TY - JOUR A1 - Tschorn, Mira A1 - Schulze, Susanne A1 - Förstner, Bernd R. A1 - Holmberg, Christine A1 - Spallek, Jacob A1 - Heinz, Andreas A1 - Rapp, Michael A. T1 - Predictors and prevalence of hazardous alcohol use in middle-late to late adulthood in Europe JF - Aging & mental health N2 - Objectives: Even low to moderate levels of alcohol consumption can have detrimental health consequences, especially in older adults (OA). Although many studies report an increase in the proportion of drinkers among OA, there are regional variations. Therefore, we examined alcohol consumption and the prevalence of hazardous alcohol use (HAU) among men and women aged 50+ years in four European regions and investigated predictors of HAU. Methods: We analyzed data of N = 35,042 participants of the European SHARE study. We investigated differences in alcohol consumption (units last week) according to gender, age and EU-region using ANOVAs. Furthermore, logistic regression models were used to examine the effect of income, education, marital status, history of a low-quality parent-child relationship and smoking on HAU, also stratified for gender and EU-region. HAU was operationalized as binge drinking or risky drinking (<12.5 units of 10 ml alcohol/week). Results: Overall, past week alcohol consumption was 5.0 units (+/- 7.8), prevalence of HAU was 25.4% within our sample of European adults aged 50+ years. Male gender, younger age and living in Western Europe were linked to both higher alcohol consumption and higher risks of HAU. Income, education, smoking, a low-quality parent-child relationship, living in Northern and especially Eastern Europe were positively associated with HAU. Stratified analyses revealed differences by region and gender. Conclusions: HAU was highly prevalent within this European sample of OA. Alcohol consumption and determinants of HAU differed between EU-regions, hinting to a necessity of risk-stratified population-level strategies to prevent HAU and subsequent alcohol use disorders. KW - Hazardous alcohol use KW - older adults KW - middle-aged adults KW - Europe KW - alcohol KW - drug and alcohol abuse KW - cross-national KW - international studies KW - environmental factors KW - housing KW - rural-urban factors KW - epidemiology (mental health) Y1 - 2022 U6 - https://doi.org/10.1080/13607863.2022.2076208 SN - 1360-7863 SN - 1364-6915 VL - 27 IS - 5 SP - 1001 EP - 1010 PB - Routledge, Taylor & Francis Group CY - Abingdon ER - TY - CHAP A1 - Rothermel, Ann-Kathrin A1 - Kelly, Megan A1 - Jasser, Greta ED - Carian, Emily K. ED - DiBranco, Alex ED - Ebin, Chelsea T1 - Of victims, mass murder, and “real men” BT - the masculinities of the “manosphere” T2 - Male supremacism in the United States N2 - Over the last few decades, a network of misogynist blogs, websites, wikis, and forums has developed, where users share their bigoted, sexist, and toxic views of society in general and masculinity and femininity in particular. This chapter outlines conceptual framework of hegemonic and hybrid masculinity. It provides a brief overview of the historical development of the manosphere and its various configurations and present our analysis of the masculinities performed by the five groups of the manosphere. The concept of hegemonic masculinity was articulated by Connell and colleagues in the 1980s as “the pattern of practice that allowed men’s dominance over women to continue.” Prior to the advent of the manosphere, an online iteration of male supremacist mobilizations, both Men’s Rights Activists and Pick-up artists developed as offline movements in the 1970s. MRAs perceive their respective societies as inherently stacked against men. This chapter analyses the masculinities of the manosphere and how they “repudiat[e] and reif[y]” hegemonic masculinity and male supremacism. Y1 - 2022 SN - 9781003164722 SN - 978-0-367-75404-4 SN - 978-0-367-75258-3 U6 - https://doi.org/10.4324/9781003164722-9 SP - 117 EP - 141 PB - Routledge CY - London ER - TY - JOUR A1 - Negyesi, Janos A1 - Hortobagyi, Tibor A1 - Hill, Jessica A1 - Granacher, Urs A1 - Nagatomi, Ryoichi T1 - Can compression garments reduce the deleterious effects of physical exercise on muscle strength? BT - a systematic review and meta-analyses JF - Sports medicine N2 - Background The use of compression garments (CGs) during or after training and competition has gained popularity in the last few decades. However, the data concerning CGs' beneficial effects on muscle strength-related outcomes after physical exercise remain inconclusive. Objective The aim was to determine whether wearing CGs during or after physical exercise would facilitate the recovery of muscle strength-related outcomes. Methods A systematic literature search was conducted across five databases (PubMed, SPORTDiscus, Web of Science, Scopus, and EBSCOhost). Data from 19 randomized controlled trials (RCTs) including 350 healthy participants were extracted and meta-analytically computed. Weighted between-study standardized mean differences (SMDs) with respect to their standard errors (SEs) were aggregated and corrected for sample size to compute overall SMDs. The type of physical exercise, the body area and timing of CG application, and the time interval between the end of the exercise and subsequent testing were assessed. Results CGs produced no strength-sparing effects (SMD [95% confidence interval]) at the following time points (t) after physical exercise: immediately <= t < 24 h: - 0.02 (- 0.22 to 0.19), p = 0.87; 24 <= t < 48 h: - 0.00 (- 0.22 to 0.21), p = 0.98; 48 <= t < 72 h: - 0.03 (- 0.43 to 0.37), p = 0.87; 72 <= t < 96 h: 0.14 (- 0.21 to 0.49), p = 0.43; 96 h <= t: 0.26 (- 0.33 to 0.85), p = 0.38. The body area where the CG was applied had no strength-sparing effects. CGs revealed weak strength-sparing effects after plyometric exercise. Conclusion Meta-analytical evidence suggests that wearing a CG during or after training does not seem to facilitate the recovery of muscle strength following physical exercise. Practitioners, athletes, coaches, and trainers should reconsider the use of CG as a tool to reduce the effects of physical exercise on muscle strength. Y1 - 2022 U6 - https://doi.org/10.1007/s40279-022-01681-4 SN - 0112-1642 SN - 1179-2035 VL - 52 IS - 9 SP - 2159 EP - 2175 PB - Springer CY - Northcote ER - TY - JOUR A1 - Saeterbakken, Atle H. A1 - Stien, Nicolay A1 - Andersen, Vidar A1 - Scott, Suzanne A1 - Cumming, Kristoffer T. A1 - Behm, David G. A1 - Granacher, Urs A1 - Prieske, Olaf T1 - The effects of trunk muscle training on physical fitness and sport-specific performance in young and adult athletes BT - a systematic review and meta-analysis JF - Sports medicine N2 - Background The role of trunk muscle training (TMT) for physical fitness (e.g., muscle power) and sport-specific performance measures (e.g., swimming time) in athletic populations has been extensively examined over the last decades. However, a recent systematic review and meta-analysis on the effects of TMT on measures of physical fitness and sport-specific performance in young and adult athletes is lacking. Objective To aggregate the effects of TMT on measures of physical fitness and sport-specific performance in young and adult athletes and identify potential subject-related moderator variables (e.g., age, sex, expertise level) and training-related programming parameters (e.g., frequency, study length, session duration, and number of training sessions) for TMT effects. Data Sources A systematic literature search was conducted with PubMed, Web of Science, and SPORTDiscus, with no date restrictions, up to June 2021. Study Eligibility Criteria Only controlled trials with baseline and follow-up measures were included if they examined the effects of TMT on at least one measure of physical fitness (e.g., maximal muscle strength, change-of-direction speed (CODS)/agility, linear sprint speed) and sport-specific performance (e.g., throwing velocity, swimming time) in young or adult competitive athletes at a regional, national, or international level. The expertise level was classified as either elite (competing at national and/or international level) or regional (i.e., recreational and sub-elite). Study Appraisal and Synthesis Methods The methodological quality of TMT studies was assessed using the Physiotherapy Evidence Database (PEDro) scale. A random-effects model was used to calculate weighted standardized mean differences (SMDs) between intervention and active control groups. Additionally, univariate sub-group analyses were independently computed for subject-related moderator variables and training-related programming parameters. Results Overall, 31 studies with 693 participants aged 11-37 years were eligible for inclusion. The methodological quality of the included studies was 5 on the PEDro scale. In terms of physical fitness, there were significant, small-to-large effects of TMT on maximal muscle strength (SMD = 0.39), local muscular endurance (SMD = 1.29), lower limb muscle power (SMD = 0.30), linear sprint speed (SMD = 0.66), and CODS/agility (SMD = 0.70). Furthermore, a significant and moderate TMT effect was found for sport-specific performance (SMD = 0.64). Univariate sub-group analyses for subject-related moderator variables revealed significant effects of age on CODS/agility (p = 0.04), with significantly large effects for children (SMD = 1.53, p = 0.002). Further, there was a significant effect of number of training sessions on muscle power and linear sprint speed (p <= 0.03), with significant, small-to-large effects of TMT for > 18 sessions compared to <= 18 sessions (0.45 <= SMD <= 0.84, p <= 0.003). Additionally, session duration significantly modulated TMT effects on linear sprint speed, CODS/agility, and sport-specific performance (p <= 0.05). TMT with session durations <= 30 min resulted in significant, large effects on linear sprint speed and CODS/agility (1.66 <= SMD <= 2.42, p <= 0.002), whereas session durations > 30 min resulted in significant, large effects on sport-specific performance (SMD = 1.22, p = 0.008). Conclusions Our findings indicate that TMT is an effective means to improve selected measures of physical fitness and sport-specific performance in young and adult athletes.
Independent sub-group analyses suggest that TMT has the potential to improve CODS/agility, but only in children. Additionally, more (> 18) and/or shorter duration (<= 30 min) TMT sessions appear to be more effective for improving lower limb muscle power, linear sprint speed, and CODS/agility in young or adult competitive athletes. Y1 - 2022 U6 - https://doi.org/10.1007/s40279-021-01637-0 SN - 0112-1642 SN - 1179-2035 VL - 52 IS - 7 SP - 1599 EP - 1622 PB - Springer CY - Northcote ER - TY - JOUR A1 - Rothermel, Ann-Kathrin T1 - Gender at the crossroads BT - the role of gender in the UN’s global counterterrorism reform at the humanitarian-development-peace nexus JF - Critical studies on terrorism N2 - Since the early 2000s, the United Nations (UN) global counterterrorism architecture has seen significant changes towards increased multilateralism, a focus on prevention, and inter-institutional coordination across the UN’s three pillars of work. Throughout this reform process, gender aspects have increasingly become presented as a “cross-cutting” theme. In this article, I investigate the role of gender in the UN’s counterterrorism reform process at the humanitarian-development-peace nexus, or “triple nexus”, from a feminist institutionalist perspective. I conduct a feminist discourse analysis of the counterterrorism discourses of three UN entities, which represent the different UN pillars of peace and security (DPO), development (UNDP), and humanitarianism and human rights (OHCHR). The article examines the role of gender in the inter-institutional reform process by focusing on the changes, overlaps and differences in the discursive production of gender in the entities’ counterterrorism agendas over time and in two recent UN counterterrorism conferences. I find that gendered dynamics of nested newness and institutional layering have played an essential role both as a justification for the involvement of individual entities in counterterrorism and as a vehicle for inter-institutional cooperation and struggle for discursive power. KW - gender KW - institutions KW - feminism KW - United Nations KW - counterterrorism KW - triple nexus KW - discourse Y1 - 2021 U6 - https://doi.org/10.1080/17539153.2021.1969061 SN - 1753-9153 SN - 1753-9161 VL - 15 IS - 3 SP - 533 EP - 558 PB - Routledge, Taylor & Francis Group CY - London [u.a.] ER - TY - JOUR A1 - Cherstvy, Andrey G. A1 - Wang, Wei A1 - Metzler, Ralf A1 - Sokolov, Igor M. T1 - Inertia triggers nonergodicity of fractional Brownian motion JF - Physical review : E, Statistical, nonlinear and soft matter physics N2 - How related are the ergodic properties of the over- and underdamped Langevin equations driven by fractional Gaussian noise? We here find that for massive particles performing fractional Brownian motion (FBM) inertial effects not only destroy the stylized fact of the equivalence of the ensemble-averaged mean-squared displacement (MSD) to the time-averaged MSD (TAMSD) of overdamped or massless FBM, but also dramatically alter the values of the ergodicity-breaking parameter (EB). Our theoretical results for the behavior of EB for underdamped or massive FBM for varying particle mass m, Hurst exponent H, and trace length T are in excellent agreement with the findings of stochastic computer simulations. The current results can be of interest for the experimental community employing various single-particle-tracking techniques and aiming at assessing the degree of nonergodicity for the recorded time series (studying, e.g., the behavior of EB versus lag time). To infer FBM as a realizable model of anomalous diffusion for a set single-particle-tracking data when massive particles are being tracked, the EBs from the data should be compared to EBs of massive (rather than massless) FBM. Y1 - 2021 U6 - https://doi.org/10.1103/PhysRevE.104.024115 SN - 2470-0045 SN - 2470-0053 VL - 104 IS - 2 PB - American Physical Society CY - College Park ER - TY - JOUR A1 - Rothermel, Ann-Kathrin T1 - The role of evidence-based misogyny in antifeminist online communities of the ‘manosphere’ JF - Big data & society N2 - In recent years, there have been a growing number of online and offline attacks linked to a loosely connected network of misogynist and antifeminist online communities called ‘the manosphere’. Since 2016, the ideas spread among and by groups of the manosphere have also become more closely aligned with those of other Far-Right online networks. In this commentary, I explore the role of what I term ‘evidence-based misogyny’ for mobilization and radicalization into the antifeminist and misogynist subcultures of the manosphere. Evidence-based misogyny is a discursive strategy, whereby members of the manosphere refer to (and misinterpret) knowledge in the form of statistics, studies, news items and pop-culture and mimic accepted methods of knowledge presentation to support their essentializing, polarizing views about gender relations in society. Evidence-based misogyny is a core aspect for manosphere-related mobilization as it provides a false sense of authority and forges a collective identity, which is framed as a supposed ‘alternative’ to mainstream gender knowledge. Due to its core function to justify and confirm the misogynist sentiments of users, evidence-based misogyny serves as connector between the manosphere and both mainstream conservative as well as other Far-Right and conspiratorial discourses. KW - misogyny KW - male supremacy KW - far right KW - discourse KW - incels KW - radicalization KW - antifeminist KW - men's rights KW - manosphere Y1 - 2023 U6 - https://doi.org/10.1177/20539517221145671 SN - 2053-9517 VL - 10 IS - 1 PB - Sage CY - Thousand Oaks, Calif. ER - TY - JOUR A1 - Zuhr, Alexandra M. A1 - Dolman, Andrew M. A1 - Ho, Sze Ling A1 - Groeneveld, Jeroen A1 - Loewemark, Ludvig A1 - Grotheer, Hendrik A1 - Su, Chih-Chieh A1 - Laepple, Thomas T1 - Age-heterogeneity in marine sediments revealed by three-dimensional high-resolution radiocarbon measurements JF - Frontiers in Earth Science N2 - Marine sedimentary archives are routinely used to reconstruct past environmental changes. In many cases, bioturbation and sedimentary mixing affect the proxy time-series and the age-depth relationship. While idealized models of bioturbation exist, they usually assume homogeneous mixing, thus that a single sample is representative for the sediment layer it is sampled from. However, it is largely unknown to which extent this assumption holds for sediments used for paleoclimate reconstructions. To shed light on 1) the age-depth relationship and its full uncertainty, 2) the magnitude of mixing processes affecting the downcore proxy variations, and 3) the representativity of the discrete sample for the sediment layer, we designed and performed a case study on South China Sea sediment material which was collected using a box corer and which covers the last glacial cycle. Using the radiocarbon content of foraminiferal tests as a tracer of time, we characterize the spatial age-heterogeneity of sediments in a three-dimensional setup. In total, 118 radiocarbon measurements were performed on defined small- and large-volume bulk samples ( similar to 200 specimens each) to investigate the horizontal heterogeneity of the sediment. Additionally, replicated measurements on small numbers of specimens (10 x 5 specimens) were performed to assess the heterogeneity within a sample volume. Visual assessment of X-ray images and a quantitative assessment of the mixing strength show typical mixing from bioturbation corresponding to around 10 cm mixing depth. Notably, our 3D radiocarbon distribution reveals that the horizontal heterogeneity (up to 1,250 years), contributing to the age uncertainty, is several times larger than the typically assumed radiocarbon based age-model error (single errors up to 250 years). Furthermore, the assumption of a perfectly bioturbated layer with no mixing underneath is not met. Our analysis further demonstrates that the age-heterogeneity might be a function of sample size; smaller samples might contain single features from the incomplete mixing and are thus less representative than larger samples. We provide suggestions for future studies, optimal sampling strategies for quantitative paleoclimate reconstructions and realistic uncertainty in age models, as well as discuss possible implications for the interpretation of paleoclimate records. KW - paleoceanography KW - radiocarbon KW - age-heterogeneity KW - marine sediments KW - planktonic foraminifera KW - bioturbation KW - agemodeling KW - South China Sea Y1 - 2022 U6 - https://doi.org/10.3389/feart.2022.871902 SN - 2296-6463 VL - 10 PB - Frontiers Media CY - Lausanne ER - TY - BOOK A1 - von Winter, Thomas T1 - Lobbyismus in der deutschen Politik N2 - Der Band präsentiert eine systematische Aufbereitung empirischer Befunde zum Lobbyismus in Deutschland und vermittelt, wie Lobbyist*innen, Entscheidungsträger*innen und institutionelle Rahmen miteinander interagieren. Untersucht werden politische Aktivitäten von sozialen Bewegungen, Verbänden, Unternehmen und Beratungsfirmen im Bundestag, der Bundesregierung und der Öffentlichkeit. Y1 - 2024 SN - 978-3-8252-6210-5 SN - 978-3-8385-6210-0 U6 - https://doi.org/10.36198/9783838562100 PB - Verlag Barbara Budrich CY - Opladen ER - TY - JOUR A1 - Zhao, Yuhang A1 - Opitz, Andreas A1 - Eljarrat, Alberto A1 - Kochovski, Zdravko A1 - Koch, Christoph A1 - Koch, Norbert A1 - Lu, Yan T1 - Kinetic study on the adsorption of 2,3,5,6-tetrafluoro-7,7,8,8-tetracyanoquinodimethane on Ag nanoparticles in chloroform BT - implications for the charge transfer complex of Ag-F(4)TCNQ JF - ACS applied nano materials N2 - In this study, the kinetics of the adsorption of 2,3,5,6-tetrafluoro-7,7,8,8-tetracyanoquinodimethane (F(4)TCNQ) on the surface of Ag nanoparticles (Ag NPs) in chloroform has been intensively investigated, as molecular doping is known to play a crucial role in organic electronic devices. Based on the results obtained from UV-visible (vis)-near-infrared (NIR) absorption spectroscopy, cryogenic transmission electron microscopy, scanning nanobeam electron diffraction, and electron energy loss spectroscopy, a two-step interaction kinetics has been proposed for the Ag NPs and F(4)TCNQ molecules, which includes the first step of electron transfer from Ag NPs to F(4)TCNQ indicated by the ionization of F(4)TCNQ and the second step of the formation of a Ag-F(4)TCNQ complex. The whole process has been followed via UV-vis-NIR absorption spectroscopy, which reveals distinct kinetics at two stages: the instantaneous ionization and the long-term complex formation. The kinetics and the influence of the molar ratio of Ag NPs/F(4)TCNQ molecules on the interaction between Ag NPs and F(4)TCNQ molecules in an organic solution are reported herein for the first time. Furthermore, the control experiment with silica-coated Ag NPs manifests that the charge transfer at the surface between Ag NPs and F(4)TCNQ molecules is prohibited by a silica layer of 18 nm. KW - Ag nanoparticles KW - F(4)TCNQ KW - phase transfer KW - kinetics KW - electron transfer KW - surface interaction Y1 - 2021 U6 - https://doi.org/10.1021/acsanm.1c02153 SN - 2574-0970 VL - 4 IS - 11 SP - 11625 EP - 11635 PB - American Chemical Society CY - Washington ER - TY - JOUR A1 - Zhu, Chuanbin A1 - Cotton, Fabrice A1 - Kwak, Dong-Youp A1 - Ji, Kun A1 - Kawase, Hiroshi A1 - Pilz, Marco T1 - Within-site variability in earthquake site response JF - Geophysical journal international N2 - The within-site variability in site response is the randomness in site response at a given site from different earthquakes and is treated as aleatory variability in current seismic hazard/risk analyses. In this study, we investigate the single-station variability in linear site response at K-NET and KiK-net stations in Japan using a large number of earthquake recordings. We found that the standard deviation of the horizontal-to-vertical Fourier spectral ratio at individual sites, that is single-station horizontal-to-vertical spectral ratio (HVSR) sigma sigma(HV,s), approximates the within-site variability in site response quantified using surface-to-borehole spectral ratios (for oscillator frequencies higher than the site fundamental frequency) or empirical ground-motion models. Based on this finding, we then utilize the single-station HVSR sigma as a convenient tool to study the site-response variability at 697 KiK-net and 1169 K-NET sites. Our results show that at certain frequencies, stiff, rough and shallow sites, as well as small and local events tend to have a higher sigma(HV,s). However, when being averaged over different sites, the single-station HVSR sigma, that is sigma(HV), increases gradually with decreasing frequency. In the frequency range of 0.25-25 Hz, sigma(HV) is centred at 0.23-0.43 in ln scales (a linear scale factor of 1.26-1.54) with one standard deviation of less than 0.1. sigma(HV) is quite stable across different tectonic regions, and we present a constant, as well as earthquake magnitude- and distance-dependent sigma(HV) models. KW - earthquake ground motions KW - earthquake hazards KW - site effects Y1 - 2021 U6 - https://doi.org/10.1093/gji/ggab481 SN - 0956-540X SN - 1365-246X VL - 229 IS - 2 SP - 1268 EP - 1281 PB - Oxford Univ. Press CY - Oxford ER - TY - BOOK A1 - Wegmann, Simone T1 - The power of opposition BT - how legislative organization influences democratic consolidation N2 - Proposing a novel way to look at the consolidation of democratic regimes, this book presents important theoretical and empirical contributions to the study of democratic consolidation, legislative organization, and public opinion. Theoretically, Simone Wegmann brings legislatures into focus as the main body representing both winners and losers of democratic elections. Empirically, Wegmann shows that the degree of policy-making power of opposition players varies considerably between countries. Using survey data from the CSES, the ESS, and the LAPOP and systematically analyzing more than 50 legislatures across the world and the specific rights they grant to opposition players during the policy-making process, Wegmann demonstrates that neglecting the curial role of the legislature in a democratic setting can only lead to an incomplete assessment of the importance of institutions for democratic consolidation. The Power of Opposition will be of great interest to scholars of comparative politics, especially those working on questions related to legislative organization, democratic consolidation, and/or public opinion. Y1 - 2022 SN - 978-0-367-43731-2 SN - 978-1-032-28245-9 SN - 978-1-003-00536-0 SN - 978-1-000-59828-5 SN - 978-1-000-59832-2 U6 - https://doi.org/10.4324/9781003005360 PB - Routledge CY - New York ER - TY - JOUR A1 - Klett, Kolja A1 - Cherstvy, Andrey G. A1 - Shin, Jaeoh A1 - Sokolov, Igor M. A1 - Metzler, Ralf T1 - Non-Gaussian, transiently anomalous, and ergodic self-diffusion of flexible dumbbells in crowded two-dimensional environments BT - coupled translational and rotational motions JF - Physical review : E, Statistical, nonlinear and soft matter physics N2 - We employ Langevin-dynamics simulations to unveil non-Brownian and non-Gaussian center-of-mass self-diffusion of massive flexible dumbbell-shaped particles in crowded two-dimensional solutions. We study the intradumbbell dynamics of the relative motion of the two constituent elastically coupled disks. Our main focus is on effects of the crowding fraction phi and of the particle structure on the diffusion characteristics. We evaluate the time-averaged mean-squared displacement (TAMSD), the displacement probability-density function (PDF), and the displacement autocorrelation function (ACF) of the dimers. For the TAMSD at highly crowded conditions of dumbbells, e.g., we observe a transition from the short-time ballistic behavior, via an intermediate subdiffusive regime, to long-time Brownian-like spreading dynamics. The crowded system of dimers exhibits two distinct diffusion regimes distinguished by the scaling exponent of the TAMSD, the dependence of the diffusivity on phi, and the features of the displacement-ACF. We attribute these regimes to a crowding-induced transition from viscous to viscoelastic diffusion upon growing phi. We also analyze the relative motion in the dimers, finding that larger phi suppress their vibrations and yield strongly non-Gaussian PDFs of rotational displacements. For the diffusion coefficients D(phi) of translational and rotational motion of the dumbbells an exponential decay with phi for weak and a power-law variation D(phi) proportional to (phi - phi(star))(2.4) for strong crowding is found. A comparison of simulation results with theoretical predictions for D(phi) is discussed and some relevant experimental systems are overviewed. Y1 - 2021 U6 - https://doi.org/10.1103/PhysRevE.104.064603 SN - 2470-0045 SN - 2470-0053 VL - 104 IS - 6 PB - American Physical Society CY - College Park ER - TY - JOUR A1 - Simon, François-Xavier A1 - Papadopoulos, Nikos A1 - Guillemoteau, Julien A1 - Oikonomou, Dimitris A1 - Simirdanis, Kleanthis T1 - Multi-frequency loop electromagnetic system measurement on shallow offshore archaeological site of Oulos JF - ArcheoSciences : revue d'archéométrie / Groupe des Méthodes Pluridisciplinaires Contribuant à l'Archéologie (GMPCA) KW - hallow offshore KW - multi-frequency KW - electromagnetic KW - modelling KW - case study Y1 - 2021 U6 - https://doi.org/10.4000/archeosciences.9690 SN - 1960-1360 SN - 2104-3728 VL - 45 IS - 1 SP - 215 EP - 218 PB - Presses Universitaires de Rennes CY - Rennes ER - TY - JOUR A1 - Wegmann, Simone T1 - Sven Siefken und Hilmar Rommetvedt (Hrsg.). 