TY - JOUR A1 - Peters, Karl A1 - Peters, E. M. A1 - Rebien, F. A1 - Linker, Torsten T1 - Crystal structure of methyl (1R,2S,3R,4S)-1-phenyl-3,4-epoxi-1,2,3,4-tetrahydronaphthalene-2-carboxy late,C18H16O3 N2 - C18H16O3, monoclinic, P12(1)/c1 (no. 14), a = 14.954(3) angstrom, b = 8.088(2) angstrom, c = 11.973(2) angstrom, beta = 93.50(1)degrees, V = 1445.4 angstrom(3), Z = 4, R-gt(F) = 0.083, wR(ref)(F-2) = 0.249, T = 293 K. Y1 - 2005 SN - 1433-7266 ER - TY - JOUR A1 - Uhlemann, Erhard A1 - Hefele, Heike A1 - Ludwig, Eberhard A1 - Schilde, Uwe T1 - Crystal structure of methoxo-oxo[benzoylaceton-salicyl hydrazonato(2-)]vanadium(V), C18H17N2O5V Y1 - 1996 SN - 0044-2968 ER - TY - JOUR A1 - Breu, J. A1 - Stossel, P. A1 - Schrader, Sigurd A1 - Starukhin, A. A1 - Finkenzeller, W. J. A1 - Yersin, H. T1 - Crystal structure of fac-Ir(ppy)(3) and emission properties under ambient conditions and at high pressure N2 - Solution and refinement of the crystal structure of fac-Ir(ppy)(3) is severely hampered by systematic twinning and pseudo-symmetry.fac-Ir(ppy)(3) Crystallizes in the centrosymmetric space group P (3) over bar as has been deduced from single-crystal structure refinement and investigations of the second harmonic generation (SHG) of fac-Ir(ppy)(3) powder as compared to two standard materials. The topology of the molecular packing of fac-Ir(ppy)(3) is identical to the packing observed for [Ru(bpy)(3)](0), however, the site symmetry of all Ir(ppy)(3) molecules is necessarily lowered from D-3 to C-3. Packing motifs with intermolecular "pi-pi interactions" of T-shaped and "shifted pi stack" geometry are realized. The systematic twinning leads to the occurrence of crystalline domains with rigorously alternating chirality within the bulk of the domains but with homochiral fac-Ir(ppy)(3) contacts at the domain interfaces. These differences in packing motifs are displayed in the emission spectra and in the high-pressure-induced shifts of the emission. The emission maximum of the bulk material at 18 350 cm(-1) (545 nm) and of the domain interfaces at 19 700 cm-1 (507 nm) experience for p < 25 kbar and T = 295 K red shifts of Delta nu/Delta p = -(12 +/- 2) cm(-1)/kbar, and -(22 +/- 4) cm(- 1)/kbar, respectively Y1 - 2005 SN - 0897-4756 ER - TY - JOUR A1 - Peters, Karl A1 - Peters, E. M. A1 - Kim, Boo Geun A1 - Linker, Torsten T1 - Crystal structure of ethyl (3aR,4R,5R,6R,7aR)-4,5-diacetoxy-6-acetoxymethyl-2-oxy-3a,5,6,7a-tetrahy dro-4H- pyrano[3,2-d]isoxazole-3-carboxylate, C16H21NO11 N2 - C16H21NO11, monoclinic, P12(1)1 (no. 4), a = 8.181(1) angstrom, b = 11.604(2) angstrom, c = 10.193(1) angstrom, beta = 101.59(1)degrees, V = 947.9 angstrom(3), Z = 2, R-gt(F) = 0.068, wR(ref)(F-2) = 0.177, T = 293 K. Y1 - 2005 SN - 1433-7266 ER - TY - JOUR A1 - Barbirz, Stefanie A1 - Müller, Jürgen J. A1 - Uetrecht, Charlotte A1 - Clark, Alvin J. A1 - Heinemann, Udo A1 - Seckler, Robert T1 - Crystal structure of Escherichia coli phage HK620 tailspike : podoviral tailspike endoglycosidase modules are evolutionarily related N2 - Bacteriophage HK620 infects Escherichia coli H and is closely related to Shigella phage Sf6 and Salmonella phage P22. All three Podoviridae recognize and cleave their respective host cell receptor polysaccharide by homotrimeric tailspike proteins. The three proteins exhibit high sequence identity in the 110 residues of their N-terminal particle- binding domains, but no apparent sequence similarity in their major, receptor-binding parts. We have biochemically characterized the receptor-binding part of HK620 tailspike and determined its crystal structure to 1.38 Å resolution. Its major domain is a right-handed parallel ;-helix, as in Sf6 and P22 tailspikes. HK620 tailspike has endo-N- acetylglucosaminidase activity and produces hexasaccharides of an O18A1-type O-antigen. As indicated by the structure of a hexasaccharide complex determined at 1.6 Å resolution, the endoglycosidase-active sites are located intramolecularly, as in P22, and not between subunits, as in Sf6 tailspike. In contrast, the extreme C-terminal domain of HK620 tailspike forms a ;-sandwich, as in Sf6 and unlike P22 tailspike. Despite the different folds, structure-based sequence alignments of the C-termini reveal motifs conserved between the three proteins. We propose that the tailspike genes of P22, Sf6 and HK620 have a common precursor and are not mosaics of unrelated gene fragments. Y1 - 2008 UR - http://onlinelibrary.wiley.com/doi/10.1111/j.1365-2958.2008.06311.x/pdf SN - 0950-382X ER - TY - JOUR A1 - Schilde, Uwe A1 - Paz, Christian A1 - Ortiz, Leandro T1 - Crystal structure of erioflorin isolated from Podanthus mitiqui (L.) JF - Acta Crystallographica Section E : Crystallographic Communications N2 - The title compound, erioflorin, C19H24O6 [systematic name: (1aR,3S,4Z,5aR,8aR,9R,10aR)-1a, 2,3,5a, 