\"u}lle des Inputs und der Anzahl an bewusstmachenden Aktivit{\"a}ten).}, language = {en} } @misc{WalzGretRegameyLavorel2016, author = {Walz, Ariane and Gr{\^e}t-Regamey, Adrienne and Lavorel, Sandra}, title = {Social valuation of ecosystem services in mountain regions}, series = {Postprints der Universit{\"a}t Potsdam : Mathematisch-Naturwissenschaftliche Reihe}, journal = {Postprints der Universit{\"a}t Potsdam : Mathematisch-Naturwissenschaftliche Reihe}, number = {917}, issn = {1866-8372}, doi = {10.25932/publishup-44203}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-442031}, pages = {1985 -- 1987}, year = {2016}, language = {en} } @misc{KocThieken2016, author = {Ko{\c{c}}, Gamze and Thieken, Annegret}, title = {Societal and economic impacts of flood hazards in Turkey}, series = {Postprints der Universit{\"a}t Potsdam : Mathematisch-Naturwissenschaftliche Reihe}, journal = {Postprints der Universit{\"a}t Potsdam : Mathematisch-Naturwissenschaftliche Reihe}, number = {903}, issn = {1866-8372}, doi = {10.25932/publishup-43877}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-438779}, pages = {17}, year = {2016}, abstract = {Turkey has been severely affected by many natural hazards, in particular earthquakes and floods. Although there is a large body of literature on earthquake hazards and risks in Turkey, comparatively little is known about flood hazards and risks. Therefore, with this study it is aimed to investigate flood patterns, societal and economic impacts of flood hazards in Turkey, as well as providing a comparative overview of the temporal and spatial distribution of flood losses by analysing EM-DAT (Emergency Events Database) and TABB (Turkey Disaster Data Base) databases on disaster losses throughout Turkey for the years 1960-2014. The comparison of these two databases reveals big mismatches of the flood data, e.g. the reported number of events, number of affected people and economic loss, differ dramatically. With this paper, it has been explored reasons for mismatches. Biases and fallacies for loss data in the two databases has been discussed as well. Since loss data collection is gaining more and more attention, e.g. in the Sendai Framework for Disaster Risk Reduction 2015-2030 (SFDRR), the study could offer a base-work for developing guidelines and procedures on how to standardize loss databases and implement across the other hazard events, as well as substantial insights for flood risk mitigation and adaptation studies in Turkey and will offer valuable insights for other (European) countries.}, language = {en} } @article{Poduzova2016, author = {Poduzova, Ekaterina}, title = {Some Basic Aspects Of Organizational Contracts In Modern Contract Law}, series = {Dritte Woche des Russischen Rechts, Potsdam, 13.-17.10.2014, mit der Moskauer Staatlichen Juristischen O. E. Kutafin Universit{\"a}t (Akademie)}, volume = {3}, journal = {Dritte Woche des Russischen Rechts, Potsdam, 13.-17.10.2014, mit der Moskauer Staatlichen Juristischen O. E. Kutafin Universit{\"a}t (Akademie)}, publisher = {Universit{\"a}tsverlag Potsdam}, address = {Potsdam}, isbn = {978-3-86956-340-4}, issn = {2199-9686}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-92008}, pages = {117 -- 126}, year = {2016}, language = {en} } @misc{Eckstein2016, author = {Eckstein, Lars}, title = {Sound matters}, series = {Postprints der Universit{\"a}t Potsdam : Philosophische Reihe}, journal = {Postprints der Universit{\"a}t Potsdam : Philosophische Reihe}, number = {119}, issn = {1866-8380}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-98393}, pages = {13}, year = {2016}, abstract = {This essay proposes a reorientation in postcolonial studies that takes account of the transcultural realities of the viral twenty-first century. This reorientation entails close attention to actual performances, their specific medial embeddedness, and their entanglement in concrete formal or informal material conditions. It suggests that rather than a focus on print and writing favoured by theories in the wake of the linguistic turn, performed lyrics and sounds may be better suited to guide the conceptual work. Accordingly, the essay chooses a classic of early twentieth-century digital music - M.I.A.'s 2003/2005 single "Galang" - as its guiding example. It ultimately leads up to a reflection on what Ravi Sundaram coined as "pirate modernity," which challenges us to rethink notions of artistic authorship and authority, hegemony and subversion, culture and theory in the postcolonial world of today.