2021. Parliamentary committees in the policy process JF - Zeitschrift für vergleichende Politikwissenschaft Y1 - 2023 U6 - https://doi.org/10.1007/s12286-022-00553-5 SN - 1865-2646 SN - 1865-2654 VL - 16 IS - 4 SP - 769 EP - 772 PB - VS Verl. für Sozialwissenschaften CY - Wiesbaden ER - TY - JOUR A1 - Dämpfling, Helge L. C. A1 - Mielke, Christian A1 - Koellner, Nicole A1 - Lorenz, Melanie A1 - Rogass, Christian A1 - Altenberger, Uwe A1 - Harlov, Daniel E. A1 - Knoper, Michael T1 - Automatic element and mineral detection in thin sections using hyperspectral transmittance imaging microscopy (HyperTIM) JF - European journal of mineralogy N2 - In this study we present a novel method for the automatic detection of minerals and elements using hyperspectral transmittance imaging microscopy measurements of complete thin sections (HyperTIM). This is accomplished by using a hyperspectral camera system that operates in the visible and near-infrared (VNIR) range with a specifically designed sample holder, scanning setup, and a microscope lens. We utilize this method on a monazite ore thin section from Steenkampskraal (South Africa), which we analyzed for the rare earth element (REE)-bearing mineral monazite ((Ce,Nd,La)PO4), with high concentrations of Nd. The transmittance analyses with the hyperspectral VNIR camera can be used to identify REE minerals and Nd in thin sections. We propose a three-point band depth index, the Nd feature depth index (NdFD), and its related product the Nd band depth index (NdBDI), which enables automatic mineral detection and classification for the Nd-bearing monazites in thin sections. In combination with the average concentration of the relative Nd content, it permits a destruction-free, total concentration calculation for Nd across the entire thin section. Y1 - 2022 U6 - https://doi.org/10.5194/ejm-34-275-2022 SN - 0935-1221 SN - 1617-4011 VL - 34 IS - 3 SP - 275 EP - 284 PB - Copernicus CY - Göttingen ER - TY - RPRT A1 - Hertel, Kyra A1 - Kennecke, Andreas A1 - Reiche, Michael A1 - Schmidt-Kopplin, Diana A1 - Tillmann, Diana A1 - Winkler, Marco T1 - Bericht zum Auftaktworkshop des Forschungsprojektes "Workflow-Management-Systeme für Open-Access-Hochschulverlage (OA-WFMS)" N2 - Das Forschungsprojekt „Workflow-Management-Systeme für Open-Access-Hochschulverlage (OA-WFMS)” ist eine Kooperation zwischen der HTWK Leipzig und der Universität Potsdam. Ziel ist es, die Bedarfe von Universitäts- und Hochschulverlagen und Anforderungen an ein Workflow-Management-Systeme (WFMS) zu analysieren, um daraus ein generisches Lastenheft zu erstellen. Das WFMS soll den Publikationsprozess in OA-Verlagen erleichtern, beschleunigen sowie die Verbreitung von Open Access und das nachhaltige, digitale wissenschaftliche Publizieren fördern. Das Projekt baut auf den Ergebnissen der Projekte „Open-Access-Hochschulverlag (OA-HVerlag)“ und „Open-Access-Strukturierte-Kommunikation (OA-STRUKTKOMM)“ auf. Der diesem Bericht zugrunde liegende Auftaktworkshop fand 2024 in Leipzig mit Vertreter:innen von zehn Institutionen statt. Der Workshop diente dazu, Herausforderungen und Anforderungen an ein WFMS zu ermitteln sowie bestehende Lösungsansätze und Tools zu diskutieren. Im Workshop wurden folgende Fragen behandelt: a. Wie kann die Organisation und Überwachung von Publikationsprozessen in wissenschaftlichen Verlagen durch ein WFMS effizient gestaltet werden? b. Welche Anforderungen muss ein WFMS erfüllen, um Publikationsprozesse optimal zu unterstützen? c. Welche Schnittstellen müssen berücksichtigt werden, um die Interoperabilität der Systeme zu garantieren? d. Welche bestehenden Lösungsansätze und Tools sind bereits im Einsatz und welche Vor- und Nachteile haben diese? Der Workshop gliederte sich in zwei Teile : Teil 1 behandelte Herausforderungen und Anforderungen (Fragen a. bis c.), Teil 2 bestehende Lösungen und Tools (Frage d.). Die Ergebnisse des Workshops fließen in die Bedarfsanalyse des Forschungsprojekts ein. Die im Bericht dokumentierten Ergebnisse zeigen die Vielzahl der Herausforderungen der bestehenden Ansätze bezüglich des OA-Publikationsmanagements . Die Herausforderungen zeigen sich insbesondere bei der Systemheterogenität, den individuellen Anpassungsbedarfen und der Notwendigkeit der systematischen Dokumentation. Die eingesetzten Unterstützungssysteme und Tools wie Dateiablagen, Projektmanagement- und Kommunikationstools können insgesamt den Anforderungen nicht genügen, für Teillösungen sind sie jedoch nutzbar. Deshalb muss die Integration bestehender Systeme in ein zu entwickelndes OA-WFMS in Betracht gezogen und die Interoperabilität der miteinander interagierenden Systeme gewährleistet werden. Die Beteiligten des Workshops waren sich einig, dass das OA-WFMS flexibel und modular aufgebaut werden soll. Einer konsortialen Softwareentwicklung und einem gemeinsamen Betrieb im Verbund wurde der Vorrang gegeben. Der Workshop lieferte wertvolle Einblicke in die Arbeit der Hochschulverlage und bildet somit eine solide Grundlage für die in Folge zu erarbeitende weitere Bedarfsanalyse und die Erstellung des generischen Lastenheftes. N2 - The research project „Workflow Management Systems for Open Access University Presses (OA-WFMS)“ is a collaboration between HTWK Leipzig and the University of Potsdam. The aim is to analyze the needs of university presses and the requirements for a Workflow Management System (WFMS) to create a catalog of generic specifications. The WFMS is intended to facilitate and accelerate the publication process in OA presses, as well as to promote the spread of open access and sustainable, digital scientific publishing. The project builds on the results of the project „Open Access University Press (OA-HVerlag)“ and „Open Access Structured Communication (OA-STRUKTKOMM)“. The kickoff workshop for this report took place in 2024 in Leipzig with representatives from ten institutions. The workshop aimed to identify challenges and requirements for a WFMS, as well as discuss existing solutions and tools. The workshop addressed the following questions: a. How can the organization and monitoring of publication processes in scientific presses be efficiently designed using a WFMS? b. What requirements must a WFMS meet to optimally support publication processes? c. Which interfaces need to be considered to ensure the interoperability of the systems? d. Which existing solutions and tools are already in use, and what are their advantages and disadvantages? The workshop was divided into two parts: Part 1 addressed challenges and requirements (questions a. to c.), and Part 2 focused on existing solutions and tools (question d.). The results of the workshop will be incorporated into the needs analysis of the research project. The results documented in the report highlight the variety of challenges of the existing approaches regarding OA publication management. The challenges are particularly evident in system heterogeneity, the need for individual customization, and the necessity of systematic documentation. The support systems and tools in use, such as file storage, project management, and communication tools, do not fully meet the requirements but can be used for partial solutions. Therefore, the integration of existing systems into a new OA-WFMS must be considered, and the interoperability of interacting systems must be ensured. The workshop participants agreed that the OA-WFMS should be flexible and modular. Priority was given to consortial software development and joint operation within the association. The workshop provided valuable insights into the work of university presses and forms a solid foundation for the subsequent further needs analysis and the creation of the catalog of generic specifications. T2 - Report on the kick-off workshop of the research project "Workflow Management Systems for Open Access University Publishers (OA-WFMS)" KW - Workflow-Management-System KW - Open Access KW - Hochschulverlage KW - Publikationsprozesse KW - Interoperalität KW - Auftaktworkshop KW - Bedarfsanalyse KW - Workflow Management System KW - University Presses KW - Publication Processes KW - Interoperability KW - Kickoff Workshop KW - Open Access KW - Needs Analysis Y1 - 2024 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-638057 ER - TY - JOUR A1 - Bolotov, Maxim I. A1 - Smirnov, Lev A. A1 - Bubnova, E. S. A1 - Osipov, Grigory V. A1 - Pikovskij, Arkadij T1 - Spatiotemporal regimes in the Kuramoto-Battogtokh system of nonidentical oscillators JF - Journal of experimental and theoretical physics N2 - We consider the spatiotemporal states of an ensemble of nonlocally coupled nonidentical phase oscillators, which correspond to different regimes of the long-term evolution of such a system. We have obtained homogeneous, twisted, and nonhomogeneous stationary solutions to the Ott-Antonsen equations corresponding to key variants of the realized collective rotational motion of elements of the medium in question with nonzero mesoscopic characteristics determining the degree of coherence of the dynamics of neighboring particles. We have described the procedures of the search for the class of nonhomogeneous solutions as stationary points of the auxiliary point map and of determining the stability based on analysis of the eigenvalue spectrum of the composite operator. Static and breather cluster regimes have been demonstrated and described, as well as the regimes with an irregular behavior of averaged complex fields including, in particular, the local order parameter. Y1 - 2021 U6 - https://doi.org/10.1134/S1063776121010106 SN - 1063-7761 SN - 1090-6509 VL - 132 IS - 1 SP - 127 EP - 147 PB - Springer CY - Heidelberg [u.a.] ER - TY - JOUR A1 - Barbosa, Luis Romero A. A1 - Coelho, Victor Hugo R. A1 - Gusmao, Ana Claudia V. L. F. A1 - Fernandes, Lucila A. E. A1 - da Silva, Bernardo B. A1 - Galvao, Carlos de O. A1 - Caicedo, Nelson O. L. A1 - da Paz, Adriano R. A1 - Xuan, Yunqing A1 - Bertrand, Guillaume F. A1 - Melo, Davi de C. D. A1 - Montenegro, Suzana M. G. L. A1 - Oswald, Sascha E. A1 - Almeida, Cristiano das N. T1 - A satellite-based approach to estimating spatially distributed groundwater recharge rates in a tropical wet sedimentary region despite cloudy conditions JF - Journal of hydrology N2 - Groundwater recharge (GWR) is one of the most challenging water fluxes to estimate, as it relies on observed data that are often limited in many developing countries. This study developed an innovative water budget method using satellite products for estimating the spatially distributed GWR at monthly and annual scales in tropical wet sedimentary regions despite cloudy conditions. The distinctive features proposed in this study include the capacity to address 1) evapotranspiration estimations in tropical wet regions frequently overlaid by substantial cloud cover; and 2) seasonal root-zone water storage estimations in sedimentary regions prone to monthly variations. The method also utilises satellite-based information of the precipitation and surface runoff. The GWR was estimated and validated for the hydrologically contrasting years 2016 and 2017 over a tropical wet sedimentary region located in North-eastern Brazil, which has substantial potential for groundwater abstraction. This study showed that applying a cloud-cleaning procedure based on monthly compositions of biophysical data enables the production of a reasonable proxy for evapotranspiration able to estimate groundwater by the water budget method. The resulting GWR rates were 219 (2016) and 302 (2017) mm yr(-1), showing good correlations (CC = 0.68 to 0.83) and slight underestimations (PBIAS =-13 to-9%) when compared with the referenced estimates obtained by the water table fluctuation method for 23 monitoring wells. Sensitivity analysis shows that water storage changes account for +19% to-22% of our monthly evaluation. The satellite-based approach consistently demonstrated that the consideration of cloud-cleaned evapotranspiration and root-zone soil water storage changes are essential for a proper estimation of spatially distributed GWR in tropical wet sedimentary regions because of their weather seasonality and cloudy conditions. KW - remote sensing KW - water balance KW - groundwater recharge KW - water table KW - fluctuation KW - tropical climate KW - sedimentary aquifer Y1 - 2022 U6 - https://doi.org/10.1016/j.jhydrol.2022.127503 SN - 0022-1694 SN - 1879-2707 VL - 607 PB - Elsevier CY - Amsterdam ER - TY - GEN A1 - Jauer, Nora A1 - Batura, Justine T1 - Don’t settle for less Y1 - 2021 UR - https://voelkerrechtsblog.org/dont-settle-for-less/ U6 - https://doi.org/10.17176/20210422-100928-0 SN - 2510-2567 PB - M. Riegner c/o Humboldt-Univ. CY - Berlin ER - TY - JOUR A1 - Pornsawad, Pornsarp A1 - Böckmann, Christine A1 - Panitsupakamon, Wannapa T1 - The Levenberg–Marquardt regularization for the backward heat equation with fractional derivative JF - Electronic transactions on numerical analysis - ETNA N2 - The backward heat problem with time-fractional derivative in Caputo's sense is studied. The inverse problem is severely ill-posed in the case when the fractional order is close to unity. A Levenberg-Marquardt method with a new a posteriori stopping rule is investigated. We show that optimal order can be obtained for the proposed method under a Hölder-type source condition. Numerical examples for one and two dimensions are provided. KW - ill-posed problems KW - time-fractional derivative KW - backward heat problem KW - Levenberg-Marquardt method KW - a posteriori stopping rule KW - optimal order Y1 - 2022 SN - 978-3-7001-8258-0 U6 - https://doi.org/10.1553/etna_vol57s67 SN - 1068-9613 VL - 57 SP - 67 EP - 79 PB - Kent State University CY - Kent ER - TY - JOUR A1 - Letzel, Ann-Sophie T1 - Bewertung ausgewählter Aspekte des neuen „Gesetzes zum Schutz von Geschäftsgeheimnissen“ (GeschGehG) BT - Schutzbereich und Whistleblowing JF - Zeitschrift für das juristische Studium N2 - Durch die steigende Bedeutung von grenzüberschreitendem Unternehmensverkehr, Globalisierung und Outsourcing sowie dem Einsatz von Telekommunikationsmitteln ist eine effektive und einheitliche Regelung zum Schutz von Geschäftsgeheimnissen unentbehrlich, da infolge einer Zunahme von Praktiken, wie Wirtschaftsspionage und Verletzungen von Geheimhaltungspflichten, welche eine rechtswidrige Aneignung von Geschäftsgeheimnissen bezwecken, eine verstärkte Gefährdungslage für die Geheimhaltung von Geschäftsgeheimnissen besteht. Insbesondere deshalb soll dieser Beitrag die Frage beantworten, ob die Richtlinie (EU) 2016/943 (Geheimnisschutzrichtlinie) europarechtskonform in das Gesetz zum Schutz von Geschäftsgeheimnissen (GeschGehG) umgesetzt worden ist (zur Historie I.). Der Schwerpunkt liegt hierbei auf dem Schutzbereich (II.) und vornehmlich auf der Frage, wie das Merkmal des kommerziellen Wertes zu verstehen ist, ob jegliche Geheimnisse eines Unternehmens geschützt sind und inwiefern sich der Geheimnisschutz durch die geforderten angemessenen Geheimhaltungsmaßnahmen für Geheimnisinhaber verändert. Betrachtet wird ebenfalls, ob der deutsche Gesetzgeber befugt ist, ein berechtigtes Interesse an der Geheimhaltung zu fordern. Spätestens seit Snowdens Enthüllungen genießt die Aufdeckung von unethischen oder illegalen Verhaltensweisen gesteigerte Aufmerksamkeit in der Bevölkerung und Rechtswissenschaft. Für den Hinweisgeberschutz ergeben sich durch das GeschGehG Neuerungen. Hinsichtlich des umfassenden Schutzbereiches des GeschGehG wird betrachtet, ob und wann eine unternehmensexterne Offenlegung von Geschäftsgeheimnissen zulässig ist (III.). Hierzu wird beantwortet, ob die bisherige Rechtsprechung zum sog. Eskalationsmodell weiterhin angewandt werden muss und wie sich das Verhältnis zur allgemeinen arbeitsvertraglichen Verschwiegenheitspflicht aus § 241 Abs. 2 BGB, sowohl aus dem laufenden als auch dem beendeten Arbeitsverhältnis, darstellt. Eine abschließende Bewertung (IV.) vervollständigt den Beitrag. Y1 - 2021 UR - https://www.zjs-online.com/dat/artikel/2021_1_1462.pdf SN - 1865-6331 IS - 1 SP - 1 EP - 13 PB - T. Rotsch CY - Gießen ER - TY - JOUR A1 - Kay, Alex James T1 - Never again? BT - the ways in which we remember the Holocaust might not help to prevent the rise of violent fascism in future N2 - The Holocaust was the most terrible atrocity of the 20th century. In many ways, it was also unprecedented in the history of atrocities: for its comprehensiveness and systematic nature; for the fanaticism with which its perpetrators scoured an entire continent in their pursuit of Jews; for the awful potency of the Nazis’ insinuation that the victims represented a pernicious and existential threat. Collectively, we have spent decades—and published millions of words—trying to understand what happened and why. Y1 - 2023 UR - https://www.prospectmagazine.co.uk/culture/60494/never-again SN - 1359-5024 VL - 4 IS - April 2023 SP - 63 EP - 65 PB - Prospect Publishing Limited CY - London ER - TY - JOUR A1 - Omranian, Sara A1 - Angeleska, Angela A1 - Nikoloski, Zoran T1 - PC2P BT - parameter-free network-based prediction of protein complexes JF - Bioinformatics N2 - Motivation: Prediction of protein complexes from protein-protein interaction (PPI) networks is an important problem in systems biology, as they control different cellular functions. The existing solutions employ algorithms for network community detection that identify dense subgraphs in PPI networks. However, gold standards in yeast and human indicate that protein complexes can also induce sparse subgraphs, introducing further challenges in protein complex prediction. Results: To address this issue, we formalize protein complexes as biclique spanned subgraphs, which include both sparse and dense subgraphs. We then cast the problem of protein complex prediction as a network partitioning into biclique spanned subgraphs with removal of minimum number of edges, called coherent partition. Since finding a coherent partition is a computationally intractable problem, we devise a parameter-free greedy approximation algorithm, termed Protein Complexes from Coherent Partition (PC2P), based on key properties of biclique spanned subgraphs. Through comparison with nine contenders, we demonstrate that PC2P: (i) successfully identifies modular structure in networks, as a prerequisite for protein complex prediction, (ii) outperforms the existing solutions with respect to a composite score of five performance measures on 75% and 100% of the analyzed PPI networks and gold standards in yeast and human, respectively, and (iii,iv) does not compromise GO semantic similarity and enrichment score of the predicted protein complexes. Therefore, our study demonstrates that clustering of networks in terms of biclique spanned subgraphs is a promising framework for detection of complexes in PPI networks. Y1 - 2021 U6 - https://doi.org/10.1093/bioinformatics/btaa1089 SN - 1367-4803 SN - 1460-2059 VL - 37 IS - 1 SP - 73 EP - 81 PB - Oxford Univ. Press CY - Oxford ER - TY - CHAP A1 - Cárdenas, Aura A1 - Schernthanner, Harald ED - Jacob-Lopes, Eduardo ED - Queiroz Zepka, Leila ED - Costa Deprá, Mariany T1 - The role of livestock wastes in clean energy BT - a mapping in Germany’s potential installations T2 - Handbook of waste biorefinery N2 - Agricultural production worldwide has been increasing in the last decades at a very fast pace and with it the waste generation. Livestock activities are one of the largest producers of residues in the agricultural sector and contribute greatly to climate change. The present chapter gives an introduction and an in-depth analysis of the waste management of livestock for the conversion in a circular agriculture and economy based on research and experience in the sector conducted in the last decades. The conversion of animal waste into energy generation is an opportunity for farmers to obtain additional economic benefits, while contributing to the environment by preventing the release of GHGs into the atmosphere. The use of animal waste for energy generation through anaerobic digestion is a progressive technique and is being widely accepted in Europe, where Germany is the leading country in the use of biogas plants for energy production among others in the European Union. Economically speaking, the livestock industry faces the challenge of converting its production into a clean and more profitable production. The goal of this chapter is to analyze the economic benefit as well as the environmental contribution and future challenges of the use of livestock waste in the biorefineries sector from different perspectives, based on an intensive literature review. This review is accompanied by a geospatial analysis component, mapping biogas reactor hotspots and clusters in Germany, by means of methods of spatial statistics as analysis methods as kernel density estimations (KDE) and K-means clustering, based on volunteer geographic data. The applied methods easily can be transferred to other regions and allow a quick macroscopic overview over existing biogas reactors; furthermore, an identification of cluster and hotspots with a high biogas potential, that in a subsequent step can be analyzed in depth in larger scales. Y1 - 2022 SN - 978-3-031-06561-3 U6 - https://doi.org/10.1007/978-3-031-06562-0_12 SP - 337 EP - 343 PB - Springer CY - Cham ER - TY - JOUR A1 - Tavakoli, Hamad A1 - Alirezazadeh, Pendar A1 - Hedayatipour, Ava A1 - Nasib, A. H. Banijamali A1 - Landwehr, Niels T1 - Leaf image-based classification of some common bean cultivars using discriminative convolutional neural networks JF - Computers and electronics in agriculture : COMPAG online ; an international journal N2 - In recent years, many efforts have been made to apply image processing techniques for plant leaf identification. However, categorizing leaf images at the cultivar/variety level, because of the very low inter-class variability, is still a challenging task. In this research, we propose an automatic discriminative method based on convolutional neural networks (CNNs) for classifying 12 different cultivars of common beans that belong to three various species. We show that employing advanced loss functions, such as Additive Angular Margin Loss and Large Margin Cosine Loss, instead of the standard softmax loss function for the classification can yield better discrimination between classes and thereby mitigate the problem of low inter-class variability. The method was evaluated by classifying species (level I), cultivars from the same species (level II), and cultivars from different species (level III), based on images from the leaf foreside and backside. The results indicate that the performance of the classification algorithm on the leaf backside image dataset is superior. The maximum mean classification accuracies of 95.86, 91.37 and 86.87% were obtained at the levels I, II and III, respectively. The proposed method outperforms the previous relevant works and provides a reliable approach for plant cultivars identification. KW - Bean KW - Plant identification KW - Digital image analysis KW - VGG16 KW - Loss KW - functions Y1 - 2021 U6 - https://doi.org/10.1016/j.compag.2020.105935 SN - 0168-1699 SN - 1872-7107 VL - 181 PB - Elsevier CY - Amsterdam [u.a.] ER - TY - JOUR A1 - Ben Dor, Yoav A1 - Flax, Tomer A1 - Levitan, Itamar A1 - Enzel, Yehouda A1 - Brauer, Achim A1 - Erel, Yigal T1 - The paleohydrological implications of aragonite precipitation under contrasting climates in the endorheic Dead Sea and its precursors revealed by experimental investigations JF - Chemical geology : official journal of the European Association for Geochemistry N2 - Carbonate minerals are common in both marine and lacustrine records, and are frequently used for paleoenvironmental reconstructions. The sedimentary sequence of the endorheic Dead Sea and its precursors contain aragonite laminae that provide a detailed sedimentary archive of climatic, hydrologic, limnologic and environmental conditions since the Pleistocene. However, the interpretation of these archives requires a detailed understanding of the constraints and mechanisms affecting CaCO3 precipitation, which are still debated. The implications of aragonite precipitation in the Dead Sea and in its late Pleistocene predecessor (Lake Lisan) were investigated in this study by mixing natural and synthetic brines with a synthetic bicarbonate solution that mimics flash-floods composition, with and without the addition of extracellular polymeric substances (EPS). Aragonite precipitation was monitored, and precipitation rates and carbonate yields were calculated and are discussed with respect to modern aquatic environments. The experimental insights on aragonite precipitation are then integrated with microfacies analyses in order to reconstruct and constrain prevailing limnogeological processes and their hydroclimatic drivers under low (interglacial) and high (glacial) lake level stands. Aragonite precipitation took place within days to several weeks after the mixing of the brines with a synthetic bicarbonate solution. Incubation time was proportional to bicarbonate concentration, and precipitation rates were partially influenced by ionic strength. Additionally, extracellular polymeric substances inhibited aragonite precipitation for several months. As for the lake's water budget, our calculations suggest that the precipitation of a typical aragonite lamina (0.5 mm thick) during high lake stand requires unreasonable freshwater inflow from either surface or subsurface sources. This discrepancy can be resolved by considering one or a combination of the following scenarios; (1) discontinuous aragonite deposition over parts of the lake floor; (2) supply of additional carbonate flux (or fluxes) to the lake from aeolian dust and the remobilization and dissolution of dust deposits at the