7,8,8a, 9,10,10a-decahydro-3-hydroxy-4,10a-dimethyl-8-methylidene-7-oxooxireno[5,6] cyclodeca[1,2-b]furan-9-yl methacrylate], is a tricyclic germacrane sesquiterpene lactone, which was isolated from Podanthus mitiqui (L.). The compound crystallizes in the space group P2(1)2(1)2(1), and its molecular structure consists of a methacrylic ester of a ten-membered ring sesquiterpenoid annelated with an epoxide and a butyrolactone. The structure is stabilized by one intramolecular C-H center dot center dot center dot O hydrogen bond. An O-H center dot center dot center dot O hydrogen bond and further C-H center dot center dot center dot O interactions can be observed in the packing. KW - crystal structure KW - germacrane sesquiterpene lactone KW - Podanthus mitiqui Y1 - 2017 U6 - https://doi.org/10.1107/S2056989017001700 VL - 73 IS - 3 SP - 334 EP - 337 PB - International Union of Crystallography CY - Chester ER - TY - GEN A1 - Schilde, Uwe A1 - Paz, Christian A1 - Ortiz, Leandro T1 - Crystal structure of erioflorin isolated from Podanthus mitiqui (L.) N2 - The title compound, erioflorin, C19H24O6 [systematic name: (1aR,3S,4Z,5aR,8aR,9R,10aR)-1a, 2,3,5a, 7,8,8a, 9,10,10a-decahydro-3-hydroxy-4,10a-dimethyl-8-methylidene-7-oxooxireno[5,6] cyclodeca[1,2-b]furan-9-yl methacrylate], is a tricyclic germacrane sesquiterpene lactone, which was isolated from Podanthus mitiqui (L.). The compound crystallizes in the space group P2(1)2(1)2(1), and its molecular structure consists of a methacrylic ester of a ten-membered ring sesquiterpenoid annelated with an epoxide and a butyrolactone. The structure is stabilized by one intramolecular C-H center dot center dot center dot O hydrogen bond. An O-H center dot center dot center dot O hydrogen bond and further C-H center dot center dot center dot O interactions can be observed in the packing. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 379 KW - Podanthus mitiqui KW - crystal structure KW - germacrane sesquiterpene lactone Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-401832 ER - TY - JOUR A1 - Linker, Torsten A1 - Fudickar, Werner A1 - Kelling, Alexandra A1 - Schilde, Uwe T1 - Crystal structure of dimethyl 1,4-dioxaspiro[4,5]dec-6-ene-(8R)-[(3,5-dinitrobenzoyl)oxa]-(2R,3R)-dica rboxylate, C19H18N2O12 JF - Zeitschrift für Kristallographie : international journal for structural, physical and chemical aspects of crystalline materials ; New crystal structures N2 - C19H18N2O12, orthorhombic, P2(1)2(1)2(1) (no. 19), a = 6.2472(6) angstrom, b = 17.576(2) angstrom, c = 18.848(3) angstrom, V = 2069.6 angstrom(3), Z = 4, R-gt(F) = 0.0393, wR(ref)(F-2) = 0.0694, T = 210 K. Y1 - 2013 U6 - https://doi.org/10.1524/ncrs.2013.0123 SN - 1433-7266 VL - 228 IS - 2 SP - 241 EP - 242 PB - De Gruyter Oldenbourg CY - München ER - TY - JOUR A1 - Hahn, Simone A1 - Kelling, Alexandra A1 - Schilde, Uwe A1 - Holdt, Hans-Jürgen T1 - Crystal structure of bis(2-ethylthiomethylpyridine)platinum(II) hexachloroplatinate, [Pt(C8H11NS)2][PtCl6] N2 - C16H22Cl6N2Pt2S2, orthorhombic, Pbca (no. 61), a = 15.5660(8) angstrom, b = 17.4892(9) angstrom, c = 18.161 (1) angstrom, V = 4944. 1 angstrom(3), Z = 8, R-gt(F) = 0.030, wR(ref)(F-2) = 0.055, T = 210 K. Y1 - 2008 UR - http://zkrist_ncs.cpfs.mpg.de/pdf223-4/216_1267-2377.pdf U6 - https://doi.org/10.1524/ncrs.2008.0216 SN - 1433-7266 ER - TY - JOUR A1 - Uhlemann, Erhard A1 - Schilde, Uwe A1 - Mickler, Wulfhard T1 - Crystal structure of bis(1-phenyldecane-1,3-dionato)-copper(II), Cu(C16H21O2)2 Y1 - 1996 SN - 0044-2968 ER - TY - JOUR A1 - Schilde, Uwe A1 - Mickler, Wulfhard A1 - Uhlemann, Erhard T1 - Crystal structure of bis(1-phenyl-5-cyclohexyl-pentane-1,3-dionato-copper(II) Y1 - 1997 SN - 0044-2968 ER - TY - JOUR A1 - Uhlemann, Erhard A1 - Schilde, Uwe A1 - Banße, Wolfgang A1 - Ludwig, Eberhard T1 - Crystal structure of bis(1,3-diphenyl-1,3-dionato)oxo-vanadium(IV), C30H2205V Y1 - 1995 SN - 0044-2968 ER - TY - JOUR A1 - Wessig, Pablo A1 - Matthes, Annika A1 - Schilde, Uwe T1 - Crystal structure of 3,4-diacetyl-15,21-dioxatetracyclo- [23.4.0.02,7.06,11]nonacosa-1(29),2,4,6,8,10,25,27- octaene- 14,22-dioneùwater (1:2), C31H32O6 · 2H2O Y1 - 2010 UR - ftp://ftp.oldenbourg.de/pub/download/frei/ncs/225-4/1267-3146.pdf SN - 1433-7266 ER - TY - JOUR A1 - Schulz, Burkhard A1 - Stiller, Burkhard A1 - Zetzsche, Thomas A1 - Knochenhauer, Gerald A1 - Dietel, Reinhard A1 - Brehmer, Ludwig T1 - Crystal structure of 2,5-Di(4- methoxycarbonyl-phenyl)-1,3,4-oxadiazole characterized by AFM and IR- spectroscopy Y1 - 1994 ER - TY - JOUR A1 - Wessig, Pablo A1 - Möllnitz, Kristian A1 - Kelling, Alexandra A1 - Schilde, Uwe T1 - Crystal structure of 1r,2c,3c,4t,5t,6t-1,2,3,4,5,6-hexakis-trimethylsilanyloxy-cyclohexane, C24H60O6Si6 JF - Zeitschrift für Kristallographie : international journal for structural, physical and chemical aspects of