}, language = {en} } @misc{LahTrenseBenkeetal.2016, author = {Lah, Ljerka and Trense, Daronja and Benke, Harald and Berggren, Per and Gunnlaugsson, Þorvaldur and Lockyer, Christina and {\"O}zt{\"u}rk, Ayaka and {\"O}zt{\"u}rk, Bayram and Pawliczka, Iwona and Roos, Anna and Siebert, Ursula and Sk{\´o}ra, Krzysztof and V{\´i}kingsson, G{\´i}sli and Tiedemann, Ralph}, title = {Spatially Explicit Analysis of Genome-Wide SNPs Detects Subtle Population Structure in a Mobile Marine Mammal, the Harbor Porpoise}, issn = {1866-8372}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-100813}, pages = {23 Seiten}, year = {2016}, abstract = {The population structure of the highly mobile marine mammal, the harbor porpoise (Phocoena phocoena), in the Atlantic shelf waters follows a pattern of significant isolation-by-distance. The population structure of harbor porpoises from the Baltic Sea, which is connected with the North Sea through a series of basins separated by shallow underwater ridges, however, is more complex. Here, we investigated the population differentiation of harbor porpoises in European Seas with a special focus on the Baltic Sea and adjacent waters, using a population genomics approach. We used 2872 single nucleotide polymorphisms (SNPs), derived from double digest restriction-site associated DNA sequencing (ddRAD-seq), as well as 13 microsatellite loci and mitochondrial haplotypes for the same set of individuals. Spatial principal components analysis (sPCA), and Bayesian clustering on a subset of SNPs suggest three main groupings at the level of all studied regions: the Black Sea, the North Atlantic, and the Baltic Sea. Furthermore, we observed a distinct separation of the North Sea harbor porpoises from the Baltic Sea populations, and identified splits between porpoise populations within the Baltic Sea. We observed a notable distinction between the Belt Sea and the Inner Baltic Sea sub-regions. Improved delineation of harbor porpoise population assignments for the Baltic based on genomic evidence is important for conservation management of this endangered cetacean in threatened habitats, particularly in the Baltic Sea proper. In addition, we show that SNPs outperform microsatellite markers and demonstrate the utility of RAD-tags from a relatively small, opportunistically sampled cetacean sample set for population diversity and divergence analysis.}, language = {en} } @misc{BatsiosRenBaumannetal.2016, author = {Batsios, Petros and Ren, Xiang and Baumann, Otto and Larochelle, Denis A. and Gr{\"a}f, Ralph}, title = {Src1 is a Protein of the Inner Nuclear Membrane Interacting with the Dictyostelium Lamin NE81}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-97033}, pages = {15}, year = {2016}, abstract = {The nuclear envelope (NE) consists of the outer and inner nuclear membrane (INM), whereby the latter is bound to the nuclear lamina. Src1 is a Dictyostelium homologue of the helix-extension-helix family of proteins, which also includes the human lamin-binding protein MAN1. Both endogenous Src1 and GFP-Src1 are localized to the NE during the entire cell cycle. Immuno-electron microscopy and light microscopy after differential detergent treatment indicated that Src1 resides in the INM. FRAP experiments with GFP-Src1 cells suggested that at least a fraction of the protein could be stably engaged in forming the nuclear lamina together with the Dictyostelium lamin NE81. Both a BioID proximity assay and mis-localization of soluble, truncated mRFP-Src1 at cytosolic clusters consisting of an intentionally mis-localized mutant of GFP-NE81 confirmed an interaction of Src1 and NE81. Expression GFP-Src11-646, a fragment C-terminally truncated after the first transmembrane domain, disrupted interaction of nuclear membranes with the nuclear lamina, as cells formed protrusions of the NE that were dependent on cytoskeletal pulling forces. Protrusions were dependent on intact microtubules but not actin filaments. Our results indicate that Src1 is required for integrity of the NE and highlight Dictyostelium as a promising model for the evolution of nuclear architecture.}, language = {en} } @misc{KayserAgtheManer2016, author = {Kayser, Daniela Niesta and Agthe, Maria and Maner, Jon K.