watershed; (3) carbonate production via oxidation of organic carbon by sulfate-reducing bacteria. Altogether, it is suggested that aragonite laminae thickness cannot be directly interpreted for quantitatively reconstructing the hydrological balance for the entire lake, they may still prove valuable for identifying inherent hydroclimatic periodicities at a single site. KW - Dead Sea KW - Lake Lisan KW - Aragonite KW - Varves KW - Paleolimnology KW - Paleohydrology KW - Dead Sea deep drilling project KW - EPS KW - Extracellular polymeric substances KW - Levant climate KW - Eastern Mediterranean KW - Paleoclimate KW - Lacustrine carbonate Y1 - 2021 U6 - https://doi.org/10.1016/j.chemgeo.2021.120261 SN - 0009-2541 SN - 1872-6836 VL - 576 PB - Elsevier CY - Amsterdam ER - TY - JOUR A1 - Holzberg, Billy A1 - Madörin, Anouk A1 - Pfeifer, Michelle T1 - The sexual politics of border control BT - an introduction JF - Ethnic and racial studies N2 - In this introductory article to the special issue, we ask what role sexuality plays in the reproduction and contestation of border regimes and think sexuality towards its various entanglements with border control. As borders have been understood as a method for reproducing racialized distinctions, we argue that sexuality is also a method of bordering and illustrate how sexuality works as a key strategy for the capture, containment and regulation of mobility and movement. Taking a transnational approach, we bring together queer scholarship on borders and migration with the rich archive of feminist, Black, Indigenous and critical border perspectives to suggest that these strategies need to be understood in close relation to the (I) intersecting dynamics of colonial histories of racialization, (II) national regimes of reproductive control and (III) the containment of contagion, disease and sexual deviance. KW - sexuality KW - borders KW - transnational KW - migration KW - race KW - (post)coloniality Y1 - 2021 U6 - https://doi.org/10.1080/01419870.2021.1892791 SN - 0141-9870 SN - 1466-4356 VL - 44 IS - 9 SP - 1485 EP - 1506 PB - Routledge CY - London [u.a.] ER - TY - JOUR A1 - Birukov, Anna A1 - Polemiti, Elli A1 - Jaeger, Susanne A1 - Stefan, Norbert A1 - Schulze, Matthias B. T1 - Fetuin-A and risk of diabetes-related vascular complications BT - a prospective study JF - Cardiovascular diabetology N2 - Background Fetuin-A is a hepatokine which has the capacity to prevent vascular calcification. Moreover, it is linked to the induction of metabolic dysfunction, insulin resistance and associated with increased risk of diabetes. It has not been clarified whether fetuin-A associates with risk of vascular, specifically microvascular, complications in patients with diabetes. We aimed to investigate whether pre-diagnostic plasma fetuin-A is associated with risk of complications once diabetes develops. Methods Participants with incident type 2 diabetes and free of micro- and macrovascular disease from the European Prospective Investigation into Cancer and Nutrition (EPIC)-Potsdam cohort (n = 587) were followed for microvascular and macrovascular complications (n = 203 and n = 60, respectively, median follow-up: 13 years). Plasma fetuin-A was measured approximately 4 years prior to diabetes diagnosis. Prospective associations between baseline fetuin-A and risk of complications were assessed with Cox regression. Results In multivariable models, fetuin-A was linearly inversely associated with incident total and microvascular complications, hazard ratio (HR, 95% CI) per standard deviation (SD) increase: 0.86 (0.74; 0.99) for total, 0.84 (0.71; 0.98) for microvascular and 0.92 (0.68; 1.24) for macrovascular complications. After additional adjustment for cardiometabolic plasma biomarkers, including triglycerides and high-density lipoprotein, the associations were slightly attenuated: 0.88 (0.75; 1.02) for total, 0.85 (0.72; 1.01) for microvascular and 0.95 (0.67; 1.34) for macrovascular complications. No interaction by sex could be observed (p > 0.10 for all endpoints). Conclusions Our data show that lower plasma fetuin-A levels measured prior to the diagnosis of diabetes may be etiologically implicated in the development of diabetes-associated microvascular disease. KW - Fetuin-A KW - biomarkers KW - epidemiology KW - Type 2 diabetes KW - vascular disease; KW - vascular calcification KW - microvascular complications Y1 - 2022 U6 - https://doi.org/10.1186/s12933-021-01439-8 SN - 1475-2840 VL - 21 IS - 1 PB - BMC CY - London ER - TY - CHAP A1 - Rothermel, Ann-Kathrin ED - Rothermel, Ann-Kathrin ED - Shepherd, Laura J. T1 - Gender at the crossroads BT - the role of gender in the UN’s global counterterrorism reform at the humanitarian-development-peace nexus T2 - Gender and the governance of terrorism and violent extremism N2 - Since the early 2000s, the United Nations (UN) global counterterrorism architecture has seen significant changes towards increased multilateralism, a focus on prevention, and inter-institutional coordination across the UN’s three pillars of work. Throughout this reform process, gender aspects have increasingly become presented as a “cross-cutting” theme. In this article, I investigate the role of gender in the UN’s counterterrorism reform process at the humanitarian-development-peace nexus, or “triple nexus”, from a feminist institutionalist perspective. I conduct a feminist discourse analysis of the counterterrorism discourses of three UN entities, which represent the different UN pillars of peace and security (DPO), development (UNDP), and humanitarianism and human rights (OHCHR). The article examines the role of gender in the inter-institutional reform process by focusing on the changes, overlaps and differences in the discursive production of gender in the entities’ counterterrorism agendas over time and in two recent UN counterterrorism conferences. I find that gendered dynamics of nested newness and institutional layering have played an essential role both as a justification for the involvement of individual entities in counterterrorism and as a vehicle for inter-institutional cooperation and struggle for discursive power. Y1 - 2023 SN - 9781003381266 SN - 978-1-032-46347-6 SN - 978-1-032-46348-3 U6 - https://doi.org/10.4324/9781003381266-2 SP - 11 EP - 36 PB - Routledge CY - London ER - TY - JOUR A1 - Elsässer, Joshua Philipp A1 - Hickmann, Thomas A1 - Jinnah, Sikina A1 - Oberthur, Sebastian A1 - Van de Graaf, Thijs T1 - Institutional interplay in global environmental governance BT - lessons learned and future research JF - International environmental agreements: politics, law and economics N2 - Over the past decades, the growing proliferation of international institutions governing the global environment has impelled institutional interplay as a result of functional and normative overlap across multiple regimes. This article synthesizes primary contributions made in research on institutional interplay over the past twenty years, with particular focus on publications with International Environmental Agreements: Politics, Law and Economics. Broadening our understanding about the different types, dimensions, pathways, and effects of institutional interplay, scholars have produced key insights into the ways and means by which international institutions cooperate, manage discord, engage in problem solving, and capture synergies across levels and scales. As global environmental governance has become increasingly fragmented and complex, we recognize that recent studies have highlighted the growing interactions between transnationally operating institutions in the wake of polycentric governance and hybrid institutional complexes. However, our findings reveal that there is insufficient empirical and conceptual research to fully understand the relationship, causes, and consequences of interplay between intergovernmental and transnational institutions. Reflecting on the challenges of addressing regulatory gaps and mitigating the crisis of multilateralism, we expound the present research frontier for further advancing research on institutional interplay and provide recommendations to support policy-making. KW - institutional interplay KW - transnational institutional interplay KW - global KW - environmental governance KW - transnational governance KW - multilateral KW - environmental agreements Y1 - 2022 U6 - https://doi.org/10.1007/s10784-022-09569-4 SN - 1567-9764 SN - 1573-1553 VL - 22 IS - 2 SP - 373 EP - 391 PB - Springer CY - Dordrecht ER - TY - CHAP A1 - Rothermel, Ann-Kathrin ED - Rothermel, Ann-Kathrin ED - Shepherd, Laura J. T1 - Introduction BT - gender and the governance of terrorism and violent extremism T2 - Gender and the governance of terrorism and violent extremism N2 - Several global governance initiatives launched in recent years have explicitly sought to integrate concern for gender equality and gendered harms into efforts to counter terrorism and violent extremism. As a result, commitments to gender-sensitivity and gender equality in international and regional counterterrorism and countering violent extremism (CT/CVE) initiatives, in national action plans, and at the level of civil society programming, have become a common aspect of the multilevel governance of terrorism and violent extremism. In light of these developments, aspects of our own research have turned in the past years to explore how concerns about gender are being incorporated in the governance of terrorism and violent extremism and how this development has affected (gendered) practices and power relations in CT policymaking and implementation. We were inspired by the growing literature on gender and CT/CVE, and critical scholarship on terrorism and political violence, to bring together a collection of new research addressing these questions. Y1 - 2023 SN - 9781003381266 SN - 978-1-032-46348-3 SN - 978-1-032-46347-6 U6 - https://doi.org/10.4324/9781003381266-1 PB - Routledge CY - London ER - TY - BOOK ED - Rothermel, Ann-Kathrin ED - Shepherd, Laura J. T1 - Gender and the governance of terrorism and violent extremism N2 - This book brings together a variety of innovative perspectives on the inclusion of gender in the governance of (counter-)terrorism and violent extremism. Several global governance initiatives launched in recent years have explicitly sought to integrate concern for gender equality and gendered harms into efforts to counter terrorism and violent extremism (CT/CVE). As a result, commitments to gender-sensitivity and gender equality in international and regional CT/CVE initiatives, in national action plans and at the level of civil society programming, ´have become a common aspect of the multilevel governance of terrorism and violent extremism. In light of these developments, there is a need for more systematic analysis of how concerns about gender are being incorporated in the governance of (counter-)terrorism and violent extremism and how it has affected (gendered) practices and power relations in counterterrorism policy-making and implementation. Ranging from the processes of global and regional integration of gender into the governance of terrorism, via the impact of the shift on government responses to the return of foreign fighters, to state and civil society-led CVE programming and academic discussions, the essays engage with the origins and dynamics behind recent shifts which bring gender to the forefront of the governance of terrorism. This book will be of great value to researchers and scholars interested in gender, governance and terrorism. The chapters in this book were originally published in Critical Studies on Terrorism. Y1 - 2023 SN - 9781003381266 SN - 978-1-032-46347-6 SN - 978-1-032-46348-3 U6 - https://doi.org/10.4324/9781003381266 PB - Routledge CY - London ER - TY - GEN A1 - Jauer, Nora T1 - Two milestones in favour of the environment in just a few days? Y1 - 2021 UR - https://voelkerrechtsblog.org/two-milestones-in-favour-of-the-environment-in-just-a-few-days/ U6 - https://doi.org/10.17176/20211102-172527-0 SN - 2510-2567 PB - M. Riegner c/o Humboldt-Univ. CY - Berlin ER - TY - JOUR A1 - Vilk, Ohad A1 - Aghion, Erez A1 - Nathan, Ran A1 - Toledo, Sivan A1 - Metzler, Ralf A1 - Assaf, Michael T1 - Classification of anomalous diffusion in animal movement data using power spectral analysis JF - Journal of physics : A, Mathematical and theoretical N2 - The field of movement ecology has seen a rapid increase in high-resolution data in recent years, leading to the development of numerous statistical and numerical methods to analyse relocation trajectories. Data are often collected at the level of the individual and for long periods that may encompass a range of behaviours. Here, we use the power spectral density (PSD) to characterise the random movement patterns of a black-winged kite (Elanus caeruleus) and a white stork (Ciconia ciconia). The tracks are first segmented and clustered into different behaviours (movement modes), and for each mode we measure the PSD and the ageing properties of the process. For the foraging kite we find 1/f noise, previously reported in ecological systems mainly in the context of population dynamics, but not for movement data. We further suggest plausible models for each of the behavioural modes by comparing both the measured PSD exponents and the distribution of the single-trajectory PSD to known theoretical results and simulations. KW - diffusion KW - anomalous diffusion KW - power spectral analysis KW - ecological KW - movement data Y1 - 2022 U6 - https://doi.org/10.1088/1751-8121/ac7e8f SN - 1751-8113 SN - 1751-8121 VL - 55 IS - 33 PB - IOP Publishing CY - Bristol ER - TY - JOUR A1 - Sarrazin, Fanny J. A1 - Kumar, Rohini A1 - Basu, Nandita B. A1 - Musolff, Andreas A1 - Weber, Michael A1 - Van Meter, Kimberly J. A1 - Attinger, Sabine T1 - Characterizing catchment-scale nitrogen legacies and constraining their uncertainties JF - Water resources research N2 - Improving nitrogen (N) status in European water bodies is a pressing issue. N levels depend not only on current but also past N inputs to the landscape, that have accumulated through time in legacy stores (e.g., soil, groundwater). Catchment-scale N models, that are commonly used to investigate in-stream N levels, rarely examine the magnitude and dynamics of legacy components. This study aims to gain a better understanding of the long-term fate of the N inputs and its uncertainties, using a legacy-driven N model (ELEMeNT) in Germany's largest national river basin (Weser; 38,450 km(2)) over the period 1960-2015. We estimate the nine model parameters based on a progressive constraining strategy, to assess the value of different observational data sets. We demonstrate that beyond in-stream N loading, soil N content and in-stream N concentration allow to reduce the equifinality in model parameterizations. We find that more than 50% of the N surplus denitrifies (1480-2210 kg ha(-1)) and the stream export amounts to around 18% (410-640 kg ha(-1)), leaving behind as much as around 230-780 kg ha(-1) of N in the (soil) source zone and 10-105 kg ha(-1) in the subsurface. A sensitivity analysis reveals the importance of different factors affecting the residual uncertainties in simulated N legacies, namely hydrologic travel time, denitrification rates, a coefficient characterizing the protection of organic N in source zone and N surplus input. Our study calls for proper consideration of uncertainties in N legacy characterization, and discusses possible avenues to further reduce the equifinality in water quality modeling. KW - nitrogen legacies KW - water quality modeling KW - equifinality KW - parameter KW - estimation KW - sensitivity analysis Y1 - 2022 U6 - https://doi.org/10.1029/2021WR031587 SN - 0043-1397 SN - 1944-7973 VL - 58 IS - 4 PB - American Geophysical Union CY - Washington ER - TY - BOOK ED - Rodrian-Pfennig, Margit ED - Oppenhäuser, Holger ED - Gläser, Georg ED - Dannemann, Udo T1 - Dirty capitalism BT - politische Ökonomie (in) der politischen Bildung N2 - Von Garzweiler bis zum Great Pacific Garbage Patch zeigt sich offenkundig: Die kapitalistische Vergesellschaftung ist dreckig. Umso mehr braucht kritische politisch-ökonomische oder sozio-ökonomische Bildung einen gesellschaftstheoretisch fundierten Kapitalismusbegriff. Der Ansatz des Dirty Capitalism leistet hierzu einen expliziten Beitrag. Er greift die vielfältige Kritik an Vorstellungen und analytischer Reichweite eines "reinen" Kapitalismus, wie sie z.B. auch im Ansatz des racial capitalism formuliert wird, auf und erweitert die Analyseperspektive über Klassenverhältnisse hinaus auf Rassismus, (Post-)Kolonialismus, Geschlechter- und Naturverhältnisse. Im Band wird das Konzept weiterentwickelt und als Zugang für die kritische politische Bildung und Politikdidaktik diskutiert und empirisch genutzt. Y1 - 2024 SN - 978-3-89691-092-9 SN - 978-3-98634-168-8 PB - Westfälisches Dampfboot CY - Münster ER - TY - JOUR A1 - Friedlein, Nicole T1 - Promoting individual health tesponsibility in the welfare state JF - European journal of health law N2 - The public health insurance in Germany will face huge economic challenges in the upcoming years. New diagnostic and therapeutic methods as well as the demographic change contribute to constantly rising expenditure. Although incentives for health-promoting behaviour or financial sanctions for an unhealthy lifestyle have been already discussed in the past, there has been a general reluctance to legally establish corresponding mechanisms for fear of eroding solidarity and increasing state control. In the course of the Coronavirus pandemic however, a stronger awareness rose to the fact that personal health-related life choices can have a huge impact on the stability of the healthcare system including public health insurance. Not only in Germany but throughout much of Europe, the pandemic led to a new and more fundamental debate about the relationship between individual responsibility for personal health and the wider responsibility for public health assumed by the community of solidarity. KW - German legislation KW - individual health responsibility KW - public health insurance KW - solidarity KW - welfare state Y1 - 2024 U6 - https://doi.org/10.1163/15718093-bja10128 SN - 1571-8093 SN - 0929-0273 SP - 1 EP - 12 PB - Brill Nijhoff CY - Leiden ER - TY - JOUR A1 - Schildgen, Taylor F. A1 - van der Beek, Peter A. A1 - D'Arcy, Mitch A1 - Roda-Boluda, Duna N. A1 - Orr, Elizabeth N. A1 - Wittmann, Hella T1 - Quantifying drainage-divide migration from orographic rainfall over geologic timescales BT - Sierra de Aconquija, southern Central Andes JF - Earth & planetary science letters N2 - Drainage-divide migration, controlled by rock-uplift and rainfall patterns, may play a major role in the geomorphic evolution of mountain ranges. However, divide-migration rates over geologic timescales have only been estimated by theoretical studies and remain empirically poorly constrained. Geomorphological evidence suggests that the Sierra de Aconquija, on the eastern side of the southern Central Andes, northwest Argentina, is undergoing active westward drainage-divide migration. The mountain range has been subjected to steep rock trajectories and pronounced orographic rainfall for the last several million years, presenting an ideal setting for using low-temperature thermochronometric data to explore its topographic evolution. We perform three-dimensional thermal-kinematic modeling of previously published thermochronometric data spanning the windward and leeward sides of the range to explore the most likely structural and topographic evolution of the range. We find that the data can be explained by scenarios involving drainage-divide migration alone, or by scenarios that also involve changes in the structures that have accommodated deformation through time. By combining new Be-10-derived catchment-average denudation rates with geomorphic constraints on probable fault activity, we conclude that the evolution of the range was likely dominated by west-vergent faulting on a high-angle reverse fault underlying the range, together with westward drainage-divide migration at a rate of several km per million years. Our findings place new constraints on the magnitudes and rates of drainage-divide migration in real landscapes, quantify the effects of orographic rainfall and erosion on the topographic evolution of a mountain range, and highlight the importance of considering drainage-divide migration when interpreting thermochronometer age patterns. KW - drainage-divide migration KW - landscape evolution KW - orographic rainfall KW - thermochronology KW - cosmogenic nuclides KW - Central Andes Y1 - 2022 U6 - https://doi.org/10.1016/j.epsl.2021.117345 SN - 0012-821X SN - 1385-013X VL - 579 PB - Elsevier CY - Amsterdam ER - TY - JOUR A1 - Caliendo, Marco A1 - Cobb-Clark, Deborah A. A1 - Silva-Goncalves, Juliana A1 - Uhlendorff, Arne T1 - Locus of control and the preference for agency JF - European economic review N2 - We conduct a laboratory experiment to study how locus of control operates through people’s preferences and beliefs to influence their decisions. Using the principal–agent setting of the delegation game, we test four key channels that conceptually link locus of control to decision-making: (i) preference for agency, (ii) optimism and (iii) confidence regarding the return to effort, and (iv) illusion of control. Knowing the return and cost of stated effort, principals either retain or delegate the right to make an investment decision that generates payoffs for themselves and their agents. Extending the game to the context in which the return to stated effort is unknown allows us to explicitly study the relationship between locus of control and beliefs about the return to effort. We find that internal locus of control is linked to the preference for agency, an effect that is driven by women. We find no evidence that locus of control influences optimism and confidence about the return to stated effort, or that it operates through an illusion of control. KW - locus of control KW - preference for agency KW - decision-making KW - beliefs KW - optimism KW - confidence KW - illusion of control Y1 - 2024 U6 - https://doi.org/10.1016/j.euroecorev.2024.104737 SN - 0014-2921 SN - 1873-572X VL - 165 IS - 104737 PB - Elsevier CY - Amsterdam ER - TY - RPRT A1 - Barschkett, Mara A1 - Huebener, Mathias A1 - Leibing, Andreas A1 - Marcus, Jan A1 - Margaryan, Shushanik T1 - Replication of Atwood’s (2022) the long-term effects of measles vaccination on earnings and employment T2 - I4R discussion paper series N2 - Atwood (2022) analyzes the effects of the 1963 U.S. measles vaccination on longrun labor market outcomes, using a generalized difference-in-differences approach. We reproduce the results of this paper and perform a battery of robustness checks. Overall, we confirm that the measles vaccination had positive labor market effects. While the negative effect on the likelihood of living in poverty and the positive effect on the probability of being employed are very robust across the different specifications, the headline estimate-the effect on earnings-is more sensitive to the exclusion of certain regions and survey years. Y1 - 2023 SN - 2752-1931 IS - 33 PB - Institute for Replication CY - Essen ER - TY - JOUR A1 - Wanckel, Camilla T1 - Introducing a digital tool for sustainability impact assessments within the German Federal Government BT - a neo-institutional perspective JF - International review of administrative sciences N2 - This study examines the institutionalization of information technologies for policy formulation by investigating the case of eNAP. The digital tool was introduced in the spring of 2018 with the aim of supporting and improving sustainability impact assessments (SIAs) within the German Federal Government. Applying a neo-institutional perspective, this study shows how a tool like eNAP is embedded into prevailing regulative, normative, and cultural–cognitive structures. Findings from 10 semi-structured interviews indicate that the application of eNAP varies according to intra-ministerial coordination practices and portfolio-specific information-processing schemata. Overall, the tool serves to translate the abstract regulation to conduct an SIA, as well as to translate the vague norm of “sustainability” into a concrete assessment requirement, thereby helping increase policy officials’ awareness of sustainability goals. However, consistent with previous studies, great importance is not attached to SIAs in policy formulation, and prevailing norms and routines make the implementation of eNAP to increase the use of evidence or in-depth considerations of policy alternatives and their consequences unlikely. Y1 - 2021 U6 - https://doi.org/10.1177/00208523211047093 SN - 0020-8523 VL - 89 IS - 2 SP - 433 EP - 449 PB - Sage CY - Los Angeles, California ER - TY - JOUR A1 - Wanckel, Camilla T1 - An ounce of prevention is worth a pound of cure BT - building capacities for the use of big data algorithm systems (BDAS) in early crisis detection JF - Government information quarterly N2 - Public sector organizations at all levels of government increasingly rely on Big Data Algorithmic Systems (BDAS) to support decision-making along the entire policy cycle. But while our knowledge on the use of big data continues to grow for government agencies implementing and delivering public services, empirical research on applications for anticipatory policy design is still in its infancy. Based on the concept of policy analytical capacity (PAC), this case study examines the application of BDAS for early crisis detection within the German Federal Government—that is, the German Federal Foreign Office (FFO) and the Federal Ministry of Defence (FMoD). It uses the nested model of PAC to reflect on systemic, organizational, and individual capacity-building from a neoinstitutional perspective and allow for the consideration of embedded institutional contexts. Results from semi-structured interviews indicate that governments seeking to exploit BDAS in policymaking depend on their institutional environment (e.g., through research and data governance infrastructure). However, specific capacity-building strategies may differ according to the departments' institutional framework, with the FMoD relying heavily on subordinate agencies and the FFO creating network-like structures with external researchers. Government capacity-building at the individual and organizational level is similarly affected by long-established institutional structures, roles, and practices within the organization and beyond, making it important to analyze these three levels simultaneously instead of separately. KW - big data algorithm system (BDAS) KW - artificial intelligence (AI) KW - early crisis detection KW - policymaking KW - policy analytical capacity (PAC) KW - central government organizations KW - neo-institutionalism Y1 - 2022 U6 - https://doi.org/10.1016/j.giq.2022.101705 SN - 0740-624X VL - 39 IS - 4 PB - Elsevier CY - Amsterdam ER - TY - JOUR A1 - Zahedi, Anoushiravan A1 - Öznur Akalin, Renin A1 - Lawrence, Johanna E. A1 - Baumann, Annika A1 - Sommer, Werner T1 - The nature and persistence of posthypnotic suggestions' effects on food preferences BT - an online study JF - Frontiers in nutrition : FNUT N2 - Food preferences are crucial for diet-related decisions, which substantially impact individual health and global climate. However, the persistence of unfavorable food preferences is a significant obstacle to changing eating behavior. Here we explored the effects of posthypnotic suggestions (PHS) on food-related decisions by measuring food choices, subjective ratings, and indifference points. In Session 1, demographic data and hypnotic susceptibility of participants were assessed. In Session 2, following hypnosis induction, PHS aiming to increase the desirability of healthy food was delivered. Afterward, a task set was administrated twice, once when PHS was activated and once deactivated. The order of PHS activation was counterbalanced across participants. The task set included a liking-rating task for 170 pictures of different food items, followed by an online supermarket where participants were instructed to select enough food for a fictitious week of quarantining from the same item pool. After 1 week, Session 3 repeated Session 2 without hypnosis induction in order to assess the persistence of PHS. The crucial dependent measures were food choices, subjective ratings, and the indifference points as a function of time and PHS condition. KW - eating behavior KW - food choice KW - food preferences KW - hypnosis KW - online-supermarket KW - posthypnotic suggestions Y1 - 2022 U6 - https://doi.org/10.3389/fnut.2022.859656 SN - 2296-861X VL - 9 PB - Frontiers Media CY - Lausanne ER - TY - JOUR A1 - Stachanow, Viktoria A1 - Neumann, Uta A1 - Blankenstein, Oliver A1 - Bindellini, Davide A1 - Melin, Johanna A1 - Ross, Richard A1 - Whitaker, Martin J. J. A1 - Huisinga, Wilhelm A1 - Michelet, Robin A1 - Kloft, Charlotte T1 - Exploring dried blood spot cortisol concentrations as an alternative for monitoring pediatric adrenal insufficiency patients BT - a model-based analysis JF - Frontiers in pharmacology N2 - Congenital adrenal hyperplasia (CAH) is the most common form of adrenal insufficiency in childhood; it requires cortisol replacement therapy with hydrocortisone (HC, synthetic cortisol) from birth and therapy monitoring for successful treatment. In children, the less invasive dried blood spot (DBS) sampling with whole blood including red blood cells (RBCs) provides an advantageous alternative to plasma sampling. Potential differences in binding/association processes between plasma and DBS however need to be considered to correctly interpret DBS measurements for therapy monitoring. While capillary DBS samples would be used in clinical practice, venous cortisol DBS samples from children with adrenal insufficiency were analyzed due to data availability and to directly compare and thus understand potential differences between venous DBS and plasma. A previously published HC plasma pharmacokinetic (PK) model was extended by leveraging these DBS concentrations. In addition to previously characterized binding of cortisol to albumin (linear process) and corticosteroid-binding globulin (CBG; saturable process), DBS data enabled the characterization of a linear cortisol association with RBCs, and thereby providing a quantitative link between DBS and plasma cortisol concentrations. The ratio between the observed cortisol plasma and DBS concentrations varies highly from 2 to 8. Deterministic simulations of the different cortisol binding/association fractions demonstrated that with higher blood cortisol concentrations, saturation of cortisol binding to CBG was observed, leading to an increase in all other cortisol binding fractions. In conclusion, a mathematical PK model was developed which links DBS measurements to plasma exposure and thus allows for quantitative interpretation of measurements of DBS samples. KW - adrenal insufficiency KW - cortisol KW - dried blood spots KW - pediatrics KW - pharmacokinetics KW - binding KW - association KW - red blood cells Y1 - 2022 U6 - https://doi.org/10.3389/fphar.2022.819590 SN - 1663-9812 VL - 13 PB - Frontiers Media CY - Lausanne ER - TY - JOUR A1 - Sposini, Vittoria A1 - Chechkin, Aleksei A1 - Sokolov, Igor M. A1 - Roldan-Vargas, Sandalo T1 - Detecting temporal correlations in hopping dynamics in Lennard-Jones liquids JF - Journal of physics : A, Mathematical and theoretical N2 - Lennard-Jones mixtures represent one of the popular systems for the study of glass-forming liquids. Spatio/temporal heterogeneity and rare (activated) events are at the heart of the slow dynamics typical of these systems. Such slow dynamics is characterised by the development of a plateau in the mean-squared displacement (MSD) at intermediate times, accompanied by a non-Gaussianity in the displacement distribution identified by exponential tails. As pointed out by some recent works, the non-Gaussianity persists at times beyond the MSD plateau, leading to a Brownian yet non-Gaussian regime and thus highlighting once again the relevance of rare events in such systems. Single-particle motion of glass-forming liquids is usually interpreted as an alternation of rattling within the local cage and cage-escape motion and therefore can be described as a sequence of waiting times and jumps. In this work, by using a simple yet robust algorithm, we extract jumps and waiting times from single-particle trajectories obtained via molecular dynamics simulations. We investigate the presence of correlations between waiting times and find negative correlations, which becomes more and more pronounced when lowering the temperature. KW - glassy systems KW - hopping dynamics KW - jump detection KW - rare events Y1 - 2022 U6 - https://doi.org/10.1088/1751-8121/ac7e0a SN - 1751-8113 SN - 1751-8121 VL - 55 IS - 32 PB - IOP Publ. Ltd. CY - Bristol ER - TY - JOUR A1 - Kay, Alex James T1 - El exterminio de los cautivos del Ejército Rojo JF - Desperta Ferro: Contemporánea N2 - La Wehrmacht tenía muy claro a qué escala podía esperar capturar a las tropas soviéticas, pero aun así descuidó los preparativos necesarios para alimentar y alojar a unos hombres que los planificadores económicos y los jefes militares consideraron que serían competidores directos de las fuerzas armadas en lo que a víveres se refiere. Las obvias limitaciones a su libertad de movimiento y la relativa facilidad con la que grandes cantidades de ellos pudieron ser segregados y sus raciones controladas fueron factores cruciales a la hora de explicar la muerte de más de tres millones de prisioneros de guerra soviéticos, la inmensa mayoría de ellos como consecuencia directa o indirecta del hambre y la desnutrición. El proceso se inició con un claro desinterés por encargarse debidamente de aquella gente, pero con la llegada del otoño derivó en la decisión clara y meditada de matar de hambre a todos los que no pudieran aportar su trabajo a la economía de guerra o a los ejércitos alemanes. Y1 - 2023 SN - 2340-8820 VL - 56 SP - 57 EP - 60 PB - Desperta Ferro CY - Madrid ER - TY - JOUR A1 - Nwosu, Ebuka Canisius A1 - Roeser, Patricia Angelika A1 - Yang, Sizhong A1 - Ganzert, Lars A1 - Dellwig, Olaf A1 - Pinkerneil, Sylvia A1 - Brauer, Achim A1 - Dittmann, Elke A1 - Wagner, Dirk A1 - Liebner, Susanne T1 - From water into sediment-tracing freshwater cyanobacteria via DNA analyses JF - Microorganisms : open access journal N2 - Sedimentary ancient DNA-based studies have been used to probe centuries of climate and environmental changes and how they affected cyanobacterial assemblages in temperate lakes. Due to cyanobacteria containing potential bloom-forming and toxin-producing taxa, their approximate reconstruction from sediments is crucial, especially in lakes lacking long-term monitoring data. To extend the resolution of sediment record interpretation, we used high-throughput sequencing, amplicon sequence variant (ASV) analysis, and quantitative PCR to compare pelagic cyanobacterial composition to that in sediment traps (collected monthly) and surface sediments in Lake Tiefer See. Cyanobacterial composition, species richness, and evenness was not significantly different among the pelagic depths, sediment traps and surface sediments (p > 0.05), indicating that the cyanobacteria in the sediments reflected the cyanobacterial assemblage in the water column. However, total cyanobacterial abundances (qPCR) decreased from the metalimnion down the water column. The aggregate-forming (Aphanizomenon) and colony-forming taxa (Snowella) showed pronounced sedimentation. In contrast, Planktothrix was only very poorly represented in sediment traps (meta- and hypolimnion) and surface sediments, despite its highest relative abundance at the thermocline (10 m water depth) during periods of lake stratification (May-October). We conclude that this skewed representation in taxonomic abundances reflects taphonomic processes, which should be considered in future DNA-based paleolimnological investigations. KW - Aphanizomenon KW - Planktothrix KW - Snowella KW - cyanobacteria sedimentation KW - lake monitoring KW - sedimentary ancient DNA KW - sediment traps KW - environmental reconstruction Y1 - 2021 U6 - https://doi.org/10.3390/microorganisms9081778 SN - 2076-2607 VL - 9 IS - 8 PB - MDPI CY - Basel ER - TY - JOUR A1 - Zhou, Shuo A1 - Xu, Xun A1 - Ma, Nan A1 - Jung, Friedrich A1 - Lendlein, Andreas T1 - Influence of sterilization conditions on sulfate-functionalized polyGGE JF - Clinical hemorheology and microcirculation : blood flow and vessels N2 - Sulfated biomolecules are known to influence numerous biological processes in all living organisms. Particularly, they contribute to prevent and inhibit the hypercoagulation condition. The failure of polymeric implants and blood contacting devices is often related to hypercoagulation and microbial contamination. Here, bioactive sulfated biomacromolecules are mimicked by sulfation of poly(glycerol glycidyl ether) (polyGGE) films. Autoclaving, gamma-ray irradiation and ethylene oxide (EtO) gas sterilization techniques were applied to functionalized materials. The sulfate group density and hydrophilicity of sulfated polymers were decreased while chain mobility and thermal degradation were enhanced post autoclaving when compared to those after EtO sterilization. These results suggest that a quality control after sterilization is mandatory to ensure the amount and functionality of functionalized groups are retained. KW - Sulfated polymer KW - sulfation KW - sterilization KW - ethylene oxide Y1 - 2021 U6 - https://doi.org/10.3233/CH-211241 SN - 1386-0291 SN - 1875-8622 VL - 79 IS - 4 SP - 597 EP - 608 PB - IOS Press CY - Amsterdam ER - TY - THES A1 - Sharma, Shubham T1 - Integrated approaches to earthquake forecasting T1 - Integrierte Ansätze zur Vorhersage von Erdbeben BT - insights from Coulomb stress, seismotectonics, and aftershock sequences BT - Erkenntnisse aus Coulomb-Stress, Seismotektonik und Nachbebenfolgen N2 - A comprehensive study on seismic hazard and earthquake triggering is crucial for effective mitigation of earthquake risks. The destructive nature of earthquakes motivates researchers to work on forecasting despite the apparent randomness of the earthquake occurrences. Understanding their underlying mechanisms and patterns is vital, given their potential for widespread devastation and loss of life. This thesis combines methodologies, including Coulomb stress calculations and aftershock analysis, to shed light on earthquake complexities, ultimately enhancing seismic hazard assessment. The Coulomb failure stress (CFS) criterion is widely used to predict the spatial distributions of aftershocks following large earthquakes. However, uncertainties associated with CFS calculations arise from non-unique slip inversions and unknown fault networks, particularly due to the choice of the assumed aftershocks (receiver) mechanisms. Recent studies have proposed alternative stress quantities and deep neural network approaches as superior to CFS with predefined receiver mechanisms. To challenge these propositions, I utilized 289 slip inversions from the SRCMOD database to calculate more realistic CFS values for a layered-half space and variable receiver mechanisms. The analysis also investigates the impact of magnitude cutoff, grid size variation, and aftershock duration on the ranking of stress metrics using receiver operating characteristic (ROC) analysis. Results reveal the performance of stress metrics significantly improves after accounting for receiver variability and for larger aftershocks and shorter time periods, without altering the relative ranking of the different stress metrics. To corroborate Coulomb stress calculations with the findings of earthquake source studies in more detail, I studied the source properties of the 2005 Kashmir earthquake and its aftershocks, aiming to unravel the seismotectonics of the NW Himalayan syntaxis. I simultaneously relocated the mainshock and its largest aftershocks using phase data, followed by a comprehensive analysis of Coulomb stress changes on the aftershock planes. By computing the Coulomb failure stress changes on the aftershock faults, I found that all large aftershocks lie in regions of positive stress change, indicating triggering by either co-seismic or post-seismic slip on the mainshock fault. Finally, I investigated the relationship between mainshock-induced stress changes and associated seismicity parameters, in particular those of the frequency-magnitude (Gutenberg-Richter) distribution and the temporal aftershock decay (Omori-Utsu law). For that purpose, I used my global data set of 127 mainshock-aftershock sequences with the calculated Coulomb Stress (ΔCFS) and the alternative receiver-independent stress metrics in the vicinity of the mainshocks and analyzed the aftershocks properties depend on the stress values. Surprisingly, the results show a clear positive correlation between the Gutenberg-Richter b-value and induced stress, contrary to expectations from laboratory experiments. This observation highlights the significance of structural heterogeneity and strength variations in seismicity patterns. Furthermore, the study demonstrates that aftershock productivity increases nonlinearly with stress, while the Omori-Utsu parameters c and p systematically decrease with increasing stress changes. These partly unexpected findings have significant implications for future estimations of aftershock hazard. The findings in this thesis provides valuable insights into earthquake triggering mechanisms by examining the relationship between stress changes and aftershock occurrence. The results contribute to improved understanding of earthquake behavior and can aid in the development of more accurate probabilistic-seismic hazard forecasts and risk reduction strategies. N2 - Ein umfassendes Verständnis der seismischen Gefahr und Erdbebenauslösung ist wichtig für eine Minderung von Erdbebenrisiken. Die zerstörerische Natur von Erdbeben motiviert Forscher dazu, trotz der scheinbaren Zufälligkeit der Erdbebenereignisse an Vorhersagen zu arbeiten. Das Verständnis der den Beben zugrunde liegenden Mechanismen und Muster ist angesichts ihres Potenzials für weitreichende Verwüstung und den Verlust von Menschenleben von entscheidender Bedeutung. Diese Arbeit kombiniert Methoden, einschließlich der Berechnung der Coulombschen Spannung und der Analyse von Nachbeben, um die Komplexitäten von Erdbeben besser zu verstehen und letztendlich die Bewertung der seismischen Gefahr zu verbessern. Das Coulomb Spannungskriterium (CFS) wird oft verwendet, um die räumliche Verteilung von Nachbeben nach großen Erdbeben vorherzusagen. Jedoch ergeben sich Unsicherheiten bei der Berechnung von CFS aus nicht eindeutigen slip-inversion und der unbekannten Störungsnetzwerken, insbesondere aufgrund der Unsicherheit bezüglich der Nachbebenmechanismen (Empfänger). Neueste Studien deuten darauf hin dass alternative Spannungsgrößen und Deep-Learning-Ansätze gegenüber CFS mit vordefinierten Empfängermechanismen. Um diese Ergebnisse zu hinterfragen, habe ich 289 Slip-inversion uberlegensind aus der SRCMOD-Datenbank verwendet, um realistischere CFS-Werte für einen geschichteten Halbraum und variable Empfängermechanismen zu berechnen. Dabei habe ich auch den Einfluss von Magnitudenschwellenwerten, Gittergrößenvariationen und der Nachbeben-Dauer auf die vorhersagemöglichkeiten der Spannungsmetriken unter Verwendung der ROC-Analyse (Receiver Operating Characteristic) untersucht. Die Ergebnisse zeigen, dass die berudzsidtizung von variablen Empfangermechanism und größere Nachbeben und kürzere Zeiträume die vorhersagekraft steigern, wobei die relative Rangfolge der verschiedenen Spannungsmetriken nicht geändert wird. Um die Coulomb Spannungsberechnungen genauer mit den Ergebnissen von Erdbebenstudien abzugleichen, habe ich die Quelleneigenschaften des Erdbebens von Kaschmir aus dem Jahr 2005 und seiner Nachbeben mit dem ziel, die Seismotektonik des NW-Himalaya Syntaxis zu entschlüsseln, detailliert untersucht. Ich habe gleichzeitig das Hauptbeben und seine größten Nachbeben unter Verwendung von seismischen Phaseneinsetzen relokalisiert und anschließend eine umfassende Analyse der Coulomb Spannungsänderungen auf den Bruchflächen der Nachbeben durchgeführt. Durch die Berechnung der Coulomb Spannungsänderungen an den während der Nachbeben aktivierten Störungen konnte ich herausfinden, dass alle großen Nachbeben in Regionen mit positiven Spannungsänderungen liegen, was auf eine Auslösung durch entweder ko-seismische oder post-seismische Verschiebungen des Hauptbebens hinweist. Schließlich habe ich die Beziehung zwischen den durch Hauptbeben verursachten Spannungsänderungen und den damit verbundenen seismischen Parametern untersucht, insbesondere denen der Häufigkeits-Magnituden (Gutenberg-Richter) Verteilung und des zeitlichen Nachbebenabklingens (Omori-Utsu-Gesetz). Zu diesem Zweck habe ich meinen globalen Datensatz von 127 Hauptbeben-Nachbeben-Sequenzen mit den in der Umgebung der Hauptbeben berechneten Coulomb Spannungen ($\Delta$CFS) zusammen mit den alternativen, empfänger-unabhängigen Spannungsmetriken, verwendet und die Eigenschaften in Abhängigkeit der Spannungswerte analysiert. Überraschenderweise zeigen die Ergebnisse eine klar positive Korrelation zwischen dem $b$-Wert der Gutenberg-Richter-Verteilung und der induzierten Spannung, was im Kontrast zu den Erwartungen aus Laborexperimenten steht. Diese Beobachtung unterstreicht die Bedeutung struktureller Heterogenitäten und Festigkeitsvariationen in seismischen Mustern. Darüber hinaus zeigt die Studie, dass die Anzahl von Nachbeben nichtlinear mit der Spannung zunimmt, während die Omori-Utsu-Parameter $c$ und $p$ systematisch mit zunehmenden Spannungsänderungen abnehmen. Diese teilweise unerwarteten Ergebnisse haben bedeutende Auswirkungen auf zukünftige Abschätzungen der Nachbebengefahr. Die Ergebnisse dieser Arbeit liefern wertvolle Einblicke in die Mechanismen der Erdbebenauslösung, indem sie die Beziehung zwischen Spannungsänderungen und dem Auftreten von Nachbeben untersuchen. Die Ergebnisse tragen zu einem besseren Verständnis des Verhaltens von Erdbeben bei und können bei der Entwicklung genauerer probabilistischer, seismischer Gefahreneinschätzungen und Risikominderungsstrategien helfen. KW - earthquake KW - forecasting KW - hazards KW - seismology KW - Erdbeben KW - Vorhersage KW - Gefahren KW - Seismologie Y1 - 2024 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-636125 ER - TY - RPRT A1 - Borck, Rainald A1 - Mulder, Peter T1 - Energy policies and pollution in two developing country cities BT - A quantitative model T2 - CEPA Discussion Papers N2 - We study the effect of energy and transport policies on pollution in two developing country cities. We use a quantitative equilibrium model with choice of housing, energy use, residential location, transport mode, and energy technology. Pollution comes from commuting and residential energy use. The model parameters are calibrated to replicate key variables for two developing country cities, Maputo, Mozambique, and Yogyakarta, Indonesia. In the counterfactual simulations, we study how various transport and energy policies affect equilibrium pollution. Policies may be induce rebound effects from increasing residential energy use or switching to high emission modes or locations. In general, these rebound effects tend to be largest for subsidies to public transport or modern residential energy technology. T3 - CEPA Discussion Papers - 78 KW - pollution KW - energy policy KW - discrete choice KW - developing country cities Y1 - 2024 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-638472 SN - 2628-653X IS - 78 ER - TY - JOUR A1 - Peña, Carlos A1 - Metzger, Sabrina A1 - Heidbach, Oliver A1 - Bedford, Jonathan A1 - Bookhagen, Bodo A1 - Moreno, Marcos A1 - Oncken, Onno A1 - Cotton, Fabrice T1 - Role of poroelasticity during the early postseismic deformation of the 2010 Maule megathrust earthquake JF - Geophysical research letters N2 - Megathrust earthquakes impose changes of differential stress and pore pressure in the lithosphere-asthenosphere system that are transiently relaxed during the postseismic period primarily due to afterslip, viscoelastic and poroelastic processes. Especially during the early postseismic phase, however, the relative contribution of these processes to the observed surface deformation is unclear. To investigate this, we use geodetic data collected in the first 48 days following the 2010 Maule earthquake and a poro-viscoelastic forward model combined with an afterslip inversion. This model approach fits the geodetic data 14% better than a pure elastic model. Particularly near the region of maximum coseismic slip, the predicted surface poroelastic uplift pattern explains well the observations. If poroelasticity is neglected, the spatial afterslip distribution is locally altered by up to +/- 40%. Moreover, we find that shallow crustal aftershocks mostly occur in regions of increased postseismic pore-pressure changes, indicating that both processes might be mechanically coupled. KW - Chilean subduction zone KW - poroelasticity KW - power-law rheology KW - afterslip inversion KW - InSAR KW - GNSS Y1 - 2022 U6 - https://doi.org/10.1029/2022GL098144 SN - 0094-8276 SN - 1944-8007 VL - 49 IS - 9 PB - Wiley CY - Hoboken, NJ ER - TY - RPRT A1 - Andres, Maximilian A1 - Bruttel, Lisa T1 - Communicating Cartel Intentions T2 - CEPA Discussion Papers N2 - While the economic harm of cartels is caused by their price-increasing effect, sanctioning by courts rather targets at the underlying process of firms reaching a price-fixing agreement. This paper provides experimental evidence on the question whether such sanctioning meets the economic target, i.e., whether evidence of a collusive meeting of the firms and of the content of their communication reliably predicts subsequent prices. We find that already the mere mutual agreement to meet predicts a strong increase in prices. Conversely, express distancing from communication completely nullifies its otherwise price-increasing effect. Using machine learning, we show that communication only increases prices if it is very explicit about how the cartel plans to behave. T3 - CEPA Discussion Papers - 77 KW - cartel KW - collusion KW - communication KW - machine learning KW - experiment Y1 - 2024 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-638469 SN - 2628-653X IS - 77 ER - TY - THES A1 - Große Meininghaus, Dirk T1 - Determinanten und Strategien zur Vermeidung oesophagealer und perioesophagealer Komplikationen bei der Katheterablation des Vorhofflimmerns T1 - Determinants and strategies to avoid esophageal and periesophageal complications in catheter ablation of atrial fibrillation N2 - Die interventionelle Behandlung des Vorhofflimmerns verursacht häufiger als in der Vergangenheit wahrgenommen eine Beeinträchtigung benachbarter Gewebe und Organe. Im Vordergrund der Betrachtungen dieser Arbeit stehen Schäden des Oesophagus, die aufgrund der schlechten Vorhersagbarkeit, des zeitlich verzögerten Auftretens und der fatalen Prognose bei Ausbildung einer atrio-oesophagealen Fistel besondere Relevanz haben. Das Vorhofflimmern selbst ist nicht mit einer unmittelbaren vitalen Bedrohung verbunden, aber durch seine Komplikationen (z.B. Herzinsuffizienz, Schlaganfall) dennoch prognostisch relevant. Durch Antiarrhythmika gelingt keine Verbesserung der Rhythmuskontrolle (Arrhythmie-Freiheit), eine katheterinterventionelle Behandlung ist der medikamentösen Therapie überlegen. Durch eine frühzeitige und erfolgreiche Behandlung des Vorhofflimmerns konnte eine Verbesserung klinischer Endpunkte und der Prognose erreicht werden. Das Risiko einer invasiven Behandlung (insbesondere hinsichtlich des Auftretens prognoserelevanter Komplikationen) muss jedoch bei der Indikationsstellung und der Prozedur-Durchführung bedacht und gegenüber den günstigen Effekten der Behandlung abgewogen werden. Untersuchungen zur Vermeidung der sehr seltenen atrio-oesophagealen Fisteln bedienen sich Surrogat-Parametern, hier bisher ausschließlich den ablationsinduzierten Schleimhaut-Läsionen des Oesophagus. Die Untersuchungen dieser Arbeit zeigen ein komplexeres Bild der (peri)-oesophagealen Schädigungen nach Vorhofflimmern-Ablation mit thermischen Energiequellen. (1) Neue Definition der Oesophagus-Schäden: Oesophageale und perioesophageale Beeinträchtigungen treten sehr häufig auf (nach der hier verwendeten erweiterten Definition bei zwei Drittel der Patienten) und sind unabhängig von der verwendeten Ablationsenergie. Unterschiede finden sich in den Manifestationen der Oesophagus-Schäden für die verschiedenen Energie-Protokolle, ohne dass der Mechanismus hierfür aufgeklärt ist. Diese Arbeit beschreibt die unterschiedlichen Ausprägungen thermischer Oesophagus-Schäden, deren Determinanten und pathophysiologische Relevanz. (2) Die Detektion (zum Teil subtiler) Oesophagus-Schäden ist maßgeblich von der Intensität der Nachsorge abhängig. Eine Beschränkung auf subjektive Schilderungen (z.B. Schmerzen beim Schluckakt, Sodbrennen) ist irreführend, die Mehrzahl der Veränderungen bleibt asymptomatisch, die Symptome der ausgebildeten atrio-oesophagealen Fistel (meist nach mehreren Wochen) bereits mit einer sehr schlechten Prognose belastet. Eine Endoskopie der Speiseröhre findet in den meisten elektrophysiologischen Zentren nicht oder nur bei anhaltenden Symptomen statt und kann ausschließlich Mukosa-Läsionen nachweisen. Damit wird das Ausmaß des oesophagealen