crystalline materials ; New crystal structures N2 - C24H60O6Si6, triclinic, P (1) over bar (no. 2), a = 11.307(2) angstrom, b = 12.159(2) angstrom, = 16.576(2) angstrom, alpha = 109.47(1)degrees, beta = 94.64(1)degrees, gamma = 111.65(1)degrees, V = 1942.3 angstrom(3), Z = 2, R-gt(F) = 0.043, wR(ref)(F-2) = 0.118, T = 210 K. Y1 - 2011 U6 - https://doi.org/10.1524/ncrs.2011.0105 SN - 1433-7266 VL - 226 IS - 2 SP - 228 EP - 230 PB - De Gruyter Oldenbourg CY - München ER - TY - JOUR A1 - Peters, Karl A1 - Peters, E. M. A1 - Linker, Ursula A1 - Linker, Torsten T1 - Crystal structure of 1,1,2,2-tetramethoxycarbonylethanol, C2H(CH3OCO)(4)OH N2 - C10H14O9, monoclinic, C12/c1 (no. 15), a = 15.801(1) angstrom, b = 7.920(1) angstrom, c = 21.055(2) angstrom, beta = 101.31 (1)degrees, V = 2583.8 angstrom(3), Z = 8, R-gt(F) 0.044, wR(ref)(F-2) = 0.134, T = 293 K. Y1 - 2005 SN - 1433-7266 ER - TY - JOUR A1 - Peters, Karl A1 - Peters, E. M. A1 - Rebien, F. A1 - Maurer, M. A1 - Linker, Torsten T1 - Crystal structure of (3aS,4S,9R,9aS)-4-hydroxy-9-phenyl-3a,4,9,9a-tetra-hydro-3H-naphtho[2,3- c]furan-1- one,C18H16O3 N2 - C18H16O3, monoclinic, P12(1)/n1 (no. 14), a = 8.284(l) Angstrom, b = 9.524(l) Angstrom, c = 17.729(1) Angstrom, beta = 93.69(1)degrees, V = 1395.9 Angstrom(3), Z = 4, R-gt(F) = 0.052, wR(ref)(F-2) = 0.146, T = 293 K. Y1 - 2004 SN - 1433-7266 ER - TY - JOUR A1 - Peters, Karl A1 - Peters, E. M. A1 - Linker, Torsten T1 - Crystal structure of (1R,3S,5R)-3-hydroxy-2-methylene-6-oxabicyclo[3.2.1.]octan-7-one,C8H10O3 N2 - C8H10O3, orthorhombic, Pbca (no. 61), a = 10.592(3) Angstrom, b = 11.877(3) Angstrom, c = 36.833(9) Angstrom, V = 4633.6 Angstrom(3), Z = 24, R-gt(F) = 0.091, wR(ref)(F-2) = 0.219, T = 293 K. Y1 - 2004 SN - 1433-7266 ER - TY - JOUR A1 - Peikow, Dirk A1 - Matern, Christa-Maria A1 - Peter, Martin G. A1 - Schilde, Uwe T1 - Crystal structure of (1,4,7,10,13-pentaoxacyclopentadecane-O,O ',O '',O ''')(trifluoromethanesulfonato-O,O ')sodium, Na(C10H20O5)(CF3SO3) N2 - C11H20F3NaO8S, monoclinic, P121/nil (no. 11), a = 7.947(1) angstrom, b = 12.056(1) angstrom, c = 9.083(1) angstrom, P = 106.01 (1)degrees, V = 836.4 angstrom(3), Z = 2, R-gt(F) = 0.043, wR(ref)(F-2) = 0.120, T = 210 K. Y1 - 2005 ER - TY - JOUR A1 - Junginger, Mathias A1 - Kübel, Christian A1 - Schacher, Felix H. A1 - Müller, Axel H. E. A1 - Taubert, Andreas T1 - Crystal structure and chemical composition of biomimetric calcium phosphate nanofibers N2 - Calcium phosphate nanofibers with a diameter of only a few nanometers and a cotton-ball-like aggregate morphology have been reported several times in the literature. Although fiber formation seems reproducible in a variety of conditions, the crystal structure and chemical composition of the fibers have been elusive. Using scanning transmission electron microscopy, low dose electron (nano)diffraction, energy-dispersive X-ray spectroscopy, and energy- filtered transmission electron microscopy, we have assigned crystal structures and chemical compositions to the fibers. Moreover, we demonstrate that the mineralization process yields true polymer/calcium phosphate hybrid materials where the block copolymer template is closely associated with the calcium phosphate. Y1 - 2013 UR - http://pubs.rsc.org/en/content/articlepdf/2013/ra/c3ra23348k U6 - https://doi.org/10.1039/c3ra23348k ER - TY - JOUR A1 - Junginger, Mathias A1 - Kübel, Christian A1 - Schacher, Felix H. A1 - Müller, Axel H. E. A1 - Taubert, Andreas T1 - Crystal structure and chemical composition of biomimetic calcium phosphate nanofibers JF - RSC Advances N2 - Calcium phosphate nanofibers with a diameter of only a few nanometers and a cotton-ball-like aggregate morphology have been reported several times in the literature. Although fiber formation seems reproducible in a variety of conditions, the crystal structure and chemical composition of the fibers have been elusive. Using scanning transmission electron microscopy, low dose electron (nano) diffraction, energy-dispersive X-ray spectroscopy, and energy-filtered transmission electron microscopy, we have assigned crystal structures and chemical compositions to the fibers. Moreover, we demonstrate that the mineralization process yields true polymer/calcium phosphate hybrid materials where the block copolymer template is closely associated with the calcium phosphate. Y1 - 2013 U6 - https://doi.org/10.1039/c3ra23348k SN - 2046-2069 VL - 3 IS - 28 SP - 11301 EP - 11308 PB - Royal Society of Chemistry CY - Cambridge ER - TY - GEN A1 - Junginger, Mathias A1 - Kübel, Christian A1 - Schacher, Felix H. A1 - Müller, Axel H. E. A1 - Taubert, Andreas T1 - Crystal structure and chemical composition of biomimetic calcium phosphate nanofibers N2 - Calcium phosphate nanofibers with a diameter of only a few nanometers and a cotton-ball-like aggregate morphology have been reported several times in the literature. Although fiber formation seems reproducible in a variety of conditions, the crystal structure and chemical composition of the fibers have been elusive. Using scanning transmission electron microscopy, low dose electron (nano)diffraction, energy-dispersive X-ray spectroscopy, and energy-filtered transmission electron microscopy, we have assigned crystal structures and chemical compositions to the fibers. Moreover, we demonstrate that the mineralization process yields true polymer/calcium phosphate hybrid materials where the block copolymer template is closely associated with the calcium phosphate. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 244 KW - air-water-interface KW - polycationic monolayer KW - mineralization beneath KW - block-copolymers KW - aqueous-solution KW - morphology KW - orthophosphates KW - biomaterials KW - nucleation KW - clusters Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-95176 SP - 11301 EP - 11308 ER - TY - JOUR A1 - Wolff, Nora A1 - Klimm, Detlef A1 - Habicht, Klaus A1 - Fritsch, Katharina T1 - Crystal growth and thermodynamic investigation of Bi2M2+O4 (M = Pd, Cu) JF - CrystEngComm / The Royal Society of Chemistry N2 - Phase equilibria that are relevant for the growth of Bi2MO4 have been studied experimentally, and the ternary phase diagrams of Bi2O3-PdO2-Pd and Bi2O3-Cu2O-CuO and its isopleth section Bi2O3-CuO were redetermined. It is shown that every melting and crystallization process is always accompanied by a redox process at the phase boundary and that for both title compounds, the valence of the transition metal is lowered during melting. Vice versa, during crystal growth, O-2 must be transported through the melt to the phase boundary. Based on these new insights provided by our thermodynamic studies, Bi2CuO4 single crystals with a length of up to 7 cm and a diameter of 6 mm were grown by the OFZ technique to be used for investigations of magnetic, electronic and thermal transport properties. The grown crystals were characterized by powder X-ray diffraction, Laue, magnetization and specific heat measurements. Y1 - 2021 U6 - https://doi.org/10.1039/d1ce00220a SN - 1466-8033 VL - 23 IS - 17 SP - 3230 EP - 3238 PB - Royal Society of Chemistry CY - Cambridge ER - TY - JOUR A1 - Uhlemann, Erhard A1 - Schilde, Uwe A1 - Hefele, Heike A1 - Ludwig, Eberhard T1 - Crystal and molecular structure of 2,2'-dihydroxyazobenzene Y1 - 1994 SN - 0023-4753 ER - TY - JOUR A1 - Jaric, Ivan A1 - Heger, Tina A1 - Monzon, Federico Castro A1 - Jeschke, Jonathan M. A1 - Kowarik, Ingo A1 - McConkey, Kim R. A1 - Pysek, Petr A1 - Sagouis, Alban A1 - Essl, Franz T1 - Crypticity in Biological Invasions JF - Trends in Ecology & Evolution N2 - Ecological effects of alien species can be dramatic, but management and prevention of negative impacts are often hindered by crypticity of the species or their ecological functions. Ecological functions can change dramatically over time, or manifest after long periods of an innocuous presence. Such cryptic processes may lead to an underestimation of long-term impacts and constrain management effectiveness. Here, we present a conceptual framework of crypticity in biological invasions. We identify the underlying mechanisms, provide evidence of their importance, and illustrate this phenomenon with case studies. This framework has potential to improve the recognition of the full risks and impacts of invasive species. Y1 - 2019 U6 - https://doi.org/10.1016/j.tree.2018.12.008 SN - 0169-5347 SN - 1872-8383 VL - 34 IS - 4 SP - 291 EP - 302 PB - Elsevier CY - London ER - TY - GEN A1 - Beermann, Jan A1 - Westbury, Michael V. A1 - Hofreiter, Michael A1 - Hilgers, Leon A1 - Deister, Fabian A1 - Neumann, Hermann A1 - Raupach, Michael J. T1 - Cryptic species in a well-known habitat BT - applying taxonomics to the amphipod genus Epimeria (Crustacea, Peracarida) T2 - Postprints der Universität Potsdam : Mathematisch Naturwissenschaftliche Reihe N2 - Taxonomy plays a central role in biological sciences. It provides a communication system for scientists as it aims to enable correct identification of the studied organisms. As a consequence, species descriptions should seek to include as much available information as possible at species level to follow an integrative concept of 'taxonomics'. Here, we describe the cryptic species Epimeria frankei sp. nov. from the North Sea, and also redescribe its sister species, Epimeria cornigera. The morphological information obtained is substantiated by DNA barcodes and complete nuclear 18S rRNA gene sequences. In addition, we provide, for the first time, full mitochondrial genome data as part of a metazoan species description for a holotype, as well as the neotype. This study represents the first successful implementation of the recently proposed concept of taxonomics, using data from high-throughput technologies for integrative taxonomic studies, allowing the highest level of confidence for both biodiversity and ecological research. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 1059 KW - multiple sequence alignment KW - Oxidase Subunit-I KW - mitochondrial genome KW - control region KW - Ribosomal-RNA KW - asellota crustacea KW - gammarus crustacea KW - deep-sea KW - DNA KW - evolution Y1 - 2020 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-460792 SN - 1866-8372 IS - 1059 ER - TY - JOUR A1 - Beermann, Jan A1 - Westbury, Michael V. A1 - Hofreiter, Michael A1 - Hilgers, Leon A1 - Deister, Fabian A1 - Neumann, Hermann A1 - Raupach, Michael J. T1 - Cryptic species in a well-known habitat BT - applying taxonomics to the amphipod genus Epimeria (Crustacea, Peracarida) JF - Scientific reports N2 - Taxonomy plays a central role in biological sciences. It provides a communication system for scientists as it aims to enable correct identification of the studied organisms. As a consequence, species descriptions should seek to include as much available information as possible at species level to follow an integrative concept of 'taxonomics'. Here, we describe the cryptic species Epimeria frankei sp. nov. from the North Sea, and also redescribe its sister species, Epimeria cornigera. The morphological information obtained is substantiated by DNA barcodes and complete nuclear 18S rRNA gene sequences. In addition, we provide, for the first time, full mitochondrial genome data as part of a metazoan species description for a holotype, as well as the neotype. This study represents the first successful implementation of the recently proposed concept of taxonomics, using data from high-throughput technologies for integrative taxonomic studies, allowing the highest level of confidence for both biodiversity and ecological research. Y1 - 2018 U6 - https://doi.org/10.1038/s41598-018-25225-x SN - 2045-2322 VL - 8 PB - Nature Publ. Group CY - London ER - TY - GEN A1 - Borghini, Alessia A1 - Ferrero, Silvio A1 - O'Brien, Patrick J. A1 - Laurent, Oscar A1 - Günter, Christina A1 - Ziemann, Martin Andreas T1 - Cryptic metasomatic agent measured in situ in Variscan mantle rocks BT - Melt inclusions in garnet of eclogite, Granulitgebirge, Germany T2 - Postprints der Universität Potsdam : Mathematisch Naturwissenschaftliche Reihe N2 - Garnet of eclogite (formerly termed garnet clinopyroxenite) hosted in lenses of orogenic garnet peridotite from the Granulitgebirge, NW Bohemian Massif, contains unique inclusions of granitic melt, now either glassy or crystallized. Analysed glasses and re‐homogenized inclusions are hydrous, peraluminous, and enriched in highly incompatible elements characteristic of the continental crust such as Cs, Li, B, Pb, Rb, Th, and U. The original melt thus represents a pristine, chemically evolved metasomatic agent, which infiltrated the mantle via deep continental subduction during the Variscan orogeny. The bulk chemical composition of the studied eclogites is similar to that of Fe‐rich basalt and the enrichment in LILE and U suggest a subduction‐related component. All these geochemical features confirm metasomatism. In comparison with many other garnet+clinopyroxene‐bearing lenses in peridotites of the Bohemian Massif, the studied samples from Rubinberg and Klatschmühle are more akin to eclogite than pyroxenites, as reflected in high jadeite content in clinopyroxene, relatively low Mg, Cr, and Ni but relatively high Ti. However, trace elements of both bulk rock and individual mineral phases show also important differences making these samples rather unique. Metasomatism involving a melt requiring a trace element pattern very similar to the composition reported here has been suggested for the source region of rocks of the so‐called durbachite suite, that is, ultrapotassic melanosyenites, which are found throughout the high‐grade Variscan basement. Moreover, the Th, U, Pb, Nb, Ta, and Ti patterns of these newly studied melt inclusions (MI) strongly resemble those observed for peridotite and its enclosed pyroxenite from the T‐7 borehole (Staré, České Středhoři Mountains) in N Bohemia. This suggests that a similar kind of crustal‐derived melt also occurred here. This study of granitic MI in eclogites from peridotites has provided the first direct characterization of a preserved metasomatic melt, possibly responsible for the metasomatism of several parts of the mantle in the Variscides. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 976 KW - clinopyroxenite KW - eclogite KW - melt inclusions KW - metasomatism KW - orogenic peridotite Y1 - 2020 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-474592 SN - 1866-8372 IS - 976 SP - 207 EP - 234 ER - TY - JOUR A1 - Borghini, Alessia A1 - Ferrero, Silvio A1 - O’Brien, Patrick J. A1 - Laurent, Oscar A1 - Günter, Christina A1 - Ziemann, Martin Andreas T1 - Cryptic metasomatic agent measured in situ in Variscan mantle rocks BT - Melt inclusions in garnet of eclogite, Granulitgebirge, Germany N2 - Garnet of eclogite (formerly termed garnet clinopyroxenite) hosted in lenses of orogenic garnet peridotite from the Granulitgebirge, NW Bohemian Massif, contains unique inclusions of granitic melt, now either glassy or crystallized. Analysed glasses and re‐homogenized inclusions are hydrous, peraluminous, and enriched in highly incompatible elements characteristic of the continental crust such as Cs, Li, B, Pb, Rb, Th, and U. The original melt thus represents a pristine, chemically evolved metasomatic agent, which infiltrated the mantle via deep continental subduction during the Variscan orogeny. The bulk chemical composition of the studied eclogites is similar to that of Fe‐rich basalt and the enrichment in LILE and U suggest a subduction‐related component. All these geochemical features confirm metasomatism. In comparison with many other garnet+clinopyroxene‐bearing lenses in peridotites of the Bohemian Massif, the studied samples from Rubinberg and Klatschmühle are more akin to eclogite than pyroxenites, as reflected in high jadeite content in clinopyroxene, relatively low Mg, Cr, and Ni but relatively high Ti. However, trace elements of both bulk rock and individual mineral phases show also important differences making these samples rather unique. Metasomatism involving a melt requiring a trace element pattern very similar to the composition reported here has been suggested for the source region of rocks of the so‐called durbachite suite, that is, ultrapotassic melanosyenites, which are found throughout the high‐grade Variscan basement. Moreover, the Th, U, Pb, Nb, Ta, and Ti patterns of these newly studied melt inclusions (MI) strongly resemble those observed for peridotite and its enclosed pyroxenite from the T‐7 borehole (Staré, České Středhoři Mountains) in N Bohemia. This suggests that a similar kind of crustal‐derived melt also occurred here. This study of granitic MI in eclogites from peridotites has provided the first direct characterization of a preserved metasomatic melt, possibly responsible for the metasomatism of several parts of the mantle in the Variscides. KW - clinopyroxenite KW - eclogite KW - melt inclusions KW - metasomatism KW - orogenic peridotite Y1 - 2019 U6 - https://doi.org/10.1111/jmg.12519 SN - 1525-1314 SN - 0263-4929 VL - 38 SP - 207 EP - 234 PB - Wiley-Blackwell CY - Oxford [u.a.] ER - TY - JOUR A1 - Hengstler, Jan Georg A1 - Utesch, D. A1 - Steinberg, Pablo T1 - Cryopreserved primary hepatocytes as a constantly available in vitro model for the evaluation of human and animal drug metabolism and enzyme induction Y1 - 2000 ER - TY - JOUR A1 - Kochovski, Zdravko A1 - Chen, Guosong A1 - Yuan, Jiayin A1 - Lu, Yan T1 - Cryo-Electron microscopy for the study of self-assembled poly(ionic liquid) nanoparticles and protein supramolecular structures JF - Colloid and polymer science : official journal of the Kolloid-Gesellschaft N2 - Cryo-electron microscopy (cryo-EM) is a powerful structure determination technique that is well-suited to the study of protein and polymer self-assembly in solution. In contrast to conventional transmission electron microscopy (TEM) sample preparation, which often times involves drying and staining, the frozen-hydrated sample preparation allows the specimens to be kept and imaged in a state closest to their native one. Here, we give a short overview of the basic principles of Cryo-EM and review our results on applying it to the study of different protein and polymer self-assembled nanostructures. More specifically, we show how we have applied cryo-electron tomography (cryo-ET) to visualize the internal morphology of self-assembled poly(ionic liquid) nanoparticles and cryo-EM single particle analysis (SPA) to determine the three-dimensional (3D) structures of artificial protein microtubules. KW - self-assembly KW - poly(ionic liquid) nanoparticles KW - protein self-assembly KW - cryo-electron microscopy KW - single particle analysis KW - cryo-electron KW - tomography Y1 - 2020 U6 - https://doi.org/10.1007/s00396-020-04657-w SN - 0303-402X SN - 1435-1536 VL - 298 IS - 7 SP - 707 EP - 717 PB - Springer CY - New York ER - TY - BOOK A1 - Christians, Heiko T1 - Crux Scenica BT - eine Kulturgeschichte der Szene von Aischylos bis YouTube T3 - Metabasis ; 18 Y1 - 2016 SN - 978-3-8376-3366-5 PB - transcript CY - Bielefeld ER - TY - JOUR A1 - Noury, M. A1 - Bernet, M. A1 - Schildgen, Taylor F. A1 - Simon-Labric, T. A1 - Philippon, M. A1 - Sempere, T. T1 - Crustal-scale block tilting during Andean trench-parallel extension: Structural and geo-thermochronological insights JF - Tectonics N2 - Despite a long history of plate convergence at the western margin of the South American plate that has been ongoing since at least the Early Paleozoic, the southern Peruvian fore-arc displays little to no evidence of shortening. In the light of this observation, we assess the deformation history of the southern Peruvian fore-arc and its geodynamic implications. To accomplish this, we present a new structural and geo-thermochronological data set (zircon U-Pb, mica Ar-40/Ar-39, apatite and zircon fission-track and zircon (U-Th)/He analyses) for samples collected along a 400km long transect parallel to the trench. Our results show that the Mesoproterozoic gneissic basement was mainly at temperatures 350 degrees C since the Neoproterozoic and was later intruded by Jurassic volcanic arc plutons. Along the coast, a peculiar apatite fission-track age pattern, coupled with field observations and a synthesis of available geological maps, allows us to identify crustal-scale tilted blocks that span the coastal Peruvian fore-arc. These blocks, bounded by normal faults that are orthogonal to the trench, suggest post-60Ma trench-parallel extension that potentially accommodated oroclinal bending in this region. Block tilting is consistent with the observed and previously described switch in the location of sedimentary sources in the fore-arc basin. Our data set allows us to estimate the cumulative slip on these faults to be less than 2km and questions the large amount of trench-parallel extension suggested to have accommodated this bending. KW - Central Andes KW - Peruvian fore arc KW - thermochronology KW - trench-parallel extension KW - oroclinal bending Y1 - 2016 U6 - https://doi.org/10.1002/2016TC004231 SN - 0278-7407 SN - 1944-9194 VL - 35 SP - 2052 EP - 2069 PB - American Geophysical Union CY - Washington ER - TY - JOUR A1 - Negi, Sanjay S. A1 - Paul, Ajay A1 - Cesca, Simone A1 - Kamal, A1 - Kriegerowski, Marius A1 - Mahesh, P. A1 - Gupta, Sandeep T1 - Crustal velocity structure and earthquake processes of Garhwal-Kumaun Himalaya: Constraints from regional waveform inversion and array beam modeling JF - Tectonophysics : international journal of geotectonics and the geology and physics of the interior of the earth N2 - In order to understand present day earthquake kinematics at the Indian plate boundary, we analyse seismic broadband data recorded between 2007 and 2015 by the regional network in the Garhwal-Kumaun region, northwest Himalaya. We first estimate a local 1-D velocity model for the computation of reliable Green's functions, based on 2837 P-wave and 2680 S-wave arrivals from 251 well located earthquakes. The resulting 1-D crustal structure yields a 4-layer velocity model down to the depths of 20 km. A fifth homogeneous layer extends down to 46 km, constraining the Moho using travel-time distance curve method. We then employ a multistep moment tensor (MT) inversion algorithm to infer seismic moment tensors of 11 moderate earthquakes with Mw magnitude in the range 4.0–5.0. The method provides a fast MT inversion for future monitoring of local seismicity, since Green's functions database has been prepared. To further support the moment tensor solutions, we additionally model P phase beams at seismic arrays at teleseismic distances. The MT inversion result reveals the presence of dominant thrust fault kinematics persisting along the Himalayan belt. Shallow low and high angle thrust faulting is the dominating mechanism in the Garhwal-Kumaun Himalaya. The centroid depths for these moderate earthquakes are shallow between 1 and 12 km. The beam modeling result confirm hypocentral depth estimates between 1 and 7 km. The updated seismicity, constrained source mechanism and depth results indicate typical setting of duplexes above the mid crustal ramp where slip is confirmed along out-of-sequence thrusting. The involvement of Tons thrust sheet in out-of-sequence thrusting indicate Tons thrust to be the principal active thrust at shallow depth in the Himalayan region. Our results thus support the critical taper wedge theory, where we infer the microseismicity cluster as a result of intense activity within the Lesser Himalayan Duplex (LHD) system. KW - Critical taper wedge KW - Lesser Himalayan Duplex KW - Out-of-sequence thrust Y1 - 2017 U6 - https://doi.org/10.1016/j.tecto.2017.05.007 SN - 0040-1951 SN - 1879-3266 VL - 712 SP - 45 EP - 63 PB - Elsevier CY - Amsterdam ER - TY - JOUR A1 - Heit, Benjamin A1 - Yuan, Xiaohui A1 - Weber, Michael H. A1 - Geissler, Wolfram H. A1 - Jokat, Wilfried A1 - Lushetile, Bufelo A1 - Hoffmann, Karl-Heinz T1 - Crustal thickness and V-p/V-s ratio in NW Namibia from receiver functions: Evidence for magmatic underplating due to mantle plume-crust interaction JF - Geophysical research letters N2 - A seismological network was operated