}, title = {Strategic sexual signals}, series = {Postprints der Universit{\"a}t Potsdam : Mathematisch-Naturwisseschaftliche Reihe}, journal = {Postprints der Universit{\"a}t Potsdam : Mathematisch-Naturwisseschaftliche Reihe}, number = {513}, issn = {1866-8364}, doi = {10.25932/publishup-41188}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-411880}, pages = {10}, year = {2016}, abstract = {The color red has special meaning in mating-relevant contexts. Wearing red can enhance perceptions of women's attractiveness and desirability as a potential romantic partner. Building on recent findings, the present study examined whether women's (N = 74) choice to display the color red is influenced by the attractiveness of an expected opposite-sex interaction partner. Results indicated that female participants who expected to interact with an attractive man displayed red (on clothing, accessories, and/or makeup) more often than a baseline consisting of women in a natural environment with no induced expectation. In contrast, when women expected to interact with an unattractive man, they eschewed red, displaying it less often than in the baseline condition. Findings are discussed with respect to evolutionary and cultural perspectives on mate evaluation and selection.}, language = {en} } @phdthesis{Krohmer2016, author = {Krohmer, Anton}, title = {Structures \& algorithms in hyperbolic random graphs}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-395974}, school = {Universit{\"a}t Potsdam}, pages = {xii, 102}, year = {2016}, abstract = {Complex networks are ubiquitous in nature and society. They appear in vastly different domains, for instance as social networks, biological interactions or communication networks. Yet in spite of their different origins, these networks share many structural characteristics. For instance, their degree distribution typically follows a power law. This means that the fraction of vertices of degree k is proportional to k^(-β) for some constant β; making these networks highly inhomogeneous. Furthermore, they also typically have high clustering, meaning that links between two nodes are more likely to appear if they have a neighbor in common. To mathematically study the behavior of such networks, they are often modeled as random graphs. Many of the popular models like inhomogeneous random graphs or Preferential Attachment excel at producing a power law degree distribution. Clustering, on the other hand, is in these models either not present or artificially enforced. Hyperbolic random graphs bridge this gap by assuming an underlying geometry to the graph: Each vertex is assigned coordinates in the hyperbolic plane, and two vertices are connected if they are nearby. Clustering then emerges as a natural consequence: Two nodes joined by an edge are close by and therefore have many neighbors in common. On the other hand, the exponential expansion of space in the hyperbolic plane naturally produces a power law degree sequence. Due to the hyperbolic geometry, however, rigorous mathematical treatment of this model can quickly become mathematically challenging. In this thesis, we improve upon the understanding of hyperbolic random graphs by studying its structural and algorithmical properties. Our main contribution is threefold. First, we analyze the emergence of cliques in this model. We find that whenever the power law exponent β is 2 < β < 3, there exists a clique of polynomial size in n. On the other hand, for β >= 3, the size of the largest clique is logarithmic; which severely contrasts previous models with a constant size clique in this case. We also provide efficient algorithms for finding cliques if the hyperbolic node coordinates are known. Second, we analyze the diameter, i. e., the longest shortest path in the graph. We find that it is of order O(polylog(n)) if 2 < β < 3 and O(logn) if β > 3. To complement these findings, we also show that the diameter is of order at least Ω(logn). Third, we provide an algorithm for embedding a real-world graph into the hyperbolic plane using only its graph structure. To ensure good quality of the embedding, we perform extensive computational experiments on generated hyperbolic random graphs. Further, as a proof of concept, we embed the Amazon product recommendation network and observe that products from the same category are mapped close together.}, language = {en} } @misc{DoritiBrosnanWeidneretal.2016, author = {Doriti, Afroditi and Brosnan, Sarah M. and Weidner, Steffen M. and Schlaad, Helmut}, title = {Synthesis of polysarcosine from air and moisture stable N-phenoxycarbonyl-N-methylglycine assisted by tertiary amine base}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-95852}, pages = {3067 -- 3070}, year = {2016}, abstract = {Polysarcosine (Mn = 3650-20 000 g mol-1, Đ ∼ 1.1) was synthesized from the air and moisture stable N-phenoxycarbonyl-N-methylglycine. Polymerization was achieved by in situ transformation of the urethane precursor into the corresponding N-methylglycine-N-carboxyanhydride, when in the presence of a non-nucleophilic tertiary amine base and a primary amine initiator.