und perioesophagealen Schadens bei Weitem unterschätzt. Veränderungen des perioesophagealen Raums, deren klinische Relevanz (noch) unklar ist, werden nicht erfasst, und damit ein Wandödem und Schäden im Gewebe zwischen linkem Vorhof und Speiseröhre (einschl. Nerven und Gefäßen) ignoriert. Die Studien tragen auch zur Neubewertung etablierter Messgrößen und Risikofaktoren der Oesophagus-Schäden bei. (3) Das Temperaturmonitoring im Oesophagus anhand der Maximalabweichungen ist erst für Extremwerte aussagekräftig und dadurch nicht hilfreich, Oesophagus-Läsionen zu vermeiden. Die komplexe Analyse der Temperatur-Rohdaten (bisher nur offline möglich) liefert in der AUC für RF-Ablationen einen prädiktiven Parameter für Oesophagus-Schäden, der eine Strukturierung der weiteren endoskopischen Diagnostik erlaubt. Ein vergleich¬barer Wert für die Cryoablationen konnte in den Analysen nicht gefunden werden. (4) Eine chronische Entzündung des unteren Oesophagus-Drittels behindert nicht nur das Abheilen einer thermischen Oesophagus-Läsion, sondern kann das Auftreten solcher Läsionen durch die Ablation begünstigen. Die große Zahl vorbestehender Oesophagus-Veränderungen, die eine erhöhte Vulnerabilität anzeigen, und die Bedeutung für die Ent¬stehung thermischer Läsionen können der Ansatzpunkt präventiver Maßnahmen sein. Ergänzend werden Ausprägungen der Oesophagus-Schäden durch umfangreiche Diagnostik erfasst und beschrieben, die aus pathophysiologischen Überlegungen relevant sein können. (5) Die systematische Erweiterung der bildgebenden Diagnostik auf den perioesophagealen Raum durch Endosonographie zeigte, dass Schleimhaut-Läsionen alleine nur einen geringen Teil der Oesophagus-Schäden darstellen. Schleimhaut-Läsionen infolge einer instrumentellen Verletzung sind nicht mit dem Risiko der Ausbildung einer atrio-oesophagealen Fistel verbunden und unterstreichen die pathophysiologische Relevanz der perioesophagealen Veränderungen. (6) Eine funktionelle Diagnostik thermischer Schäden des perioesophagealen Vagus-Plexus identifiziert Patienten mit Oesophagus-Schäden, die bildgebend nicht erfasst wurden, jedoch in ihren Auswirkungen (Nahrungsretention und gastro-oesophagealer Reflux) zur Läsionsprogression beitragen können. N2 - The interventional treatment of atrial fibrillation is associated with damage to adjacent tissues and organs more frequently than previously assumed. Damage to the esophagus is of particular interest due to its poor predictability, the late onset of symptoms and the fatal prognosis of atrio-esophageal fistula. Thus, esophageal damage is the focus of this synopsis. Atrial fibrillation itself is not associated with life-threatening events but prognostically relevant on long-term due to its complications (e.g., heart failure and stroke). Antiarrhythmic drugs have not shown to improve rhythm control, and catheter ablation is superior to drug-based therapies. Early and effective treatment of atrial fibrillation has shown to improve clinical endpoints and prognosis, and, therefore, should be considered. However, the risk of any invasive procedure (especially facing complications with prognostic relevance) must be considered in treatment planning and balanced with the favorable effects of the procedure. Scientific studies for the prevention of (very rare) atrio-esophageal fistula have to use surrogate parameters, in detail thermally induced mucosal lesions of the esophagus. Our studies show a more sophisticated and complex view on (peri)esophageal damage following PVI with thermic ablation tools. (1) New definition of esophageal damage: Esophageal and periesophageal damage is common (with our expanded definition in two-thirds of patients) and independent of the thermal ablation energy used. However, there are differences in the manifestation of esophageal damage for the individual energy protocols, but the reason for these differences is not well understood. Our investigation discusses the different forms of thermally induced esophageal damage, their determinants and pathophysiological relevance. (2) The probability to detect (partially subtile) esophageal damage depends on the intensity of workup. Limiting the assessment to subjective symptoms (e.g., discomfort with swallowing, heartburn) is misleading, the majority of the esophageal lesions remains asymptomatic, and the symptoms of full-blown atrio-esophageal fistula (after several weeks) are burdened with a very poor prognosis. Endoscopy following PVI is not performed in most electrophysiological centers and limited to the detection of mucosal lesions. Endoscopy underestimates the extent of esophageal and periesophageal damage by far. Damage of the periesophageal space is of unknown significance but not assessed at all, and with that, edema and injury of the tissue between left atrium and esophagus (including nerve fibers and vessels) is ignored. Our studies contribute to a reappraisal of established parameters and risk factors of esophageal damage. (3) Esophageal temperature monitoring predicts an increased risk of esophageal lesions only when excessive temperature rise is observed and is not helpful for prevention. The complex analysis of the raw temperature data identified the calculated AUC to be a better predictive parameter for esophageal damage (RF-energy protocols), thereby better identifying patients at risk for lesion generation and streamlining endoscopic workup following PVI. The analyses were not successful to identify a comparable parameter for cryoablation. (4) Chronic inflammation of the lower esophageal third impairs healing of thermal esophageal lesions and may also promote the ablation-induced formation of such lesions. The high number of preexisting esophageal alterations indicating vulnerability, and their importance for thermal lesion formation may be a starting point for preventive steps. In addition, extensive diagnostic workup identified manifestations of esophageal damage potentially contributing to esophageal lesion progression. (5) Systematic workup with endoscopic ultrasound confirmed that mucosal lesions represent just a minor number of esophageal damage. Mucosal injury with a different patho¬physiology (e.g., instrumentally induced) is not associated with the risk of fistula formation, thereby highlighting the pathophysiological relevance of periesophageal alterations following catheter ablation. (6) Functional assessment of thermic impairment of the periesophageal vagal plexus identified patients with esophageal damage not assessed by endoscopy and endoscopic ultrasound. Vagal nerve damage and its sequelae (food retention and gastroesophageal reflux) may contribute to esophageal lesion progression as well. KW - Vorhofflimmern KW - thermische Katheterablation KW - Oesophagus-Schäden KW - Atrio-oesophageale Fistel KW - atrial fibrillation KW - thermic catheter ablation KW - esophageal injury KW - atrio-esophageal fistula Y1 - 2024 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-635358 ER - TY - JOUR A1 - Garbusow, Maria A1 - Ebrahimi, Claudia A1 - Riemerschmid, Carlotta A1 - Daldrup, Luisa A1 - Rothkirch, Marcus A1 - Chen, Ke A1 - Chen, Hao A1 - Belanger, Matthew J. A1 - Hentschel, Angela A1 - Smolka, Michael A1 - Heinz, Andreas A1 - Pilhatsch, Maximilan A1 - Rapp, Michael A. T1 - Pavlovian-to-instrumental transfer across mental disorders BT - a review JF - Neuropsychobiology : international journal of experimental and clinical research in biological psychiatry, pharmacopsychiatry, Biological Psychology/Pharmacopsychology and Pharmacoelectroencephalography N2 - A mechanism known as Pavlovian-to-instrumental transfer (PIT) describes a phenomenon by which the values of environmental cues acquired through Pavlovian conditioning can motivate instrumental behavior. PIT may be one basic mechanism of action control that can characterize mental disorders on a dimensional level beyond current classification systems. Therefore, we review human PIT studies investigating subclinical and clinical mental syndromes. The literature prevails an inhomogeneous picture concerning PIT. While enhanced PIT effects seem to be present in non-substance-related disorders, overweight people, and most studies with AUD patients, no altered PIT effects were reported in tobacco use disorder and obesity. Regarding AUD and relapsing alcohol-dependent patients, there is mixed evidence of enhanced or no PIT effects. Additionally, there is evidence for aberrant corticostriatal activation and genetic risk, e.g., in association with high-risk alcohol consumption and relapse after alcohol detoxification. In patients with anorexia nervosa, stronger PIT effects elicited by low caloric stimuli were associated with increased disease severity. In patients with depression, enhanced aversive PIT effects and a loss of action-specificity associated with poorer treatment outcomes were reported. Schizophrenic patients showed disrupted specific but intact general PIT effects. Patients with chronic back pain showed reduced PIT effects. We provide possible reasons to understand heterogeneity in PIT effects within and across mental disorders. Further, we strengthen the importance of reliable experimental tasks and provide test-retest data of a PIT task showing moderate to good reliability. Finally, we point toward stress as a possible underlying factor that may explain stronger PIT effects in mental disorders, as there is some evidence that stress per se interacts with the impact of environmental cues on behavior by selectively increasing cue-triggered wanting. To conclude, we discuss the results of the literature review in the light of Research Domain Criteria, suggesting future studies that comprehensively assess PIT across psychopathological dimensions. KW - Pavlovian-to-instrumental transfer KW - dimensional psychopathology KW - mental disorders KW - reliability Y1 - 2022 U6 - https://doi.org/10.1159/000525579 SN - 0302-282X SN - 1423-0224 VL - 81 IS - 5 SP - 418 EP - 437 PB - Karger CY - Basel ER - TY - JOUR A1 - Kamjunke, Norbert A1 - Beckers, Liza-Marie A1 - Herzsprung, Peter A1 - von Tümpling, Wolf A1 - Lechtenfeld, Oliver A1 - Tittel, Jörg A1 - Risse-Buhl, Ute A1 - Rode, Michael A1 - Wachholz, Alexander A1 - Kallies, Rene A1 - Schulze, Tobias A1 - Krauss, Martin A1 - Brack, Werner A1 - Comero, Sara A1 - Gawlik, Bernd Manfred A1 - Skejo, Hello A1 - Tavazzi, Simona A1 - Mariani, Giulio A1 - Borchardt, Dietrich A1 - Weitere, Markus T1 - Lagrangian profiles of riverine autotrophy, organic matter transformation, and micropollutants at extreme drought JF - The science of the total environment : an international journal for scientific research into the environment and its relationship with man N2 - On their way from inland to the ocean, flowing water bodies, their constituents and their biotic communities are ex-posed to complex transport and transformation processes. However, detailed process knowledge as revealed by La-grangian measurements adjusted to travel time is rare in large rivers, in particular at hydrological extremes. To fill this gap, we investigated autotrophic processes, heterotrophic carbon utilization, and micropollutant concentrations applying a Lagrangian sampling design in a 600 km section of the River Elbe (Germany) at historically low discharge. Under base flow conditions, we expect the maximum intensity of instream processes and of point source impacts. Phy-toplankton biomass and photosynthesis increased from upstream to downstream sites but maximum chlorophyll con-centration was lower than at mean discharge. Concentrations of dissolved macronutrients decreased to almost complete phosphate depletion and low nitrate values. The longitudinal increase of bacterial abundance and production was less pronounced than in wetter years and bacterial community composition changed downstream. Molecular analyses revealed a longitudinal increase of many DOM components due to microbial production, whereas saturated lipid-like DOM, unsaturated aromatics and polyphenols, and some CHOS surfactants declined. In decomposition exper-iments, DOM components with high O/C ratios and high masses decreased whereas those with low O/C ratios, low masses, and high nitrogen content increased at all sites. Radiocarbon age analyses showed that DOC was relatively old (890-1870 years B.P.), whereas the mineralized fraction was much younger suggesting predominant oxidation of algal lysis products and exudates particularly at downstream sites. Micropollutants determining toxicity for algae (terbuthylazine, terbutryn, isoproturon and lenacil), hexachlorocyclohexanes and DDTs showed higher concentrations from the middle towards the downstream part but calculated toxicity was not negatively correlated to phytoplankton. Overall, autotrophic and heterotrophic process rates and micropollutant concentrations increased from up-to down-stream reaches, but their magnitudes were not distinctly different to conditions at medium discharges. KW - Phytoplankton KW - Nutrients KW - Dissolved organic matter (DOM) KW - bacteria KW - Respiration KW - Micropollutants Y1 - 2022 U6 - https://doi.org/10.1016/j.scitotenv.2022.154243 SN - 0048-9697 SN - 1879-1026 VL - 828 PB - Elsevier CY - Amsterdam ER - TY - THES A1 - Mostafa, Amr T1 - DNA origami nanoforks: A platform for cytochrome c single molecule surface enhanced Raman spectroscopy N2 - This thesis presents a comprehensive exploration of the application of DNA origami nanofork antennas (DONAs) in the field of spectroscopy, with a particular focus on the structural analysis of Cytochrome C (CytC) at the single-molecule level. The research encapsulates the design, optimization, and application of DONAs in enhancing the sensitivity and specificity of Raman spectroscopy, thereby offering new insights into protein structures and interactions. The initial phase of the study involved the meticulous optimization of DNA origami structures. This process was pivotal in developing nanoscale tools that could significantly enhance the capabilities of Raman spectroscopy. The optimized DNA origami nanoforks, in both dimer and aggregate forms, demonstrated an enhanced ability to detect and analyze molecular vibrations, contributing to a more nuanced understanding of protein dynamics. A key aspect of this research was the comparative analysis between the dimer and aggregate forms of DONAs. This comparison revealed that while both configurations effectively identified oxidation and spin states of CytC, the aggregate form offered a broader range of detectable molecular states due to its prolonged signal emission and increased number of molecules. This extended duration of signal emission in the aggregates was attributed to the collective hotspot area, enhancing overall signal stability and sensitivity. Furthermore, the study delved into the analysis of the Amide III band using the DONA system. Observations included a transient shift in the Amide III band's frequency, suggesting dynamic alterations in the secondary structure of CytC. These shifts, indicative of transitions between different protein structures, were crucial in understanding the protein’s functional mechanisms and interactions. The research presented in this thesis not only contributes significantly to the field of spectroscopy but also illustrates the potential of interdisciplinary approaches in biosensing. The use of DNA origami-based systems in spectroscopy has opened new avenues for research, offering a detailed and comprehensive understanding of protein structures and interactions. The insights gained from this research are expected to have lasting implications in scientific fields ranging from drug development to the study of complex biochemical pathways. This thesis thus stands as a testament to the power of integrating nanotechnology, biochemistry, and spectroscopic techniques in addressing complex scientific questions. N2 - Diese Dissertation präsentiert eine umfassende Untersuchung der Anwendung von DNA-Origami-Nanogabelantennen (DONAs) im Bereich der Spektroskopie, mit einem besonderen Fokus auf der strukturellen Analyse von Cytochrom C (CytC) auf Einzelmolekülebene. Die Forschung umfasst das Design, die Optimierung und die Anwendung von DONAs zur Steigerung der Sensitivität und Spezifität der Raman-Spektroskopie und bietet somit neue Einblicke in Proteinstrukturen und -interaktionen. Die erste Phase der Studie beinhaltete die sorgfältige Optimierung von DNA-Origami-Strukturen. Dieser Prozess war entscheidend für die Entwicklung von Nanowerkzeugen, die die Fähigkeiten der Raman-Spektroskopie erheblich verbessern könnten. Die optimierten DNA-Origami-Nanogabeln, sowohl in Dimer- als auch in Aggregatform, zeigten eine verbesserte Fähigkeit, molekulare Schwingungen zu detektieren und zu analysieren, was zu einem nuancierteren Verständnis der Proteindynamik beitrug. Ein Schlüsselaspekt dieser Forschung war die vergleichende Analyse zwischen den Dimer- und Aggregatformen von DONAs. Dieser Vergleich zeigte, dass beide Konfigurationen effektiv Oxidations- und Spin-Zustände von CytC identifizieren konnten, wobei die Aggregatform aufgrund ihrer längeren Signalemission und der erhöhten Anzahl von Molekülen ein breiteres Spektrum an detektierbaren molekularen Zuständen bot. Die verlängerte Dauer der Signalemission in den Aggregaten wurde auf den kollektiven Hotspot-Bereich zurückgeführt, der die Gesamtsignalstabilität und -empfindlichkeit erhöhte. Darüber hinaus ging die Studie auf die Analyse der Amid-III-Bande unter Verwendung des DONA-Systems ein. Zu den Beobachtungen gehörte eine vorübergehende Verschiebung der Frequenz der Amid-III-Bande, was auf dynamische Veränderungen in der Sekundärstruktur von CytC hindeutete. Diese Verschiebungen, die auf Übergänge zwischen verschiedenen Proteinstrukturen hindeuteten, waren entscheidend für das Verständnis der funktionellen Mechanismen und Interaktionen des Proteins. Die in dieser Dissertation präsentierte Forschung leistet nicht nur einen bedeutenden Beitrag zum Gebiet der Spektroskopie, sondern veranschaulicht auch das Potenzial interdisziplinärer Ansätze in der Biosensorik. Der Einsatz von DNA-Origami-basierten Systemen in der Spektroskopie hat neue Wege für die Forschung eröffnet und bietet ein detailliertes und umfassendes Verständnis von Proteinstrukturen und -interaktionen. Die aus dieser Forschung gewonnenen Erkenntnisse werden voraussichtlich langfristige Auswirkungen auf wissenschaftliche Bereiche haben, die von der Arzneimittelentwicklung bis hin zur Untersuchung komplexer biochemischer Prozesse reichen. Diese Dissertation steht somit als Zeugnis für die Kraft der Integration von Nanotechnologie, Biochemie und spektroskopischen Techniken bei der Beantwortung komplexer wissenschaftlicher Fragen. KW - DNA origami KW - DNA origami nanoantennas (DONA) KW - SERS KW - Cytochrome C Y1 - 2024 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-635482 ER - TY - THES A1 - Munk, Sarah Chaya T1 - The Messianic Jewish Movement and its relation to Torah T1 - Die messianisch-jüdische Bewegung und ihre Beziehung zur Thora BT - a theological field study BT - eine theologische Feldstudie N2 - Die vorliegende Arbeit zur Messianisch Jüdischen Bewegung und ihrer Beziehung zur Torah erforscht exemplarisch anhand von 10 Interviews mit ausgewählten Jeshua-gläubigen Juden in Leitungsfunktionen die verschiedenen Aspekte der Beziehung zur Torah. Dabei entsteht durch die Auswahl der Interviewpartner eine für die Bewegung als ganze typische Bandbreite von verschiedenen Positionen, die sich zwar in vielen Punkten überlappen, doch vielfach grundverschieden sind und zum Teil einander widersprechen. Besonderes Augenmerk wird auf die theologisch begründeten, divergenten und sich widersprechenden Positionen gelegt, mit dem Versuch, diese verständlich zu machen. Nach einer kurzen Einführung zur Messianisch Jüdischen Bewegung werden Aspekte der Messianisch-Jüdischen Doppelidentität beleuchtet und ihre Relevanz für die Beziehung zur Torah aufgezeigt. Diesem folgt ein Überblick über die Foren, in denen Jeshua-gläubige Juden über ihre Beziehung zur Torah diskutieren. Die umfangreiche Bibliographie am Ende der Arbeit erlaubt Einblick in einen lebhaften, noch längst nicht abgeschlossenen Diskussionsprozess innerhalb der Bewegung. Eine knapp kommentierte Begriffsdifferenzierung dient als Übersicht über die wichtigsten Bedeutungen von Torah, die in der Messianisch Jüdischen Bewegung Verwendung finden. Nach diesen Vorarbeiten wird die Feldstudie präsentiert. Eine Beschreibung des Forschungsfeldes und methodologische Reflexionen sind den Interviews vorangestellt. In den Interviews werden zunächst die Assoziationen mit dem Begriff Torah erfasst und die begriffliche Füllung und Verwendung geklärt. Hier schon zeigen sich einige gravierende Unterschiede. Die theologischen Positionen und Verständnisse von Torah werden mit dem biographischen Kontext und Hauptwirkungsfeld und mit Nennung der wichtigsten formenden Einflüsse dargestellt. Festgehalten werden zunächst die Punkte, in denen bei allen Übereinstimmung herrscht, denn sie dienen als gemeinsame Basis. Alle studieren die schriftliche Torah und erachten diese wie auch den übrigen Tanach und die Schriften des Neuen Testaments in der vorliegenden Form als göttlich inspiriert und autoritativ verbindlich. Alle haben für sich einen positiven Zugang zur Torah, entsprechend ihrer eigenen Begriffsdefinition, gefunden. Für alle weist die schriftliche Torah und der Tanach auf Jeshua hin. Alle sind sich einig, dass Jeshua die Torah nicht außer Kraft gesetzt, sondern erfüllt hat. Und alle fühlen als Jude in irgendeiner Weise eine Verantwortung gegenüber der Torah. In Bezug auf das Halten von Geboten sagen alle, dass sich keiner dadurch den Weg in den Himmel erwerben kann. G-ttes Treue gegenüber Seinen Verheißungen für Israel wird von allen bekräftigt, doch ob der neue Bund in Jeshua den alten Bund vom Berg Sinai abgelöst hat, oder ob er einfach zum bereits bestehenden Bund von Sinai hinzukommt, ob rituelle Gebote nach Jeshua's Tod und Auferstehung und der Zerstörung des Tempels weiter gehalten werden sollen, ob die Gebote zur Absonderung von den Nationen weiter gehalten werden sollen, ob und unter welchen Bedingungen rabbinischer Halacha gefolgt werden soll und was die Einzelnen in ihren Familien und Gemeinden tun und lehren, dies wird Interview um Interview erörtert. Es zeigt sich, wie verschiedene Leseweisen und Gewichtungen von Schlüsselschriftstellen die verschiedenen Positionen hervorbringen. So wie die Verschiedenartigkeit der Positionen in Beziehung zur Torah bereits ahnen lässt, sind die Interview-Partner zur Frage nach einer Messianisch Jüdischen Halacha geteilter Meinung. Doch auch hier wird der Begriff Halacha von den Repräsentanten verschieden gefüllt. Zum Schluss der Feldstudie werden die Versuche, Messianisch Jüdische Halacha zu produzieren und die Probleme und Kritikpunkte, die von anderen Interviewpartnern dagegen geäußert wurden erläutert. Den Abschluss der Arbeit bilden ein theologischer Rahmen, der all die verschiedenen Positionen und Beziehungen zur Torah fassen kann und einige Ansatzpunkte für eine mögliche Messianisch Jüdische hermeneutische Theologie der Torah. N2 - This study on the Messianic Jewish movement and its relationship to the Torah explores the various aspects of the relationship to the Torah on the basis of 10 interviews with selected Yeshua-believing Jews in leadership positions. The selection of interviewees results in a range of different positions typical of the movement as a whole, which overlap in many respects but are often fundamentally different and sometimes contradictory. Particular attention is paid to the theologically based, divergent and contradictory positions in an attempt to make these understandable. After a brief introduction to the Messianic Jewish movement, aspects of the Messianic Jewish dual identity are examined and their relevance for the relationship to the Torah is demonstrated. This is followed by an overview of the forums in which Yeshua-believing Jews discuss their relationship to the Torah. The extensive bibliography at the end of the work provides an insight into a lively discussion process within the movement that is still far from complete. A briefly annotated differentiation of terms serves as an overview of the most important meanings of Torah used in the Messianic Jewish movement. Following this preliminary work, the field study is presented. A description of the research field and methodological reflections precede the interviews. In the interviews, the associations with the term Torah are first recorded and the conceptual meaning and use clarified. This already reveals some serious differences. The theological positions and understandings of Torah are presented with the biographical context and main field of influence, and the most important formative influences are named. The points on which they all agree are noted first, as they serve as a common basis. All study the written Torah and consider it, as well as the rest of the Tanakh and the writings of the New Testament in their present form, to be divinely inspired and authoritative. All have found a positive approach to the Torah according to their own definition of the term. For all of them, the written Torah and the Tanakh point to Yeshua. All agree that Yeshua did not abrogate the Torah, but fulfilled it. And all feel a responsibility as a Jew to the Torah in some way. With regard to keeping commandments, all say that no one can earn their way to heaven by doing so. G-d's faithfulness to His promises to Israel is affirmed by all, but whether the new covenant in Yeshua superseded the old covenant of Mt. Sinai, or whether it is simply added to the already existing covenant of Sinai, whether ritual commandments are to continue to be kept after Yeshua's death and resurrection and the destruction of the Temple, whether the commandments aiming at separation from the nations should continue to be kept, whether and under what conditions rabbinic halacha should be followed and what individuals do and teach in their families and communities - all this is discussed interview by interview. It becomes clear how different ways of reading and weighting key scriptures produce different positions. Just as the diversity of positions in relation to the Torah already suggests, the interview partners are divided on the question of a Messianic Jewish Halacha. But here too, the term halacha is interpreted differently by the representatives. At the end of the field study, the attempts to produce Messianic Jewish Halacha and the problems and points of criticism expressed by other interviewees are explained. The work concludes with a theological framework able to contain all the different positions and relationships to the Torah and some starting points for a possible Messianic Jewish hermeneutic theology of the Torah. KW - Messianic Jewish Movement KW - Torah KW - theological field study KW - Messianic Judaism KW - Jewish identity KW - New religious movements KW - Messianism KW - Messianic Jews KW - Torah observance KW - Halacha KW - Judaism KW - Jewish denominations KW - Jewish Christians KW - Hebrew Catholics KW - Messianische Juden KW - Halacha KW - hebräische Katholiken KW - Judenchristen KW - jüdische Konfessionen KW - jüdische Identität KW - Judentum KW - messianisch-jüdische Bewegung KW - messianische Juden KW - messianisches Judentum KW - Messianismus KW - neue religiöse Bewegungen KW - Thora KW - Einhaltung der Thora KW - theologische Feldstudie Y1 - 2024 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-636441 ER - TY - JOUR A1 - Stoof-Leichsenring, Kathleen R. A1 - Huang, Sichao A1 - Liu, Sisi A1 - Jia, Weihan A1 - Li, Kai A1 - Liu, Xingqi A1 - Pestryakova, Luidmila A. A1 - Herzschuh, Ulrike T1 - Sedimentary DNA identifies modern and past macrophyte diversity and its environmental drivers in high-latitude and high-elevation lakes in Siberia and China JF - Limnology and oceanography N2 - Arctic and alpine aquatic ecosystems are changing rapidly under recent global warming, threatening water resources by diminishing trophic status and changing biotic composition. Macrophytes play a key role in the ecology of freshwaters and we need to improve our understanding of long-term macrophytes diversity and environmental change so far limited by the sporadic presence of macrofossils in sediments. In our study, we applied metabarcoding using the trnL P6 loop marker to retrieve macrophyte richness and composition from 179 surface-sediment samples from arctic Siberian and alpine Chinese lakes and three representative lake cores. The surface-sediment dataset suggests that macrophyte richness and composition are mostly affected by temperature and conductivity, with highest richness when mean July temperatures are higher than 12 degrees C and conductivity ranges between 40 and 400 mu S cm(-1). Compositional turnover during the Late Pleistocene/Holocene is minor in Siberian cores and characterized by a less rich, but stable emergent macrophyte community. Richness decreases during the Last Glacial Maximum and rises during wetter and warmer climate in the Late-glacial and Mid-Holocene. In contrast, we detect a pronounced change from emergent to submerged taxa at 14 ka in the Tibetan alpine core, which can be explained by increasing temperature and conductivity due to glacial runoff and evaporation. Our study provides evidence for the suitability of the trnL marker to recover modern and past macrophyte diversity and its applicability for the response of macrophyte diversity to lake-hydrochemical and climate variability predicting contrasting macrophyte changes in arctic and alpine lakes under intensified warming and human impact. Y1 - 2022 U6 - https://doi.org/10.1002/lno.12061 SN - 0024-3590 SN - 1939-5590 VL - 67 IS - 5 SP - 1126 EP - 1141 PB - Wiley-Blackwell CY - Oxford [u.a.] ER - TY - JOUR A1 - Bizic, Mina A1 - Ionescu, Danny A1 - Karnatak, Rajat A1 - Musseau, Camille L. A1 - Onandia, Gabriela A1 - Berger, Stella A. A1 - Nejstgaard, Jens C. A1 - Lischeid, Gunnar A1 - Gessner, Mark O. A1 - Wollrab, Sabine A1 - Grossart, Hans-Peter T1 - Land-use type temporarily affects active pond community structure but not gene expression patterns JF - Molecular ecology N2 - Changes in land use and agricultural intensification threaten biodiversity and ecosystem functioning of small water bodies. We studied 67 kettle holes (KH) in an agricultural landscape in northeastern Germany using landscape-scale metatranscriptomics to understand the responses of active bacterial, archaeal and eukaryotic communities to land-use type. These KH are proxies of the millions of small standing water bodies of glacial origin spread across the northern hemisphere. Like other landscapes in Europe, the study area has been used for intensive agriculture since the 1950s. In contrast to a parallel environmental DNA study that suggests the homogenization of biodiversity across KH, conceivably resulting from long-lasting intensive agriculture, land-use type affected the structure of the active KH communities during spring crop fertilization, but not a month later. This effect was more pronounced for eukaryotes than for bacteria. In contrast, gene expression patterns did not differ between months or across land-use types, suggesting a high degree of functional redundancy across the KH communities. Variability in gene expression was best explained by active bacterial and eukaryotic community structures, suggesting that these changes in functioning are primarily driven by interactions between organisms. Our results indicate that influences of the surrounding landscape result in temporary changes in the activity of different community members. Thus, even in KH where biodiversity has been homogenized, communities continue to respond to land management. This potential needs to be considered when developing sustainable management options for restoration purposes and for successful mitigation of further biodiversity loss in agricultural landscapes. KW - agriculture KW - eRNA KW - land use KW - metacommunity KW - transcriptomics Y1 - 2022 U6 - https://doi.org/10.1111/mec.16348 SN - 0962-1083 SN - 1365-294X VL - 31 IS - 6 SP - 1716 EP - 1734 PB - Wiley CY - Hoboken ER - TY - JOUR A1 - Ullmann, Andreas J. A1 - von Staden, Andreas T1 - A room full of ‘views’ BT - introducing a new dataset to explore compliance with the decisions of the UN Human Rights Treaty Bodies’ individual complaints procedures JF - Journal of conflict resolution N2 - Quantitative research into the effectiveness of the UN human rights treaty bodies (UNTBs) in eliciting remedial responses from states is impeded by a lack of usable data on how states respond to their decisions. The new Treaty Body Views Dataset (TBVD) aims to fill this gap. It comprises details on all published decisions in individual complaints cases issued by the UNTBs between 1979 and 2019 and matches these with information on their state of compliance. The TBVD can be used for research on the activities of the treaty bodies, the nature of the decisions themselves, or state behavior following a decision. An empirical application illustrates how the TBVD can advance knowledge about the factors that correlate with compliance with adverse UNTB decisions. Results show that the likelihood of implementation hinges critically on decision-level characteristics, and reveal differences and similarities between compliance with UNTB decisions and regional human rights court judgments. KW - human rights KW - international institutions KW - second-order compliance KW - individual complaints procedures KW - UN human rights treaty bodies Y1 - 2023 U6 - https://doi.org/10.1177/00220027231160460 SN - 0022-0027 VL - 68 IS - 2-3 SP - 534 EP - 561 PB - Sage Publications CY - Thousand Oaks ER - TY - JOUR A1 - Herzschuh, Ulrike A1 - Li, Chenzhi A1 - Boehmer, Thomas A1 - Postl, Alexander K. A1 - Heim, Birgit A1 - Andreev, Andrei A. A1 - Cao, Xianyong A1 - Wieczorek, Mareike A1 - Ni, Jian T1 - LegacyPollen 1.0 BT - a taxonomically harmonized global late Quaternary pollen dataset of 2831 records with standardized chronologies JF - Earth system science data : ESSD N2 - Here we describe the LegacyPollen 1.0, a dataset of 2831 fossil pollen records with metadata, a harmonized taxonomy, and standardized chronologies. A total of 1032 records originate from North America, 1075 from Europe, 488 from Asia, 150 from Latin America, 54 from Africa, and 32 from the Indo-Pacific. The pollen data cover the late Quaternary (mostly the Holocene). The original 10 110 pollen taxa names (including variations in the notations) were harmonized to 1002 terrestrial taxa (including Cyperaceae), with woody taxa and major herbaceous taxa harmonized to genus level and other herbaceous taxa to family level. The dataset is valuable for synthesis studies of, for example, taxa areal changes, vegetation dynamics, human impacts (e.g., deforestation), and climate change at global or continental scales. The harmonized pollen and metadata as well as the harmonization table are available from PANGAEA (https://doi.org/10.1594/PANGAEA.929773; Herzschuh et al., 2021). R code for the harmonization is provided at Zenodo (https://doi.org/10.5281/zenodo.5910972; Herzschuh et al., 2022) so that datasets at a customized harmonization level can be easily established. Y1 - 2022 U6 - https://doi.org/10.5194/essd-14-3213-2022 SN - 1866-3508 SN - 1866-3516 VL - 14 IS - 7 SP - 3213 EP - 3227 PB - Copernicus CY - Göttingen ER - TY - JOUR A1 - Michaelis, Vivien A1 - Aengenheister, Leonie A1 - Tuchtenhagen, Max A1 - Rinklebe, Jörg A1 - Ebert, Franziska A1 - Schwerdtle, Tanja A1 - Buerki-Thurnherr, Tina A1 - Bornhorst, Julia T1 - Differences and interactions in placental manganese and iron transfer across an in vitro model of human villous trophoblasts JF - International journal of molecular sciences N2 - Manganese (Mn) as well as iron (Fe) are essential trace elements (TE) important for the maintenance of physiological functions including fetal development. However, in the case of Mn, evidence suggests that excess levels of intrauterine Mn are associated with adverse pregnancy outcomes. Although Mn is known to cross the placenta, the fundamentals of Mn transfer kinetics and mechanisms are largely unknown. Moreover, exposure to combinations of TEs should be considered in mechanistic transfer studies, in particular for TEs expected to share similar transfer pathways. Here, we performed a mechanistic in vitro study on the placental transfer of Mn across a BeWo b30 trophoblast layer. Our data revealed distinct differences in the placental transfer of Mn and Fe. While placental permeability to Fe showed a clear inverse dose-dependency, Mn transfer was largely independent of the applied doses. Concurrent exposure of Mn and Fe revealed transfer interactions of Fe and Mn, indicating that they share common transfer mechanisms. In general, mRNA and protein expression of discussed transporters like DMT1, TfR, or FPN were only marginally altered in BeWo cells despite the different exposure scenarios highlighting that Mn transfer across the trophoblast layer likely involves a combination of active and passive transport processes. KW - manganese KW - iron KW - placental transfer KW - TE interactions KW - BeWo b30 KW - trophoblasts Y1 - 2022 U6 - https://doi.org/10.3390/ijms23063296 SN - 1422-0067 VL - 23 IS - 6 PB - MDPI CY - Basel ER - TY - JOUR A1 - Klaus, Benita A1 - Müller, Patrick A1 - van Wickeren, Nora A1 - Dordevic, Milos A1 - Schmicker, Marlen A1 - Zdunczyk, Yael A1 - Brigadski, Tanja A1 - Lessmann, Volkmar A1 - Vielhaber, Stefan A1 - Schreiber, Stefanie A1 - Müller, Notger G. T1 - Structural and functional brain alterations in patients with myasthenia gravis JF - Brain communications N2 - Myasthenia gravis is an autoimmune disease affecting neuromuscular transmission and causing skeletal muscle weakness. Additionally, systemic inflammation, cognitive deficits and autonomic dysfunction have been described. However, little is known about myasthenia gravis-related reorganization of the brain. In this study, we thus investigated the structural and functional brain changes in myasthenia gravis patients. Eleven myasthenia gravis patients (age: 70.64 +/- 9.27; 11 males) were compared to age-, sex- and education-matched healthy controls (age: 70.18 +/- 8.98; 11 males). Most of the patients (n = 10, 0.91%) received cholinesterase inhibitors. Structural brain changes were determined by applying voxel-based morphometry using high-resolution T-1-weighted sequences. Functional brain changes were assessed with a neuropsychological test battery (including attention, memory and executive functions), a spatial orientation task and brain-derived neurotrophic factor blood levels. Myasthenia gravis patients showed significant grey matter volume reductions in the cingulate gyrus, in the inferior parietal lobe and in the fusiform gyrus. Furthermore, myasthenia gravis patients showed significantly lower performance in executive functions, working memory (Spatial Span, P = 0.034, d = 1.466), verbal episodic memory (P = 0.003, d = 1.468) and somatosensory-related spatial orientation (Triangle Completion Test, P = 0.003, d = 1.200). Additionally, serum brain-derived neurotrophic factor levels were significantly higher in myasthenia gravis patients (P = 0.001, d = 2.040). Our results indicate that myasthenia gravis is associated with structural and functional brain alterations. Especially the grey matter volume changes in the cingulate gyrus and the inferior parietal lobe could be associated with cognitive deficits in memory and executive functions. Furthermore, deficits in somatosensory-related spatial orientation could be associated with the lower volumes in the inferior parietal lobe. Future research is needed to replicate these findings independently in a larger sample and to investigate the underlying mechanisms in more detail. Klaus et al. compared myasthenia gravis patients to matched healthy control subjects and identified functional alterations in memory functions as well as structural alterations in the cingulate gyrus, in the inferior parietal lobe and in the fusiform gyrus. KW - myasthenia gravis KW - neuroplasticity KW - VBM KW - neuropsychological testing KW - BDNF Y1 - 2022 U6 - https://doi.org/10.1093/braincomms/fcac018 SN - 2632-1297 VL - 4 IS - 1 PB - Oxford Univ. Press CY - Oxford ER - TY - JOUR A1 - Houben, Timo A1 - Pujades, Estanislao A1 - Kalbacher, Thomas A1 - Dietrich, Peter A1 - Attinger, Sabine T1 - From dynamic groundwater level measurements to regional aquifer parameters - assessing the power of spectral analysis JF - Water resources research N2 - Large-scale groundwater models are required to estimate groundwater availability and to inform water management strategies on the national scale. However, parameterization of large-scale groundwater models covering areas of major river basins and more is challenging due to the lack of observational data and the mismatch between the scales of modeling and measurements. In this work, we propose to bridge the scale gap and derive regional hydraulic parameters by spectral analysis of groundwater level fluctuations. We hypothesize that specific locations in aquifers can reveal regional parameters of the hydraulic system. We first generate ensembles of synthetic but realistic aquifers which systematically differ in complexity. Applying Liang and Zhang's (2013), , semi-analytical solution for the spectrum of hydraulic head time series, we identify for each ensemble member and at different locations representative aquifer parameters. Next, we extend our study to investigate the use of spectral analysis in more complex numerical models and in real settings. Our analyses indicate that the variance of inferred effective transmissivity and storativity values for stochastic aquifer ensembles is small for observation points which are far away from the Dirichlet boundary. Moreover, the head time series has to cover a period which is roughly 10 times as long as the characteristic time of the aquifer. In deterministic aquifer models we infer equivalent, regionally valid parameters. A sensitivity analysis further reveals that as long as the aquifer length and the position of the groundwater measurement location is roughly known, the parameters can be robustly estimated. KW - spectral analysis of groundwater level fluctuations KW - proof of concept in numerical environments KW - homogeneous KW - stochastic and deterministic numerical model design KW - regional aquifer parameters KW - sensitivity analysis with field data KW - plausibility test with field data Y1 - 2022 U6 - https://doi.org/10.1029/2021WR031289 SN - 0043-1397 SN - 1944-7973 VL - 58 IS - 5 PB - Wiley CY - New York ER - TY - JOUR A1 - Trouwloon, Danick A1 - Streck, Charlotte A1 - Chagas, Thiago A1 - Martinus, Glenpherd T1 - Understanding the use of carbon credits by companies BT - a review of the defining elements of corporate climate claims JF - Global challenges (Hoboken, NJ) N2 - Worldwide, companies are increasingly making claims about their current climate efforts and their future mitigation commitments. These claims tend to be underpinned by carbon credits issued in voluntary carbon markets to offset emissions. Corporate climate claims are largely unregulated which means that they are often (perceived to be) misleading and deceptive. As such, corporate climate claims risk undermining, rather than contributing to, global climate mitigation. This paper takes as its point of departure the proposition that a better understanding of corporate climate claims is needed to govern such claims in a manner that adequately addresses potential greenwashing risks. To that end, the paper reviews the nascent literature on corporate climate claims relying on the use of voluntary carbon credits. Drawing on the reviewed literature, three key dimensions of corporate climate claims as related to carbon credits are discussed: 1) the intended use of carbon credits: offsetting versus non-offsetting claims; 2) the framing and meaning of headline terms: net-zero versus carbon neutral claims; and 3) the status of the claim: future aspirational commitments versus stated achievements. The paper thereby offers a preliminary categorization of corporate climate claims and discusses risks associated with and governance implications for each of these categories. Y1 - 2023 U6 - https://doi.org/10.1002/gch2.202200158 SN - 2056-6646 VL - 7 IS - 4 PB - Wiley CY - Hoboken, NJ ER - TY - JOUR A1 - Streck, Charlotte T1 - Synergies between the Kunming-Montreal Global Biodiversity Framework and the Paris Agreement BT - the role of policy milestones, monitoring frameworks and safeguards JF - Climate policy N2 - The 2022 Kunming-Montreal Global Biodiversity Framework (GBF) and Paris Agreement (PA) are highly complementary agreements where each depends on the other’s success to be effective. The GBF offers a very specific framework of interim goals and targets that break down the objective of the Convention on Biodiversity (CBD) into a decade-spanning work plan. Comprised of 10 sections – including a 2050 vision and a 2030 mission, four overarching goals and 23 specific targets – the GBF is expected to guide biodiversity policy around the world in the coming years to decades. A similar set of global interim climate policy targets could translate the global temperature goal into concrete policy milestones that would provide policy makers and civil society with reference points for policy making and efforts to hold governments accountable. Beyond inspiring climate policy experts to convert temperature goals into policy milestones, GBF has the potential to strengthen the implementation of the PA at the nexus of biodiversity and climate (adaptation and mitigation) action. For example, the GBF can help to ensure that nature-based climate solutions are implemented with full consideration of biodiversity concerns, of the rights and interests of Indigenous Peoples and local communities, and with fair and transparent benefit sharing arrangements. In sum, the GBF should be mandatory reading for all climate policy makers. KW - climate policy KW - Paris Agreement KW - UNFCCC KW - CBD KW - global biodiversity framework Y1 - 2023 U6 - https://doi.org/10.1080/14693062.2023.2230940 SN - 1469-3062 VL - 23 IS - 6 SP - 800 EP - 811 PB - Taylor & Francis CY - London ER - TY - CHAP A1 - Streck, Charlotte ED - Barnes, Richard ED - Long, Ronán T1 - From laggards to leaders T2 - Frontiers in international environmental law : doceans and climate challenges : essays in honour of David Freestone N2 - The 2015 Paris Agreement on climate change embraces the participation of non-state actors in a separate governance track – the ‘Non-state actor zone for global action’ (nazca) – that runs alongside the formal track of unfccc negotiations and the implementation of the Paris Agreement by State Parties through ‘nationally determined contributions’. unfccc Secretariat is entrusted with orchestrating non-state global and transnational initiatives, partnerships and networks. The involvement of non-state actors in the implementation of the Paris Agreement helps to address an action gap by countries that are unable or unwilling to implement ambitious ndcs. However, the increased prominence of initiatives driven by non-state actors also increases their direct and indirect influence on processes and rules which raises a number of questions with regards to the legitimacy of action and the democratic deficit of the global climate regime. Balancing legitimacy with effectiveness requires non-state initiatives to ensure transparent and inclusive governance, and accountability towards progress against their goals and pledges. Despite its encouragement towards private initiatives, the Paris Agreement creates surprisingly little regulatory space for non-state actors to gain hold. Neither are there measures that would link ndcs to nazca initiatives, nor are functional requirements such as transparency or reporting extended to non-state initiatives. While the Paris Agreement marks an important step towards harnessing private sector ability and ambition for climate action, more remains to be done to create a truly enabling framework for private action to strive and complement public efforts to address climate change. Y1 - 2021 SN - 978-90-04-37287-0 SN - 978-90-04-37288-7 U6 - https://doi.org/10.1163/9789004372887_004 SP - 75 EP - 105 PB - Brill Nijhoff CY - Leiden ER - TY - JOUR A1 - Wiese, Heike A1 - Alexiadou, Artemis A1 - Allen, Shanley A1 - Bunk, Oliver A1 - Gagarina, Natalia A1 - Iefremenko, Kateryna A1 - Martynova, Maria A1 - Pashkova, Tatiana A1 - Rizou, Vicky A1 - Schroeder, Christoph A1 - Shadrova, Anna A1 - Szucsich, Luka A1 - Tracy, Rosemarie A1 - Tsehaye, Wintai A1 - Zerbian, Sabine A1 - Zuban, Yulia T1 - Heritage speakers as part of the native language continuum JF - Frontiers in psychology N2 - We argue for a perspective on bilingual heritage speakers as native speakers of both their languages and present results from a large-scale, cross-linguistic study that took such a perspective and approached bilinguals and monolinguals on equal grounds. We targeted comparable language use in bilingual and monolingual speakers, crucially covering broader repertoires than just formal language. A main database was the open-access RUEG corpus, which covers comparable informal vs. formal and spoken vs. written productions by adolescent and adult bilinguals with heritage-Greek, -Russian, and -Turkish in Germany and the United States and with heritage-German in the United States, and matching data from monolinguals in Germany, the United States, Greece, Russia, and Turkey. Our main results lie in three areas. (1) We found non-canonical patterns not only in bilingual, but also in monolingual speakers, including patterns that have so far been considered absent from native grammars, in domains of morphology, syntax, intonation, and pragmatics. (2) We found a degree of lexical and morphosyntactic inter-speaker variability in monolinguals that was sometimes higher than that of bilinguals, further challenging the model of the streamlined native speaker. (3) In majority language use, non-canonical patterns were dominant in spoken and/or informal registers, and this was true for monolinguals and bilinguals. In some cases, bilingual speakers were leading quantitatively. In heritage settings where the language was not part of formal schooling, we found tendencies of register leveling, presumably due to the fact that speakers had limited access to formal registers of the heritage language. Our findings thus indicate possible quantitative differences and different register distributions rather than distinct grammatical patterns in bilingual and monolingual speakers. This supports the integration of heritage speakers into the native-speaker continuum. Approaching heritage speakers from this perspective helps us to better understand the empirical data and can shed light on language variation and change in native grammars. Furthermore, our findings for monolinguals lead us to reconsider the state-of-the art on majority languages, given recurring evidence for non-canonical patterns that deviate from what has been assumed in the literature so far, and might have been attributed to bilingualism had we not included informal and spoken registers in monolinguals and bilinguals alike. KW - heritage speakers KW - registers KW - participles KW - word order KW - bare NPs KW - boundary tone KW - referent introduction KW - relative clause formation Y1 - 2022 U6 - https://doi.org/10.3389/fpsyg.2021.717973 SN - 1664-1078 VL - 12 PB - Frontiers Media CY - Lausanne ER - TY - BOOK A1 - Kay, Alex James T1 - L’impero della distruzione BT - una storia dell’uccisione di massa nazista T3 - La biblioteca N2 - La prima storia complessiva degli efferati crimini nazisti, che dimostra come diffuse e generalizzate politiche di sterminio fossero cruciali per la strategia del regime al fine di vincere la guerra e impossessarsi del mondo. La Germania nazista uccise circa tredici milioni di civili e altri non combattenti con deliberate politiche di omicidi di massa, soprattutto durante gli anni della guerra. Quasi la metà delle vittime furono ebree, sistematicamente annientate dall'Olocausto, fulcro del programma paneuropeo di purificazione razziale messo in atto dai nazisti. Alex Kay sostiene che è anche possibile esaminare il genocidio degli ebrei europei inserendolo nel contesto piú ampio delle uccisioni di massa naziste. Per la prima volta, L'impero della distruzione considera gli ebrei europei insieme a tutti gli altri principali gruppi di vittime: prigionieri dell'Armata Rossa, popolazione urbana sovietica, civili inermi vittime di terrore preventivo e rappresaglie, disabili psichici e fisici, rom europei e intellighenzia polacca. Ciascuno di questi gruppi era considerato dal regime nazista come una potenziale minaccia alla capacità della Germania di condurre con successo una guerra per l'egemonia in Europa. Un'opera fondamentale e innovativa che associa i numeri complessivi dello sterminio con la ricostruzione di singoli casi di orrore quotidiano. Y1 - 2022 UR - https://www.academia.edu/90810172/L_impero_della_distruzione_Una_storia_dell_uccisione_di_massa_nazista SN - 978-88-06-25377-6 SN - 978-88-58-44038-4 VL - 77 PB - Einaudi CY - Torino ER - TY - JOUR A1 - Hong, Jun Sung A1 - Kim, Dong Ha A1 - Thornberg, Robert A1 - Wachs, Sebastian A1 - Wright, Michelle F. T1 - Racial discrimination to bullying behavior among White and Black adolescents in the USA: from parents' perspectives JF - International journal of environmental research and public health N2 - The