}, language = {en} } @article{Pellanda2016, author = {Pellanda, Marina}, title = {Tarkovsky's legacy}, series = {Andrej Tarkovskij: Klassiker - Классик - Classic - Classico : Beitr{\"a}ge zum internationalen Tarkovskij-Symposium an der Universit{\"a}t Potsdam ; Band 2}, journal = {Andrej Tarkovskij: Klassiker - Классик - Classic - Classico : Beitr{\"a}ge zum internationalen Tarkovskij-Symposium an der Universit{\"a}t Potsdam ; Band 2}, publisher = {Universit{\"a}tsverlag Potsdam}, address = {Potsdam}, isbn = {978-3-86956-352-7}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-100557}, pages = {549 -- 571}, year = {2016}, language = {en} } @phdthesis{Dey2016, author = {Dey, Saptarshi}, title = {Tectonic and climatic control on the evolution of the Himalayan mountain front}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-103390}, school = {Universit{\"a}t Potsdam}, pages = {xii, 118}, year = {2016}, abstract = {Variations in the distribution of mass within an orogen may lead to transient sediment storage, which in turn might affect the state of stress and the level of fault activity. Distinguishing between different forcing mechanisms causing variations of sediment flux and tectonic activity, is therefore one of the most challenging tasks in understanding the spatiotemporal evolution of active mountain belts. The Himalayan mountain belt is one of the most significant Cenozoic collisional mountain belt, formed due to collision between northward-bound Indian Plate and the Eurasian Plate during the last 55-50 Ma. Ongoing convergence of these two tectonic plates is accommodated by faulting and folding within the Himalayan arc-shaped orogen and the continued lateral and vertical growth of the Tibetan Plateau and mountain belts adjacent to the plateau as well as regions farther north. Growth of the Himalayan orogen is manifested by the development of successive south-vergent thrust systems. These thrust systems divide the orogen into different morphotectonic domains. From north to south these thrusts are the Main Central Thrust (MCT), the Main Boundary Thrust (MBT) and the Main Frontal Thrust (MFT). The growing topography interacts with moisture-bearing monsoonal winds, which results in pronounced gradients in rainfall, weathering, erosion and sediment transport toward the foreland and beyond. However, a fraction of this sediment is trapped and transiently stored within the intermontane valleys or 'dun's within the lower-elevation foothills of the range. Improved understanding of the spatiotemporal evolution of these sediment archives could provide a unique opportunity to decipher the triggers of variations in sediment production, delivery and storage in an actively deforming mountain belt and support efforts to test linkages between sediment volumes in intermontane basins and changes in the shallow crustal stress field. As sediment redistribution in mountain belts on timescales of 102-104 years can effect cultural characteristics and infrastructure in the intermontane valleys and may even impact the seismotectonics of a mountain belt, there is a heightened interest in understanding sediment-routing processes and causal relationships between tectonism, climate and topography. It is here at the intersection between tectonic processes and superposed climatic and sedimentary processes in the Himalayan orogenic wedge, where my investigation is focused on. The study area is the intermontane Kangra Basin in the northwestern Sub-Himalaya, because the characteristics of the different Himalayan morphotectonic provinces are well developed, the area is part of a region strongly influenced by monsoonal forcing, and the existence of numerous fluvial terraces provides excellent strain markers to assess deformation processes within the Himalayan orogenic wedge. In addition, being located in front of the Dhauladhar Range the region is characterized by pronounced gradients in past and present-day erosion and sediment processes associated with repeatedly changing climatic conditions. In light of these conditions I analysed climate-driven late Pleistocene-Holocene sediment cycles in this tectonically active region, which may be responsible for triggering the tectonic re-organization within the Himalayan orogenic wedge, leading to out-of-sequence thrusting, at least since early Holocene. The Kangra Basin is bounded by the MBT and the Sub-Himalayan Jwalamukhi Thrust (JMT) in the north and south, respectively and transiently stores sediments derived from the Dhauladhar Range. The Basin contains ~200-m-thick conglomerates reflecting two distinct aggradation phases; following aggradation, several fluvial terraces were sculpted into these fan deposits. 