present study proposes and tests pathways by which racial discrimination might be positively related to bullying victimization among Black and White adolescents. Data were derived from the 2016 National Survey of Children's Health, a national survey that provides data on children's physical and mental health and their families. Data were collected from households with one or more children between June 2016 to February 2017. A letter was sent to randomly selected households, who were invited to participate in the survey. The caregivers consisted of 66.9% females and 33.1% males for the White sample, whose mean age was 47.51 (SD = 7.26), and 76.8% females and 23.2% males for the Black sample, whose mean age was 47.61 (SD = 9.71). In terms of the adolescents, 49.0% were females among the White sample, whose mean age was 14.73 (SD = 1.69). For Black adolescents, 47.9% were females and the mean age was 14.67(SD = 1.66). Measures for the study included bullying perpetration, racial discrimination, academic disengagement, and socio-demographic variables of the parent and child. Analyses included descriptive statistics, bivariate correlations, and structural path analyses. For adolescents in both racial groups, racial discrimination appears to be positively associated with depression, which was positively associated with bullying perpetration. For White adolescents, racial discrimination was positively associated with academic disengagement, which was also positively associated with bullying perpetration. For Black adolescents, although racial discrimination was not significantly associated with academic disengagement, academic disengagement was positively associated with bullying perpetration. KW - academic disengagement KW - bullying KW - depression KW - racial discrimination KW - race Y1 - 2022 U6 - https://doi.org/10.3390/ijerph19127084 SN - 1660-4601 VL - 19 IS - 12 PB - MDPI AG CY - Basel ER - TY - CHAP A1 - Kay, Alex James ED - Žuravlev, Sergej Vladimirovič T1 - The holocaust in the USSR BT - international scholarship and research findings T2 - Historia Russica T2 - Der Zweite Weltkrieg und der Große Vaterländische Krieg: zum 75. Jahrestag seines Endes. Materialien der internationalen wissenschaftlichen Konferenz N2 - This paper sketches the current status of international scholarship on the subject of the Holocaust in the USSR and its place in the wider military conflict of the Second World War. Research on this topic over the last 20 to 30 years has been truly international and the findings of this research cannot be sketched here without pointing to the contributions made by German, American, Russian, Israeli, British and Australian historians. Historians from these countries have made important contributions to our understanding of key questions relating to this subject. These questions address, among other things, pre-invasion orders issued to German units; the radicalisation of German policy, culminating in the root-and-branch extermination of Soviet Jewry; the network of ghettos set up on Soviet territory; the nature of the killing and the methods used to murder these victims; the total death toll of the Holocaust in the USSR; and the relationship between war and extermination, in which genocide can be regarded as an actual strategy of warfare pursued by the German Reich. KW - Soviet History KW - Second World War KW - Russian History KW - Nazi Germany KW - Holocaust Y1 - 2020 UR - https://www.academia.edu/67857379/The_Holocaust_in_the_USSR_International_Scholarship_and_Research_Findings SN - 978-5-8055-0403-8 SP - 155 EP - 164 PB - Institut für russische Geschichte (RAN) CY - Moskau ER - TY - JOUR T1 - forum:logopädie 36.2022, 4 T2 - Forum Logopädie : Zeitschrift des Deutschen Bundesverbandes für Logopädie e.V, dbl KW - Logopädie KW - Zeitschrift Y1 - 2022 SN - 0932-0547 VL - 36 IS - 4 PB - Schulz-Kirchner CY - Idstein ER - TY - JOUR A1 - Taleb, Aiham A1 - Rohrer, Csaba A1 - Bergner, Benjamin A1 - De Leon, Guilherme A1 - Rodrigues, Jonas Almeida A1 - Schwendicke, Falk A1 - Lippert, Christoph A1 - Krois, Joachim T1 - Self-supervised learning methods for label-efficient dental caries classification JF - Diagnostics : open access journal N2 - High annotation costs are a substantial bottleneck in applying deep learning architectures to clinically relevant use cases, substantiating the need for algorithms to learn from unlabeled data. In this work, we propose employing self-supervised methods. To that end, we trained with three self-supervised algorithms on a large corpus of unlabeled dental images, which contained 38K bitewing radiographs (BWRs). We then applied the learned neural network representations on tooth-level dental caries classification, for which we utilized labels extracted from electronic health records (EHRs). Finally, a holdout test-set was established, which consisted of 343 BWRs and was annotated by three dental professionals and approved by a senior dentist. This test-set was used to evaluate the fine-tuned caries classification models. Our experimental results demonstrate the obtained gains by pretraining models using self-supervised algorithms. These include improved caries classification performance (6 p.p. increase in sensitivity) and, most importantly, improved label-efficiency. In other words, the resulting models can be fine-tuned using few labels (annotations). Our results show that using as few as 18 annotations can produce >= 45% sensitivity, which is comparable to human-level diagnostic performance. This study shows that self-supervision can provide gains in medical image analysis, particularly when obtaining labels is costly and expensive. KW - unsupervised methods KW - self-supervised learning KW - representation learning KW - dental caries classification KW - data driven approaches KW - annotation KW - efficient deep learning Y1 - 2022 U6 - https://doi.org/10.3390/diagnostics12051237 SN - 2075-4418 VL - 12 IS - 5 PB - MDPI CY - Basel ER - TY - CHAP A1 - Kay, Alex James T1 - Holocaust Research in Germany BT - current status and future challenges T2 - Hurbán Folyóirat Y1 - 2020 UR - https://hdke.hu/wp-content/uploads/2024/01/3-kay-alex-j.pdf UR - https://hdke.hu/folyoirat/2023-2/ SN - 3004-023X VL - 2 SP - 22 EP - 28 PB - Holokauszt Emlékközpont – Holocaust Memorial Center CY - Budapest ER - TY - JOUR A1 - Stuenzi, Simone Maria A1 - Kruse, Stefan A1 - Boike, Julia A1 - Herzschuh, Ulrike A1 - Oehme, Alexander A1 - Pestryakova, Luidmila A. A1 - Westermann, Sebastian A1 - Langer, Moritz T1 - Thermohydrological impact of forest disturbances on ecosystem-protected permafrost JF - Journal of geophysical research : Biogeosciences N2 - Boreal forests cover over half of the global permafrost area and protect underlying permafrost. Boreal forest development, therefore, has an impact on permafrost evolution, especially under a warming climate. Forest disturbances and changing climate conditions cause vegetation shifts and potentially destabilize the carbon stored within the vegetation and permafrost. Disturbed permafrost-forest ecosystems can develop into a dry or swampy bush- or grasslands, shift toward broadleaf- or evergreen needleleaf-dominated forests, or recover to the pre-disturbance state. An increase in the number and intensity of fires, as well as intensified logging activities, could lead to a partial or complete ecosystem and permafrost degradation. We study the impact of forest disturbances (logging, surface, and canopy fires) on the thermal and hydrological permafrost conditions and ecosystem resilience. We use a dynamic multilayer canopy-permafrost model to simulate different scenarios at a study site in eastern Siberia. We implement expected mortality, defoliation, and ground surface changes and analyze the interplay between forest recovery and permafrost. We find that forest loss induces soil drying of up to 44%, leading to lower active layer thicknesses and abrupt or steady decline of a larch forest, depending on disturbance intensity. Only after surface fires, the most common disturbances, inducing low mortality rates, forests can recover and overpass pre-disturbance leaf area index values. We find that the trajectory of larch forests after surface fires is dependent on the precipitation conditions in the years after the disturbance. Dryer years can drastically change the direction of the larch forest development within the studied period. KW - permafrost KW - boreal forest KW - periglacial process KW - Siberia KW - larch forest KW - disturbance Y1 - 2022 U6 - https://doi.org/10.1029/2021JG006630 SN - 2169-8953 SN - 2169-8961 VL - 127 IS - 5 PB - American Geophysical Union CY - Washington ER - TY - GEN A1 - Kay, Alex James T1 - Filbert, Alfred T2 - Deutsche Biographie N2 - Bibliographie-Eintrag: Der Jurist Alfred Filbert gehörte von 1935 bis 1945 zu den Funktionseliten im Hauptamt des Sicherheitsdienstes des Reichsführers-SS und im Reichssicherheitshauptamt. 1941 verantwortete er als Leiter des SS-Einsatzkommandos 9 die Ermordung von rund 18 000 Juden. 1945 untergetaucht, wurde er 1959 verhaftet, 1962 zu lebenslanger Haft verurteilt und 1975 vorzeitig entlassen. Y1 - 2022 UR - https://www.deutsche-biographie.de/12517926X.html#dbocontent PB - NDB-online CY - München ER - TY - BOOK A1 - Kay, Alex James T1 - Das Reich der Vernichtung T1 - L’impero della distruzione BT - eine Gesamtgeschichte des nationalsozialistischen Massenmordens BT - una storia dell’uccisione di massa nazista T3 - Empire of destruction N2 - Der organisierte Massenmord an ethnischen und sozialen Bevölkerungsgruppen als Kriegsstrategie. Von 1939 bis 1945 ermordete das nationalsozialistische Regime rund 13 Millionen Zivilisten und andere Nichtkombattanten in Vernichtungslagern und außerhalb davon. Fast die Hälfte der Opfer des Nationalsozialismus waren Juden. Die Judenverfolgung und die Shoah sind in der Geschichte ohne Beispiel, aber als Teil eines systematischen Massenmordprogramms zu betrachten. Zu den Opfern der NS-Verbrechen gehörten auch Behinderte, Roma, polnische Eliten, gefangene Rotarmisten und unbewaffnete Zivilisten. Der Massenmord als Kriegsstrategie: die erste integrative, umfassende Analyse. Vom britischen Historiker Alex J. Kay, der bereits fünf bedeutende Bücher über die Zeit des Nationalsozialismus veröffentlicht hat. Die Geschichte des Holocausts und die Ermordung ethnischer und sozialer Bevölkerungsgruppen. Fundamentaler Beitrag zur Aufarbeitung der nationalsozialistischen Verbrechen im 2. Weltkrieg. Die erste integrative Gesamtdarstellung der Völkermord-Politik des NS-Regimes. Erstmals führt Alex J. Kay die systematischen Mordprogramme und ihre Opfer in einer differenzierten Darstellung der deutschen Kriegsverbrechen zusammen. Es wird deutlich, dass Genozid und Vergeltungsmaßnahmen integrativer Bestandteil der Kriegsstrategie zur Durchsetzung der nationalsozialistischen Ideologie waren. In seiner bahnbrechenden Analyse zeigt er, wie eine strategisch geplante, staatliche Politik des Massenmords Millionen von Menschen das Leben kostete. KW - Deutsches Reich KW - Nationalsozialistisches Verbrechen KW - Massenmord KW - Verfolgung KW - Judenvernichtung KW - Kriegsverbrechen KW - Geschichte 1933-1945 Y1 - 2022 UR - https://ebookcentral.proquest.com/lib/potsdamuni/detail.action?docID=7422237 SN - 978-3-8062-4604-9 SN - 978-3-8062-4504-2 SN - 978-3-8062-4605-6 PB - Theiss in der Verlag Herder GmbH CY - Freiburg ER - TY - JOUR A1 - Reeve, Holly A. A1 - Nicholson, Jake A1 - Altaf, Farieha A1 - Lonsdale, Thomas H. A1 - Preissler, Janina A1 - Lauterbach, Lars A1 - Lenz, Oliver A1 - Leimkühler, Silke A1 - Hollmann, Frank A1 - Paul, Caroline E. A1 - Vincent, Kylie A. T1 - A hydrogen-driven biocatalytic approach to recycling synthetic analogues of NAD(P)H JF - Chemical communications : ChemComm N2 - We demonstrate a recycling system for synthetic nicotinamide cofactor analogues using a soluble hydrogenase with turnover number of >1000 for reduction of the cofactor analogues by H-2. Coupling this system to an ene reductase, we show quantitative conversion of N-ethylmaleimide to N-ethylsuccinimide. The biocatalyst system retained >50% activity after 7 h. Y1 - 2022 U6 - https://doi.org/10.1039/d2cc02411j SN - 1359-7345 SN - 1364-548X VL - 58 IS - 75 SP - 10540 EP - 10543 PB - Royal Society of Chemistry CY - Cambridge ER - TY - JOUR A1 - Roe, Stephanie A1 - Streck, Charlotte A1 - Beach, Robert A1 - Busch, Jonah A1 - Chapman, Melissa A1 - Daioglou, Vassilis A1 - Deppermann, Andre A1 - Doelman, Jonathan A1 - Emmet-Booth, Jeremy A1 - Engelmann, Jens A1 - Fricko, Oliver A1 - Frischmann, Chad A1 - Funk, Jason A1 - Grassi, Giacomo A1 - Griscom, Bronson A1 - Havlik, Petr A1 - Hanssen, Steef A1 - Humpenöder, Florian A1 - Landholm, David A1 - Lomax, Guy A1 - Lehmann, Johannes A1 - Mesnildrey, Leah A1 - Nabuurs, Gert-Jan A1 - Popp, Alexander A1 - Rivard, Charlotte A1 - Sanderman, Jonathan A1 - Sohngen, Brent A1 - Smith, Pete A1 - Stehfest, Elke A1 - Woolf, Dominic A1 - Lawrence, Deborah T1 - Land-based measures to mitigate climate change BT - potential and feasibility by country JF - Global change biology N2 - Land-based climate mitigation measures have gained significant attention and importance in public and private sector climate policies. Building on previous studies, we refine and update the mitigation potentials for 20 land-based measures in >200 countries and five regions, comparing “bottom-up” sectoral estimates with integrated assessment models (IAMs). We also assess implementation feasibility at the country level. Cost-effective (available up to $100/tCO2eq) land-based mitigation is 8–13.8 GtCO2eq yr−1 between 2020 and 2050, with the bottom end of this range representing the IAM median and the upper end representing the sectoral estimate. The cost-effective sectoral estimate is about 40% of available technical potential and is in line with achieving a 1.5°C pathway in 2050. Compared to technical potentials, cost-effective estimates represent a more realistic and actionable target for policy. The cost-effective potential is approximately 50% from forests and other ecosystems, 35% from agriculture, and 15% from demand-side measures. The potential varies sixfold across the five regions assessed (0.75–4.8 GtCO2eq yr−1) and the top 15 countries account for about 60% of the global potential. Protection of forests and other ecosystems and demand-side measures present particularly high mitigation efficiency, high provision of co-benefits, and relatively lower costs. The feasibility assessment suggests that governance, economic investment, and socio-cultural conditions influence the likelihood that land-based mitigation potentials are realized. A substantial portion of potential (80%) is in developing countries and LDCs, where feasibility barriers are of greatest concern. Assisting countries to overcome barriers may result in significant quantities of near-term, low-cost mitigation while locally achieving important climate adaptation and development benefits. Opportunities among countries vary widely depending on types of land-based measures available, their potential co-benefits and risks, and their feasibility. Enhanced investments and country-specific plans that accommodate this complexity are urgently needed to realize the large global potential from improved land stewardship. KW - AFOLU KW - co-benefits KW - demand management KW - feasibility KW - land management KW - land sector KW - mitigation KW - natural climate solutions KW - nature-based solutions Y1 - 2021 U6 - https://doi.org/10.1111/gcb.15873 SN - 1365-2486 VL - 27 IS - 23 SP - 6025 EP - 6058 PB - Wiley-Blackwell CY - Oxford ER - TY - JOUR A1 - Silva, Bibiana A1 - Oliveira Costa, Ana Carolina A1 - Tchewonpi, Sorel Sagu A1 - Bönick, Josephine A1 - Huschek, Gerd A1 - Gonzaga, Luciano Valdemiro A1 - Fett, Roseane A1 - Baldermann, Susanne A1 - Rawel, Harshadrai Manilal T1 - Comparative quantification and differentiation of bracatinga (Mimosa scabrella Bentham) honeydew honey proteins using targeted peptide markers identified by high-resolution mass spectrometry JF - Food research international N2 - Honey traceability is an important topic, especially for honeydew honeys, due to the increased incidence of adulteration. This study aimed to establish specific markers to quantify proteins in honey. A proteomics strategy to identify marker peptides from bracatinga honeydew honey was therefore developed. The proteomics approach was based on initial untargeted identification of honey proteins and peptides by LC-ESI-Triple-TOF-MS/MS, which identified the major royal jelly proteins (MRJP) presence. Afterwards, the peptides were selected by the in silico digestion. The marker peptides were quantified by the developed targeted LC-QqQ-MS/MS method, which provided good linearity and specificity, besides recoveries between 92 and 100% to quantify peptides from bracatinga honeydew honey. The uniqueness and high response in mass spectrometry were backed by further complementary protein analysis (SDS-PAGE). The selected marker peptides EALPHVPIFDR (MRJP 1), ILGANVK (MRJP 2), TFVTIER (MRJP 3), QNIDVVAR (MRJP 4), FINNDYNFNEVNFR (MRJP 5) and LLQPYPDWSWTK (MRJP 7), quantified by LC-QqQ-MS/MS, highlighted that the content of QNIDVVAR from MRJP 4 could be used to differentiate bracatinga honeydew honey from floral honeys (p < 0.05) as a potential marker for its authentication. Finally, principal components analysis highlighted the QNIDVVAR content as a good descriptor of the analyzed bracatinga honeydew honey samples. KW - Honeydew honey KW - Major royal jelly proteins KW - Marker peptides KW - High-resolution mass spectrometry KW - Principal component analysis Y1 - 2020 U6 - https://doi.org/10.1016/j.foodres.2020.109991 SN - 0963-9969 SN - 1873-7145 VL - 141 PB - Elsevier CY - New York, NY [u.a.] ER - TY - JOUR A1 - Stevanato, Luca A1 - Baroni, Gabriele A1 - Oswald, Sascha A1 - Lunardon, Marcello A1 - Mareš, Vratislav A1 - Marinello, Francesco A1 - Moretto, Sandra A1 - Polo, Matteo A1 - Sartori, Paolo A1 - Schattan, Paul A1 - Rühm, Werner T1 - An alternative incoming correction for cosmic-ray neutron sensing observations using local muon measurement JF - Geophysical research letters N2 - Measuring the variability of incoming neutrons locally would be usefull for the cosmic-ray neutron sensing (CRNS) method. As the measurement of high energy neutrons is not so easy, alternative particles can be considered for such purpose. Among them, muons are particles created from the same cascade of primary cosmic-ray fluxes that generate neutrons at the ground. In addition, they can be easily detected by small and relatively inexpensive detectors. For these reasons they could provide a suitable local alternative to incoming corrections based on remote neutron monitor data. The reported measurements demonstrated that muon detection system can detect incoming cosmic-ray variations locally. Furthermore the precision of this measurement technique is considered adequate for many CRNS applications. KW - CRNS KW - soil-moisture KW - neutrons KW - muons KW - cosmic-rays Y1 - 2022 U6 - https://doi.org/10.1029/2021GL095383 SN - 0094-8276 SN - 1944-8007 VL - 49 IS - 6 PB - American Geophysical Union CY - Washington ER - TY - GEN A1 - Jasser, Greta A1 - Kelly, Megan A1 - Rothermel, Ann-Kathrin T1 - Male supremacism and the Hanau terrorist attack BT - between online misogyny and far-right violence Y1 - 2020 UR - https://www.icct.nl/publication/male-supremacism-and-hanau-terrorist-attack-between-online-misogyny-and-far-right PB - International Centre for Counter-Terrorism (ICCT) CY - Den Haag ER - TY - THES A1 - Bunselmeyer, Lena T1 - Die Agenda 2030 in kommunalen Nachhaltigkeitsstrategien T1 - The Agenda 2030 in Sustainability Strategies of Local Governments N2 - Die 2016 verabschiedeten Sustainable Development Goals (SDGs) der Vereinten Nationen sind Referenzrahmen von Nachhaltigkeitsstrategien auf Bundes- Landes- und kommunaler Ebene geworden. Städte rückten im Zuge der Agenda 2030 in den Mittelpunkt. Ihre Verwaltungen befinden sich dabei in einem herausfordernden Spannungsfeld: Einerseits haben die SDGs den holistischen Anspruch, vollständig in das Handeln der Kommunen integriert zu werden. Andererseits ist für eine effektive Umsetzung eine starke Anpassung der SDGs an den lokalen Kontext notwendig. Die vorliegende Arbeit betrachtet anhand einer Fallstudie die Frage, wie Kommunen die Nachhaltigkeitsziele der Vereinten Nationen in ihre Handlungsprogramme und Nachhaltigkeitsstrategien übersetzen, und welche Faktoren Einfluss auf diesen Prozess haben. Dabei wird ein translationstheoretischer Ansatz verwendet, der die Übertragung einer Idee in einen lokalen Kontext als aktiven Transfer versteht, bei dem das Handeln der beteiligten Akteure und deren Konstruktion der aufzunehmenden Idee im Fokus steht. Die Translation wird mit Hilfe von qualitativen Interviews nachvollzogen und analysiert. Die Ergebnisse zeigen, dass die SDGs zwar anhand ihrer Relevanz für die Kommune gefiltert werden, der normative Anspruch der SDGs aber erhalten bleibt und angesichts des als gering beurteilten Fortschritts der Kommune besonderes Gewicht erhält. Zentrale Einflussfaktoren für die Translation sind die verfügbaren personellen und finanziellen Ressourcen, die Akzeptanz für die SDGs in Verwaltung, Politik und Gesellschaft und nicht zuletzt das persönliche Engagement einzelner Verwaltungsmitarbeiter*innen. N2 - The United Nations’ Sustainable Development Goals (SDGs) have become the leading set of guidelines for sustainability strategies on every government level. Cities are the Agenda 2030’s focal point. Their local governments however find themselves in a challenging dilemma: On the one hand, the SDG’s holistic approach warrants a wholesale integration into local policy. On the other hand, a substantial adaptation is necessary to integrate the Goals into the local context. This paper uses a case study to examine how municipalities translate the Sustainable Development Goals into their sustainability action plans and strategies. Moreover, it examines which factors are influential to this process. This study uses a translation theory perspective, which characterizes the transfer of an idea into the local context as an active process. It focusses on the actors and how they perceive the transferred idea. For this, qualitative interviews are conducted and analyzed. Thereby, this study shows that while SDGs are being filtered according to their relevancy for the municipality, their normative dimension remains intact. The municipal actors consider this dimension crucial vis-à-vis the lack of progress that they perceive in their municipality. This study finds that core influencing factors are the financial and personnel resources available, the acceptance of SDGs within the administration, politics and society as well as the activism of singular municipal actors. KW - SDGs KW - Kommunen KW - öffentliche Verwaltung KW - Translation KW - Nachhaltigkeitsstrategien KW - SDGs KW - local government KW - public administration KW - translation KW - sustainability strategies Y1 - 2024 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-634873 ER - TY - JOUR A1 - Svennevig, Kristian A1 - Hermanns, Reginald L. A1 - Keiding, Marie A1 - Binder, Daniel A1 - Citterio, Michele A1 - Dahl-Jensen, Trine A1 - Mertl, Stefan A1 - Sørensen, Erik Vest A1 - Voss, Peter Henrik T1 - A large frozen debris avalanche entraining warming permafrost ground-the June 2021 Assapaat landslibe, West Greenland JF - Landslides N2 - A large landslide (frozen debris avalanche) occurred at Assapaat on the south coast of the Nuussuaq Peninsula in Central West Greenland on June 13, 2021, at 04:04 local time. We present a compilation of available data from field observations, photos, remote sensing, and seismic monitoring to describe the event. Analysis of these data in combination with an analysis of pre- and post-failure digital elevation models results in the first description of this type of landslide. The frozen debris avalanche initiated as a 6.9 * 10(6) m(3) failure of permafrozen talus slope and underlying colluvium and till at 600-880 m elevation. It entrained a large volume of permafrozen colluvium along its 2.4 km path in two subsequent entrainment phases accumulating a total volume between 18.3 * 10(6) and 25.9 * 10(6) m(3). About 3.9 * 10(6) m(3) is estimated to have entered the Vaigat strait; however, no tsunami was reported, or is evident in the field. This is probably because the second stage of entrainment along with a flattening of slope angle reduced the mobility of the frozen debris avalanche. We hypothesise that the initial talus slope failure is dynamically conditioned by warming of the ice matrix that binds the permafrozen talus slope. When the slope ice temperature rises to a critical level, its shear resistance is reduced, resulting in an unstable talus slope prone to failure. Likewise, we attribute the large-scale entrainment to increasing slope temperature and take the frozen debris avalanche as a strong sign that the permafrost in this region is increasingly at a critical state. Global warming is enhanced in the Arctic and frequent landslide events in the past decade in Western Greenland let us hypothesise that continued warming will lead to an increase in the frequency and magnitude of these types of landslides. Essential data for critical arctic slopes such as precipitation, snowmelt, and ground and surface temperature are still missing to further test this hypothesis. It is thus strongly required that research funds are made available to better predict the change of landslide threat in the Arctic. KW - Assapaat landslide KW - Slope temperature KW - Global warming Y1 - 2022 U6 - https://doi.org/10.1007/s10346-022-01922-7 SN - 1612-510X SN - 1612-5118 VL - 19 SP - 2549 EP - 2567 PB - Springer CY - Heidelberg ER - TY - GEN A1 - Rothermel, Ann-Kathrin T1 - What anti-gender and anti-vaccines politics have in common BT - the construction of gender and the Covid-19 pandemic in right-wing discourses KW - anti-gender KW - featured KW - gender research KW - politics KW - science & technology Y1 - 2022 UR - https://blogs.lse.ac.uk/gender/2022/04/11/what-anti-gender-and-anti-vaccines-politics-have-in-common-the-construction-of-gender-and-the-covid-19-pandemic-in-right-wing-discourses/ PB - London School of Economics and Political Science CY - London ER - TY - JOUR A1 - Krämer, Hauke Kai A1 - Gelbrecht, Maximilian A1 - Pavithran, Induja A1 - Sujith, Ravindran A1 - Marwan, Norbert T1 - Optimal state space reconstruction via Monte Carlo decision tree search JF - Nonlinear Dynamics N2 - A novel idea for an optimal time delay state space reconstruction from uni- and multivariate time series is presented. The entire embedding process is considered as a game, in which each move corresponds to an embedding cycle and is subject to an evaluation