10Be CRN surface exposure dating of these terrace levels provides an age of 53.4±3.2 ka for the highest-preserved terrace (AF1); subsequently, this surface was incised until ~15 ka, when the second fan (AF2) began to form. AF2 fan aggradation was superseded by episodic Holocene incision, creating at least four terrace levels. We find a correlation between variations in sediment transport and ∂18O records from regions affected by the Indian Summer Monsoon (ISM). During strengthened ISMs sand post-LGM glacial retreat, aggradation occurred in the Kangra Basin, likely due to high sediment flux, whereas periods of a weakened ISM coupled with lower sediment supply coincided with renewed re-incision. However, the evolution of fluvial terraces along Sub-Himalayan streams in the Kangra sector is also forced by tectonic processes. Back-tilted, folded terraces clearly document tectonic activity of the JMT. Offset of one of the terrace levels indicates a shortening rate of 5.6±0.8 to 7.5±1.0 mm.a-1 over the last ~10 ka. Importantly, my study reveals that late Pleistocene/Holocene out-of-sequence thrusting accommodates 40-60\% of the total 14±2 mm.a-1 shortening partitioned throughout the Sub-Himalaya. Importantly, the JMT records shortening at a lower rate over longer timescales hints towards out-of-sequence activity within the Sub-Himalaya. Re-activation of the JMT could be related to changes in the tectonic stress field caused by large-scale sediment removal from the basin. I speculate that the deformation processes of the Sub-Himalaya behave according to the predictions of critical wedge model and assume the following: While >200m of sediment aggradation would trigger foreland-ward propagation of the deformation front, re-incision and removal of most of the stored sediments (nearly 80-85\% of the optimum basin-fill) would again create a sub-critical condition of the wedge taper and trigger the retreat of the deformation front. While tectonism is responsible for the longer-term processes of erosion associated with steepening hillslopes, sediment cycles in this environment are mainly the result of climatic forcing. My new 10Be cosmogenic nuclide exposure dates and a synopsis of previous studies show the late Pleistocene to Holocene alluvial fills and fluvial terraces studied here record periodic fluctuations of sediment supply and transport capacity on timescales of 1000-100000 years. To further evaluate the potential influence of climate change on these fluctuations, I compared the timing of aggradation and incision phases recorded within remnant alluvial fans and terraces with continental climate archives such as speleothems in neighboring regions affected by monsoonal precipitation. Together with previously published OSL ages yielding the timing of aggradation, I find a correlation between variations in sediment transport with oxygen-isotope records from regions affected by the Indian Summer Monsoon (ISM). Accordingly, during periods of increased monsoon intensity (transitions from dry and cold to wet and warm periods - MIS4 to MIS3 and MIS2 to MIS1) (MIS=marine isotope stage) and post-Last Glacial Maximum glacial retreat, aggradation occurred in the Kangra Basin, likely due to high sediment flux. Conversely, periods of weakened monsoon intensity or lower sediment supply coincide with re-incision of the existing basin-fill. Finally, my study entails part of a low-temperature thermochronology study to assess the youngest exhumation history of the Dhauladhar Range. Zircon helium (ZHe) ages and existing low-temperature data sets (ZHe, apatite fission track (AFT)) across this range, together with 3D thermokinematic modeling (PECUBE) reveals constraints on exhumation and activity of the range-bounding Main Boundary Thrust (MBT) since at least mid-Miocene time. The modeling results indicate mean slip rates on the MBT-fault ramp of ~2 - 3 mm.a-1 since its activation. This has lead to the growth of the >5-km-high frontal Dhauladhar Range and continuous deep-seated exhumation and erosion. The obtained results also provide interesting constraints of deformation patterns and their variation along strike. The results point towards the absence of the time-transient 'mid-crustal ramp' in the basal decollement and duplexing of the Lesser Himalayan sequence, unlike the nearby regions or even the central Nepal domain. A fraction of convergence (~10-15\%) is accommodated along the deep-seated MBT-ramp, most likely merging into the MHT. This finding is crucial for a rigorous assessment of the overall level of tectonic activity in the Himalayan morphotectonic provinces as it contradicts recently-published geodetic shortening estimates. In these studies, it has been proposed that the total Himalayan shortening in the NW Himalaya is accommodated within the Sub-Himalaya whereas no tectonic activity is assigned to the MBT.