through an objective function. This way the embedding procedure can be modeled as a tree, in which each leaf holds a specific value of the objective function. By using a Monte Carlo ansatz, the proposed algorithm populates the tree with many leafs by computing different possible embedding paths and the final embedding is chosen as that particular path, which ends at the leaf with the lowest achieved value of the objective function. The method aims to prevent getting stuck in a local minimum of the objective function and can be used in a modular way, enabling practitioners to choose a statistic for possible delays in each embedding cycle as well as a suitable objective function themselves. The proposed method guarantees the optimization of the chosen objective function over the parameter space of the delay embedding as long as the tree is sampled sufficiently. As a proof of concept, we demonstrate the superiority of the proposed method over the classical time delay embedding methods using a variety of application examples. We compare recurrence plot-based statistics inferred from reconstructions of a Lorenz-96 system and highlight an improved forecast accuracy for map-like model data as well as for palaeoclimate isotope time series. Finally, we utilize state space reconstruction for the detection of causality and its strength between observables of a gas turbine type thermoacoustic combustor. KW - State space reconstruction KW - Embedding KW - Optimization KW - Time series analysis KW - Causality KW - Prediction KW - Recurrence analysis Y1 - 2022 U6 - https://doi.org/10.1007/s11071-022-07280-2 SN - 0924-090X SN - 1573-269X VL - 108 IS - 2 SP - 1525 EP - 1545 PB - Springer CY - Dordrecht ER - TY - GEN A1 - Rothermel, Ann-Kathrin T1 - The politics of fear BT - right wing anti-gender and anti-vaccination narratives T2 - WIIS Blog Y1 - 2022 UR - https://wiisglobal.org/the-politics-of-fear-right-wing-anti-gender-and-anti-vaccination-narratives-2/#_edn1 CY - Women in International Security ER - TY - JOUR A1 - Kong, Xiangzhen A1 - Ghaffar, Salman A1 - Determann, Maria A1 - Friese, Kurt A1 - Jomaa, Seifeddine A1 - Mi, Chenxi A1 - Shatwell, Tom A1 - Rinke, Karsten A1 - Rode, Michael T1 - Reservoir water quality deterioration due to deforestation emphasizes the indirect effects of global change JF - Water research : a journal of the International Association on Water Quality (IAWQ) N2 - Deforestation is currently a widespread phenomenon and a growing environmental concern in the era of rapid climate change. In temperate regions, it is challenging to quantify the impacts of deforestation on the catchment dynamics and downstream aquatic ecosystems such as reservoirs and disentangle these from direct climate change impacts, let alone project future changes to inform management. Here, we tackled this issue by investigating a unique catchment-reservoir system with two reservoirs in distinct trophic states (meso- and eutrophic), both of which drain into the largest drinking water reservoir in Germany. Due to the prolonged droughts in 2015-2018, the catchment of the mesotrophic reservoir lost an unprecedented area of forest (exponential increase since 2015 and ca. 17.1% loss in 2020 alone). We coupled catchment nutrient exports (HYPE) and reservoir ecosystem dynamics (GOTM-WET) models using a process-based modeling approach. The coupled model was validated with datasets spanning periods of rapid deforestation, which makes our future projections highly robust. Results show that in a short-term time scale (by 2035), increasing nutrient flux from the catchment due to vast deforestation (80% loss) can turn the mesotrophic reservoir into a eutrophic state as its counterpart. Our results emphasize the more prominent impacts of deforestation than the direct impact of climate warming in impairment of water quality and ecological services to downstream aquatic ecosystems. Therefore, we propose to evaluate the impact of climate change on temperate reservoirs by incorporating a time scale-dependent context, highlighting the indirect impact of deforestation in the short-term scale. In the long-term scale (e.g. to 2100), a guiding hypothesis for future research may be that indirect effects (e.g., as mediated by catchment dynamics) are as important as the direct effects of climate warming on aquatic ecosystems. KW - deforestation KW - climate change KW - temperate regions KW - reservoir KW - eutrophication KW - process-based modeling Y1 - 2022 U6 - https://doi.org/10.1016/j.watres.2022.118721 SN - 0043-1354 SN - 1879-2448 VL - 221 PB - Elsevier Science CY - Amsterdam [u.a.] ER - TY - THES A1 - Huegle, Johannes T1 - Causal discovery in practice: Non-parametric conditional independence testing and tooling for causal discovery T1 - Kausale Entdeckung in der Praxis: Nichtparametrische bedingte Unabhängigkeitstests und Werkzeuge für die Kausalentdeckung N2 - Knowledge about causal structures is crucial for decision support in various domains. For example, in discrete manufacturing, identifying the root causes of failures and quality deviations that interrupt the highly automated production process requires causal structural knowledge. However, in practice, root cause analysis is usually built upon individual expert knowledge about associative relationships. But, "correlation does not imply causation", and misinterpreting associations often leads to incorrect conclusions. Recent developments in methods for causal discovery from observational data have opened the opportunity for a data-driven examination. Despite its potential for data-driven decision support, omnipresent challenges impede causal discovery in real-world scenarios. In this thesis, we make a threefold contribution to improving causal discovery in practice. (1) The growing interest in causal discovery has led to a broad spectrum of methods with specific assumptions on the data and various implementations. Hence, application in practice requires careful consideration of existing methods, which becomes laborious when dealing with various parameters, assumptions, and implementations in different programming languages. Additionally, evaluation is challenging due to the lack of ground truth in practice and limited benchmark data that reflect real-world data characteristics. To address these issues, we present a platform-independent modular pipeline for causal discovery and a ground truth framework for synthetic data generation that provides comprehensive evaluation opportunities, e.g., to examine the accuracy of causal discovery methods in case of inappropriate assumptions. (2) Applying constraint-based methods for causal discovery requires selecting a conditional independence (CI) test, which is particularly challenging in mixed discrete-continuous data omnipresent in many real-world scenarios. In this context, inappropriate assumptions on the data or the commonly applied discretization of continuous variables reduce the accuracy of CI decisions, leading to incorrect causal structures. Therefore, we contribute a non-parametric CI test leveraging k-nearest neighbors methods and prove its statistical validity and power in mixed discrete-continuous data, as well as the asymptotic consistency when used in constraint-based causal discovery. An extensive evaluation of synthetic and real-world data shows that the proposed CI test outperforms state-of-the-art approaches in the accuracy of CI testing and causal discovery, particularly in settings with low sample sizes. (3) To show the applicability and opportunities of causal discovery in practice, we examine our contributions in real-world discrete manufacturing use cases. For example, we showcase how causal structural knowledge helps to understand unforeseen production downtimes or adds decision support in case of failures and quality deviations in automotive body shop assembly lines. N2 - Kenntnisse über die Strukturen zugrundeliegender kausaler Mechanismen sind eine Voraussetzung für die Entscheidungsunterstützung in verschiedenen Bereichen. In der Fertigungsindustrie beispielsweise erfordert die Fehler-Ursachen-Analyse von Störungen und Qualitätsabweichungen, die den hochautomatisierten Produktionsprozess unterbrechen, kausales Strukturwissen. In Praxis stützt sich die Fehler-Ursachen-Analyse in der Regel jedoch auf individuellem Expertenwissen über assoziative Zusammenhänge. Aber "Korrelation impliziert nicht Kausalität", und die Fehlinterpretation assoziativer Zusammenhänge führt häufig zu falschen Schlussfolgerungen. Neueste Entwicklungen von Methoden des kausalen Strukturlernens haben die Möglichkeit einer datenbasierten Betrachtung eröffnet. Trotz seines Potenzials zur datenbasierten Entscheidungsunterstützung wird das kausale Strukturlernen in der Praxis jedoch durch allgegenwärtige Herausforderungen erschwert. In dieser Dissertation leisten wir einen dreifachen Beitrag zur Verbesserung des kausalen Strukturlernens in der Praxis. (1) Das wachsende Interesse an kausalem Strukturlernen hat zu einer Vielzahl von Methoden mit spezifischen statistischen Annahmen über die Daten und verschiedenen Implementierungen geführt. Daher erfordert die Anwendung in der Praxis eine sorgfältige Prüfung der vorhandenen Methoden, was eine Herausforderung darstellt, wenn verschiedene Parameter, Annahmen und Implementierungen in unterschiedlichen Programmiersprachen betrachtet werden. Hierbei wird die Evaluierung von Methoden des kausalen Strukturlernens zusätzlich durch das Fehlen von "Ground Truth" in der Praxis und begrenzten Benchmark-Daten, welche die Eigenschaften realer Datencharakteristiken widerspiegeln, erschwert. Um diese Probleme zu adressieren, stellen wir eine plattformunabhängige modulare Pipeline für kausales Strukturlernen und ein Tool zur Generierung synthetischer Daten vor, die umfassende Evaluierungsmöglichkeiten bieten, z.B. um Ungenauigkeiten von Methoden des Lernens kausaler Strukturen bei falschen Annahmen an die Daten aufzuzeigen. (2) Die Anwendung von constraint-basierten Methoden des kausalen Strukturlernens erfordert die Wahl eines bedingten Unabhängigkeitstests (CI-Test), was insbesondere bei gemischten diskreten und kontinuierlichen Daten, die in vielen realen Szenarien allgegenwärtig sind, die Anwendung erschwert. Beispielsweise führen falsche Annahmen der CI-Tests oder die Diskretisierung kontinuierlicher Variablen zu einer Verschlechterung der Korrektheit der Testentscheidungen, was in fehlerhaften kausalen Strukturen resultiert. Um diese Probleme zu adressieren, stellen wir einen nicht-parametrischen CI-Test vor, der auf Nächste-Nachbar-Methoden basiert, und beweisen dessen statistische Validität und Trennschärfe bei gemischten diskreten und kontinuierlichen Daten, sowie dessen asymptotische Konsistenz in constraint-basiertem kausalem Strukturlernen. Eine umfangreiche Evaluation auf synthetischen und realen Daten zeigt, dass der vorgeschlagene CI-Test bestehende Verfahren hinsichtlich der Korrektheit der Testentscheidung und gelernter kausaler Strukturen übertrifft, insbesondere bei geringen Stichprobengrößen. (3) Um die Anwendbarkeit und Möglichkeiten kausalen Strukturlernens in der Praxis aufzuzeigen, untersuchen wir unsere Beiträge in realen Anwendungsfällen aus der Fertigungsindustrie. Wir zeigen an mehreren Beispielen aus der automobilen Karosseriefertigungen wie kausales Strukturwissen helfen kann, unvorhergesehene Produktionsausfälle zu verstehen oder eine Entscheidungsunterstützung bei Störungen und Qualitätsabweichungen zu geben. KW - causal discovery KW - causal structure learning KW - causal AI KW - non-parametric conditional independence testing KW - manufacturing KW - causal reasoning KW - mixed data KW - kausale KI KW - kausale Entdeckung KW - kausale Schlussfolgerung KW - kausales Strukturlernen KW - Fertigung KW - gemischte Daten KW - nicht-parametrische bedingte Unabhängigkeitstests Y1 - 2024 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-635820 ER - TY - JOUR A1 - Yuan, Jun A1 - Zhang, Chujun A1 - Qiu, Beibei A1 - Liu, Wei A1 - So, Shu Kong A1 - Mainville, Mathieu A1 - Leclerc, Mario A1 - Shoaee, Safa A1 - Neher, Dieter A1 - Zou, Yingping T1 - Effects of energetic disorder in bulk heterojunction organic solar cells JF - Energy & environmental science N2 - Organic solar cells (OSCs) have progressed rapidly in recent years through the development of novel organic photoactive materials, especially non-fullerene acceptors (NFAs). Consequently, OSCs based on state-of-the-art NFAs have reached significant milestones, such as similar to 19% power conversion efficiencies (PCEs) and small energy losses (less than 0.5 eV). Despite these significant advances, understanding of the interplay between molecular structure and optoelectronic properties lags significantly behind. For example, despite the theoretical framework for describing the energetic disorder being well developed for the case of inorganic semiconductors, the question of the applicability of classical semiconductor theories in analyzing organic semiconductors is still under debate. A general observation in the inorganic field is that inorganic photovoltaic materials possessing a polycrystalline microstructure exhibit suppressed disorder properties and better charge carrier transport compared to their amorphous analogs. Accordingly, this principle extends to the organic semiconductor field as many organic photovoltaic materials are synthesized to pursue polycrystalline-like features. Yet, there appears to be sporadic examples that exhibit an opposite trend. However, full studies decoupling energetic disorder from aggregation effects have largely been left out. Hence, the potential role of the energetic disorder in OSCs has received little attention. Interestingly, recently reported state-of-the-art NFA-based devices could achieve a small energetic disorder and high PCE at the same time; and interest in this investigation related to the disorder properties in OSCs was revived. In this contribution, progress in terms of the correlation between molecular design and energetic disorder is reviewed together with their effects on the optoelectronic mechanism and photovoltaic performance. Finally, the specific challenges and possible solutions in reducing the energetic disorder of OSCs from the viewpoint of materials and devices are proposed. Y1 - 2022 U6 - https://doi.org/10.1039/d2ee00271j SN - 1754-5692 SN - 1754-5706 VL - 15 IS - 7 SP - 2806 EP - 2818 PB - Royal Society of Chemistry CY - Cambridge ER - TY - JOUR A1 - Kroh, Daniel A1 - Eller, Fabian A1 - Schötz, Konstantin A1 - Wedler, Stefan A1 - Perdigón-Toro, Lorena A1 - Freychet, Guillaume A1 - Wei, Qingya A1 - Dörr, Maximilian A1 - Jones, David A1 - Zou, Yingping A1 - Herzig, Eva M. A1 - Neher, Dieter A1 - Köhler, Anna T1 - Identifying the signatures of intermolecular interactions in blends of PM6 with Y6 and N4 using absorption spectroscopy JF - Advanced functional materials N2 - In organic solar cells, the resulting device efficiency depends strongly on the local morphology and intermolecular interactions of the blend film. Optical spectroscopy was used to identify the spectral signatures of interacting chromophores in blend films of the donor polymer PM6 with two state-of-the-art nonfullerene acceptors, Y6 and N4, which differ merely in the branching point of the side chain. From temperature-dependent absorption and luminescence spectroscopy in solution, it is inferred that both acceptor materials form two types of aggregates that differ in their interaction energy. Y6 forms an aggregate with a predominant J-type character in solution, while for N4 molecules the interaction is predominantly in a H-like manner in solution and freshly spin-cast film, yet the molecules reorient with respect to each other with time or thermal annealing to adopt a more J-type interaction. The different aggregation behavior of the acceptor materials is also reflected in the blend films and accounts for the different solar cell efficiencies reported with the two blends. KW - charge-transfer states KW - Frank-Condon analysis KW - morphology KW - organic solar cells Y1 - 2022 U6 - https://doi.org/10.1002/adfm.202205711 SN - 1616-301X SN - 1616-3028 VL - 32 IS - 44 PB - Wiley-VCH CY - Weinheim ER - TY - GEN A1 - Rothermel, Ann-Kathrin A1 - Asante, Doris T1 - From victims to activists BT - women’s engagement and participation in p/cve T2 - Australian outlook N2 - For a long time, women were invisible in the policy responses to political violence and terrorism. Although the introduction of Preventing and Countering Violent Extremism (P/CVE) has helped improve the representation of women, there is still a long way to go. Y1 - 2022 UR - https://www.internationalaffairs.org.au/australianoutlook/from-victims-to-activists-womens-engagement-and-participation-in-p-cve/ PB - Australian Institute of International Affairs CY - Deakin ACT ER - TY - JOUR A1 - Casel, Katrin A1 - Fernau, Henning A1 - Ghadikolaei, Mehdi Khosravian A1 - Monnot, Jerome A1 - Sikora, Florian T1 - On the complexity of solution extension of optimization problems JF - Theoretical computer science : the journal of the EATCS N2 - The question if a given partial solution to a problem can be extended reasonably occurs in many algorithmic approaches for optimization problems. For instance, when enumerating minimal vertex covers of a graph G = (V, E), one usually arrives at the problem to decide for a vertex set U subset of V (pre-solution), if there exists a minimal vertex cover S (i.e., a vertex cover S subset of V such that no proper subset of S is a vertex cover) with U subset of S (minimal extension of U). We propose a general, partial-order based formulation of such extension problems which allows to model parameterization and approximation aspects of extension, and also highlights relationships between extension tasks for different specific problems. As examples, we study a number of specific problems which can be expressed and related in this framework. In particular, we discuss extension variants of the problems dominating set and feedback vertex/edge set. All these problems are shown to be NP-complete even when restricted to bipartite graphs of bounded degree, with the exception of our extension version of feedback edge set on undirected graphs which is shown to be solvable in polynomial time. For the extension variants of dominating and feedback vertex set, we also show NP-completeness for the restriction to planar graphs of bounded degree. As non-graph problem, we also study an extension version of the bin packing problem. We further consider the parameterized complexity of all these extension variants, where the parameter is a measure of the pre-solution as defined by our framework. KW - extension problems KW - NP-hardness KW - parameterized complexity Y1 - 2022 U6 - https://doi.org/10.1016/j.tcs.2021.10.017 SN - 0304-3975 SN - 1879-2294 VL - 904 SP - 48 EP - 65 PB - Elsevier CY - Amsterdam [u.a.] ER - TY - JOUR A1 - Conrad, Markus A1 - Ullrich, Susann A1 - Schmidtke, David S. A1 - Kotz, Sonja A. T1 - ERPs reveal an iconic relation between sublexical phonology and affective meaning JF - Cognition : international journal of cognitive science N2 - Classical linguistic theory assumes that formal aspects, like sound, are not internally related to the meaning of words. However, recent research suggests language might code affective meaning such as threat and alert sublexically. Positing affective phonological iconicity as a systematic organization principle of the German lexicon, we calculated sublexical affective values for sub-syllabic phonological word segments from a large-scale affective lexical German database by averaging valence and arousal ratings of all words any phonological segment appears in. We tested word stimuli with either consistent or inconsistent mappings between lexical affective meaning and sublexical affective values (negative-valence/high-arousal vs. neutral-valence/lowarousal) in an EEG visual-lexical-decision task. A mismatch between sublexical and lexical affective values elicited an increased N400 response. These results reveal that systematic affective phonological iconicity - extracted from the lexicon - impacts the extraction of lexical word meaning during reading. KW - Sound symbolism KW - Visual word recognition KW - Phonological iconicity KW - Affective meaning KW - N400 KW - ERPs Y1 - 2022 U6 - https://doi.org/10.1016/j.cognition.2022.105182 SN - 0010-0277 SN - 1873-7838 VL - 226 PB - Elsevier CY - Amsterdam ER - TY - GEN A1 - Jasser, Greta A1 - Kelly, Megan A1 - Rothermel, Ann-Kathrin T1 - Frauenfeind, aber kein Incel BT - das Manifest des Hanau-Attentäters zwischen Rechtsextremismus und Frauenhass T2 - Belltower.News N2 - Der Attentater von Hanau war, das verrät sein Manifest, ein Frauenfeind – aber kein Incel. Warum die Einschätzung als Incel bequem und gefährlich ist, erläutert dieser Gastbeitrag der Wissenschaftlerinnen Megan Kelly, Ann-Kathrin Rothermel und Greta Jasser, Fellows am Institute for Research on Male Supremacism (IRMS). KW - Antifeminismus KW - Frauen KW - Frauenhass KW - Gewalt KW - Hanau KW - Incels KW - Isla Vista KW - Manosphere KW - Rechtsextremismus KW - Rechtsterrorismus KW - Reddit KW - Sexismus Y1 - 2020 UR - https://www.belltower.news/das-manifest-des-hanau-attentaeters-zwischen-rechtsextremismus-und-frauenhass-frauenfeind-aber-kein-incel-97509/ PB - Amadeu Antonio Stiftung CY - Berlin ER - TY - JOUR A1 - Scheffler, Tatjana A1 - Brandt, Lasse A1 - de la Fuente, Marie A1 - Nenchev, Ivan T1 - Stimulus data and experimental design for a self-paced reading study on emoji-word substitutions JF - Data in Brief N2 - This data paper presents the experimental design and stimuli from an online self-paced reading study on the processing of emojis substituting lexically ambiguous nouns. We recorded reading times for the target ambiguous nouns and for emojis depicting either the intended target referent or a contextually inappropriate homophonous noun. Furthermore, we recorded comprehension accuracy, demographics and a self-assessment of the participants' emoji usage frequency. The data includes all stimuli used, the raw data, the full JavaScript code for the online experiment, as well as Python and R code for the data analysis. We believe that our dataset may give important insights related to the comprehension mechanisms involved in the cognitive processing of emojis. For interpretation and discussion of the experiment, please see the original article entitled "The processing of emoji-word substitutions: A self-paced-reading study". KW - Emojis KW - Self-paced reading KW - Lexical ambiguity KW - Homonymy KW - Processing Y1 - 2022 U6 - https://doi.org/10.1016/j.dib.2022.108399 SN - 2352-3409 VL - 43 PB - Elsevier CY - Amsterdam ER - TY - GEN A1 - Bande, Annika A1 - González, Leticia A1 - Klamroth, Tillmann A1 - Tremblay, Jean Christophe T1 - Theoretical chemistry and quantum dynamics at interfaces BT - Celebrating the career of Peter Saalfrank on the occasion of his 60th birthday T2 - Chemical physics : a journal devoted to experimental and theoretical research involving problems of both a chemical and physical nature Y1 - 2022 U6 - https://doi.org/10.1016/j.chemphys.2022.111509 SN - 0301-0104 SN - 1873-4421 VL - 558 PB - Elsevier Science CY - Amsterdam [u.a.] ER - TY - JOUR A1 - Ou, Qi A1 - Daout, Simon A1 - Weiss, Jonathan R. A1 - Shen, Lin A1 - Lazecky, Milan A1 - Wright, Tim J. A1 - Parsons, Barry E. T1 - Large-Scale interseismic strain mapping of the NE Tibetan Plateau from Sentinel-1 Interferometry JF - Journal of geophysical research : Solid earth N2 - The launches of the Sentinel-1 synthetic aperture radar satellites in 2014 and 2016 started a new era of high-resolution velocity and strain rate mapping for the continents. However, multiple challenges exist in tying independently processed velocity data sets to a common reference frame and producing high-resolution strain rate fields. We analyze Sentinel-1 data acquired between 2014 and 2019 over the northeast Tibetan Plateau, and develop new methods to derive east and vertical velocities with similar to 100 m resolution and similar to 1 mm/yr accuracy across an area of 440,000 km(2). By implementing a new method of combining horizontal gradients of filtered east and interpolated north velocities, we derive the first similar to 1 km resolution strain rate field for this tectonically active region. The strain rate fields show concentrated shear strain along the Haiyuan and East Kunlun Faults, and local contractional strain on fault junctions, within the Qilianshan thrusts, and around the Longyangxia Reservoir. The Laohushan-Jingtai creeping section of the Haiyuan Fault is highlighted in our data set by extremely rapid strain rates. Strain across unknown portions of the Haiyuan Fault system, including shear on the eastern extension of the Dabanshan Fault and contraction at the western flank of the Quwushan, highlight unmapped tectonic structures. In addition to the uplift across most of the lowlands, the vertical velocities also contain climatic, hydrological or anthropogenic-related deformation signals. We demonstrate the enhanced view of large-scale active tectonic processes provided by high-resolution velocities and strain rates derived from Sentinel-1 data and highlight associated wide-ranging research applications. KW - Sentinel-1 InSAR KW - interseismic strain rate KW - creep and unmapped faults; KW - hydrological uplift and subsidence KW - tectonic geodesy KW - surface velocity KW - mapping Y1 - 2022 U6 - https://doi.org/10.1029/2022JB024176 SN - 2169-9313 SN - 2169-9356 VL - 127 IS - 6 PB - American Geophysical Union CY - Washington ER - TY - CHAP A1 - M’Hamed, Sonia Chikh A1 - Sprinz, Detlef F. ED - Dyrhauge, Helene ED - Kurze, Kristina T1 - The keys to the EU’s climate neutrality goal T2 - Making the European Green Deal work N2 - The EU and its member countries have been laggards in using forest carbon to reduce EU emissions. The European Green Deal aims to change this. As part of its long-term emissions reductions, the EU aims to offset this by creating land-based carbon sinks, especially forest carbon sinks as well as carbon capture and storage. This chapter focuses on the role of forest carbon as part of the EU's climate policies towards achieving net-zero greenhouse gas emissions by 2050. It furthermore examines the European Commission's proposed forest strategy and its proposal for a revised LULUCF Regulation. The chapter shows that the logic of appropriateness dominates the European Commission's forest policies. Finally, the chapter makes policy recommendations on how the EU could credibly use long-term carbon sinks to achieve climate neutrality. Y1 - 2023 SN - 978-1-032-16070-2 SN - 978-1-032-16077-1 SN - 978-1-003-24698-5 U6 - https://doi.org/10.4324/9781003246985-6 SP - 60 EP - 75 PB - Routledge CY - London ER -