}, language = {en} } @misc{ZabelWinterKellingetal.2016, author = {Zabel, Andr{\´e} and Winter, Alette and Kelling, Alexandra and Schilde, Uwe and Strauch, Peter}, title = {Tetrabromidocuprates(II)-Synthesis, Structure and EPR}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-91470}, pages = {14}, year = {2016}, abstract = {Metal-containing ionic liquids (ILs) are of interest for a variety of technical applications, e.g., particle synthesis and materials with magnetic or thermochromic properties. In this paper we report the synthesis of, and two structures for, some new tetrabromidocuprates(II) with several "onium" cations in comparison to the results of electron paramagnetic resonance (EPR) spectroscopic analyses. The sterically demanding cations were used to separate the paramagnetic Cu(II) ions for EPR measurements. The EPR hyperfine structure in the spectra of these new compounds is not resolved, due to the line broadening resulting from magnetic exchange between the still-incomplete separated paramagnetic Cu(II) centres. For the majority of compounds, the principal g values (g|| and gK) of the tensors could be determined and information on the structural changes in the [CuBr4]2- anions can be obtained. The complexes have high potential, e.g., as ionic liquids, as precursors for the synthesis of copper bromide particles, as catalytically active or paramagnetic ionic liquids.}, language = {en} } @misc{SchaffnerSchiefele2016, author = {Schaffner, Ellen and Schiefele, Ulrich}, title = {The Contributions of Intrinsic and Extrinsic Reading Motivation to the Development of Reading Competence over Summer Vacation}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-93434}, pages = {917 -- 941}, year = {2016}, abstract = {This study addressed the role of reading motivation as a potential determinant of losses or gains in reading competence over six weeks of summer vacation (SV). Based on a sample of 223 third-grade elementary students, structural equation analyses showed that intrinsic reading motivation before SV contributed positively to both word and sentence comprehension after SV when controlling for comprehension performance before SV. These effects were mediated by reading amount. Extrinsic reading motivation did not show significant associations with end-of-summer comprehension scores. Taken together, the findings suggest that intrinsic reading motivation facilitates students' development of reading comprehension over SV.}, language = {en} } @phdthesis{Rohlf2016, author = {Rohlf, Helena L.}, title = {The development of aggression in middle childhood}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-95457}, school = {Universit{\"a}t Potsdam}, pages = {242}, year = {2016}, abstract = {Background: The engagement in aggressive behavior in middle childhood is linked to the development of severe problems in later life. Thus, identifying factors and processes that con-tribute to the continuity and increase of aggression in middle childhood is essential in order to facilitate the development of intervention programs. The present PhD thesis aimed at expand-ing the understanding of the development of aggression in middle childhood by examining risk factors in the intrapersonal and interpersonal domains as well as the interplay between these factors: Maladaptive anger regulation was examined as an intrapersonal risk factor; processes that occur in the peer context (social rejection and peer socialization) were included as interpersonal risk factors. In addition, in order to facilitate the in situ assessment of anger regulation strategies, an observational measure of anger regulation was developed and validated. Method: The research aims were addressed within the scope of four articles. Data from two measurement time points about ten months apart were available for the analyses. Participants were elementary school children aged from 6 to 10 years at T1 and 7 to 11 years at T2. The first article was based on cross-sectional analyses including only the first time point; in the remaining three articles longitudinal associations across the two time points were analyzed. The first two articles were concerned with the development and cross-sectional as well as longitudinal validation of observational measure of anger regulation in middle childhood in a sample of 599 children. Using the same sample, the third article investigated the longitudinal link between maladaptive anger regulation and aggression considering social rejection as a mediating variable. The frequency as well as different functions of aggression (reactive and proactive) were included as outcomes measures. The fourth article examined the influence of class-level aggression on the development of different forms of aggression (relational and physical) over time under consideration of differences in initial individual aggression in a sample of 1,284 children. In addition, it was analyzed if the path from aggression to social rejection varies as a function of class-level aggression. Results: The first two articles revealed that the observational measure of anger regulation developed for the purpose of this research was cross-sectionally related to anger reactivity, aggression and social rejection as well as longitudinally related to self-reported anger regula-tion. In the third article it was found that T1 maladaptive anger regulation showed no direct link to T2 aggression, but an indirect link through T1 social rejection. This indirect link was found for the frequency of aggression as well as for reactive and proactive aggression. The fourth article revealed that with regard to relational aggression, a high level of classroom ag-gression predicted an increase of individual aggression only among children with initially low levels of aggression. For physical aggression, it was found that the overall level of aggression in the class affected all children equally. In addition, physical aggression increased the likelihood of social rejection irrespective of the class-level of aggression whereas relational aggression caused social rejection only in classes with a generally low level of relational aggression. The analyses of gender-specific effects showed that children were mainly influenced by their same-gender peers and that the effect on the opposite gender was higher if children engaged in gender-atypical forms of aggressive behavior. Conclusion: The results provided evidence for the construct and criterion validity of the observational measure of maladaptive anger regulation that was developed within the scope of this research. Furthermore, the findings indicated that maladaptive anger regulation constitutes an important risk factor of aggression through the influence of social rejection. Finally, the results demonstrated that the level of aggression among classmates is relevant for the development of individual aggression over time and that the children´s evaluation of relationally aggressive behavior varies as a function of the normativity of relational aggression in the class. The study findings have implications for the measurement of anger regulation in middle childhood as well as for the prevention of aggression and social rejection.}, language = {en} } @misc{NazziPoltrockVonHolzen2016, author = {Nazzi, Thierry and Poltrock, Silvana and Von Holzen, Katie}, title = {The developmental origins of the consonant bias in lexical processing}, series = {Postprints der Universit{\"a}t Potsdam : Humanwissenschaftliche Reihe}, journal = {Postprints der Universit{\"a}t Potsdam : Humanwissenschaftliche Reihe}, number = {416}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-405322}, pages = {6}, year = {2016}, abstract = {Consonants have been proposed to carry more of the weight of lexical processing than vowels. This consonant bias has consistently been found in adults and has been proposed to facilitate early language acquisition. We explore the origins of this bias over the course of development and in infants learning different languages. Although the consonant bias was originally thought to be present at birth, evidence suggests that it arises from the early stages of phonological and (pre-)lexical acquisition. We discuss two theories that account for the acquisition of the consonant bias: the lexical and acoustic-phonetic hypotheses.}, language = {en} } @misc{BullHeurichSaveljevetal.2016, author = {Bull, James K. and Heurich, Marco and Saveljev, Alexander P. and Schmidt, Krzysztof and Fickel, J{\"o}rns and F{\"o}rster, Daniel W.}, title = {The effect of reintroductions on the genetic variability in Eurasian lynx populations}, series = {Postprints der Universit{\"a}t Potsdam : Mathematisch Naturwissenschaftliche Reihe}, journal = {Postprints der Universit{\"a}t Potsdam : Mathematisch Naturwissenschaftliche Reihe}, number = {884}, issn = {1866-8372}, doi = {10.25932/publishup-43511}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-435117}, pages = {1229 -- 1234}, year = {2016}, abstract = {Over the past ~40 years, several attempts were made to reintroduce Eurasian lynx to suitable habitat within their former distribution range in Western Europe. In general, limited numbers of individuals have been released to establish new populations. To evaluate the effects of reintroductions on the genetic status of lynx populations we used 12 microsatellite loci to study lynx populations in the Bohemian-Bavarian and Vosges-Palatinian forests. Compared with autochthonous lynx populations, these two reintroduced populations displayed reduced genetic diversity, particularly the Vosges-Palatinian population. Our genetic data provide further evidence to support the status of 'endangered' and 'critically endangered' for the Bohemian-Bavarian and Vosges-Palatinian populations, respectively. Regarding conservation management, we highlight the need to limit poaching, and advocate additional translocations to bolster genetic variability.}, language = {en} } @misc{YanFriemelAloisietal.2016, author = {Yan, Robert and Friemel, Martin and Aloisi, Claudia and Huynen, Martijn and Taylor, Ian A. and Leimk{\"u}hler, Silke and Pastore, Annalisa}, title = {The eukaryotic-specific Isd11 is a complex- orphan protein with ability to bind the prokaryotic IscS}, series = {Postprints der Universit{\"a}t Potsdam : Mathematisch-Naturwissenschaftliche Reihe}, journal = {Postprints der Universit{\"a}t Potsdam : Mathematisch-Naturwissenschaftliche Reihe}, number = {551}, issn = {1866-8372}, doi = {10.25932/publishup-41190}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-411906}, pages = {14}, year = {2016}, abstract = {The eukaryotic protein Isd11 is a chaperone that binds and stabilizes the central component of the essential metabolic pathway responsible for formation of iron-sulfur clusters in mitochondria, the desulfurase Nfs1. Little is known about the exact role of Isd11. Here, we show that human Isd11 (ISD11) is a helical protein which exists in solution as an equilibrium between monomer, dimeric and tetrameric species when in the absence of human Nfs1 (NFS1). We also show that, surprisingly, recombinant ISD11 expressed in E. coli co-purifies with the bacterial orthologue of NFS1, IscS. Binding is weak but specific suggesting that, despite the absence of Isd11 sequences in bacteria, there is enough conservation between the two desulfurases to retain a similar mode of interaction. This knowledge may inform us on the conservation of the mode of binding of Isd11 to the desulfurase. We used evolutionary evidence to suggest Isd11 residues involved in the interaction.}, language = {en} } @misc{ThiekenBesselKienzleretal.2016, author = {Thieken, Annegret and Bessel, Tina and Kienzler, Sarah and Kreibich, Heidi and M{\"u}ller, Meike and Pisi, Sebastian and Schr{\"o}ter, Kai}, title = {The flood of June 2013 in Germany}, series = {National Hazards Earth System Science}, journal = {National Hazards Earth System Science}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-97207}, pages = {21}, year = {2016}, abstract = {In June 2013, widespread flooding and consequent damage and losses occurred in Central Europe, especially in Germany. This paper explores what data are available to investigate the adverse impacts of the event, what kind of information can be retrieved from these data and how well data and information fulfil requirements that were recently proposed for disaster reporting on the European and international levels. In accordance with the European Floods Directive (2007/60/EC), impacts on human health, economic activities (and assets), cultural heritage and the environment are described on the national and sub-national scale. Information from governmental reports is complemented by communications on traffic disruptions and surveys of flood-affected residents and companies. Overall, the impacts of the flood event in 2013 were manifold. The study reveals that flood-affected residents suffered from a large range of impacts, among which mental health and supply problems were perceived more seriously than financial losses. The most frequent damage type among affected companies was business interruption. This demonstrates that the current scientific focus on direct (financial) damage is insufficient to describe the overall impacts and severity of flood events. The case further demonstrates that procedures and standards for impact data collection in Germany are widely missing. Present impact data in Germany are fragmentary, heterogeneous, incomplete and difficult to access. In order to fulfil, for example, the monitoring and reporting requirements of the Sendai Framework for Disaster Risk Reduction 2015-2030 that was adopted in March 2015 in Sendai, Japan, more efforts on impact data collection are needed.}, language = {en} }