at the junction of the aseismic Walvis Ridge with the northwestern Namibian coast. We mapped crustal thickness and bulk V-p/V-s ratio by the H-k analysis of receiver functions. In the Damara Belt, the crustal thickness is similar to 35km with a V-p/V-s ratio of <1.75. The crust is similar to 30km thick at the coast in the Kaoko Belt. Strong variations in crustal thickness and V-p/V-s ratios are found at the landfall of the Walvis Ridge. Here and at similar to 150km northeast of the coast, the crustal thickness increases dramatically reaching 44km and the V-p/V-s ratios are extremely high (similar to 1.89). These anomalies are interpreted as magmatic underplating produced by the mantle plume during the breakup of Gondwana. The area affected by the plume is smaller than 300km in diameter, possibly ruling out the existence of a large plume head under the continent during the breakup. KW - crustal thickness KW - V-p KW - V-s ratios KW - magmatic underplating KW - Walvis Ridge KW - continental breakup Y1 - 2015 U6 - https://doi.org/10.1002/2015GL063704 SN - 0094-8276 SN - 1944-8007 VL - 42 IS - 9 SP - 3330 EP - 3337 PB - American Geophysical Union CY - Washington ER - TY - JOUR A1 - Mechie, James A1 - Abu-Ayyash, Khalil A1 - Ben-Avraham, Zvi A1 - El-Kelani, Radwan A1 - Qabbani, Isam A1 - Weber, Michael H. T1 - Crustal structure of the southern Dead Sea basin derived from project DESIRE wide-angle seismic data N2 - As part of the DEad Sea Integrated REsearch project (DESIRE) a 235 km long seismic wide-angle reflection/ refraction (WRR) profile was completed in spring 2006 across the Dead Sea Transform (DST) in the region of the southern Dead Sea basin (DSB). The DST with a total of about 107 km multi-stage left-lateral shear since about 18 Ma ago, accommodates the movement between the Arabian and African plates. It connects the spreading centre in the Red Sea with the Taurus collision zone in Turkey over a length of about 1 100 km. With a sedimentary infill of about 10 km in places, the southern DSB is the largest pull-apart basin along the DST and one of the largest pull-apart basins on Earth. The WRR measurements comprised 11 shots recorded by 200 three-component and 400 one-component instruments spaced 300 m to 1.2 km apart along the whole length of the E-W trending profile. Models of the P-wave velocity structure derived from the WRR data show that the sedimentary infill associated with the formation of the southern DSB is about 8.5 km thick beneath the profile. With around an additional 2 km of older sediments, the depth to the seismic basement beneath the southern DSB is about 11 km below sea level beneath the profile. Seismic refraction data from an earlier experiment suggest that the seismic basement continues to deepen to a maximum depth of about 14 km, about 10 km south of the DESIRE profile. In contrast, the interfaces below about 20 km depth, including the top of the lower crust and the Moho, probably show less than 3 km variation in depth beneath the profile as it crosses the southern DSB. Thus the Dead Sea pull-apart basin may be essentially an upper crustal feature with upper crustal extension associated with the left- lateral motion along the DST. The boundary between the upper and lower crust at about 20 km depth might act as a decoupling zone. Below this boundary the two plates move past each other in what is essentially a shearing motion. Thermo-mechanical modelling of the DSB supports such a scenario. As the DESIRE seismic profile crosses the DST about 100 km north of where the DESERT seismic profile crosses the DST, it has been possible to construct a crustal cross-section of the region before the 107 km left-lateral shear on the DST occurred. Y1 - 2009 UR - http://onlinelibrary.wiley.com/journal/10.1111/(ISSN)1365-246X U6 - https://doi.org/10.1111/j.1365-246X.2009.04161.x SN - 0956-540X ER - TY - THES A1 - Feld, Christian T1 - Crustal structure of the Eratosthenes Seamount, Cyprus and S. Turkey from an amphibian wide-angle seismic profile T1 - Die Krustenstruktur von dem Eratosthenes Seeberg, Zypern und der Süd-Türkei anhand eines amphibischen seismischen Weitwinkel Profils N2 - In March 2010, the project CoCoCo (incipient COntinent-COntinent COllision) recorded a 650 km long amphibian N-S wide-angle seismic profile, extending from the Eratosthenes Seamount (ESM) across Cyprus and southern Turkey to the Anatolian plateau. The aim of the project is to reveal the impact of the transition from subduction to continent-continent collision of the African plate with the Cyprus-Anatolian plate. A visual quality check, frequency analysis and filtering were applied to the seismic data and reveal a good data quality. Subsequent first break picking, finite-differences ray tracing and inversion of the offshore wide-angle data leads to a first-arrival tomographic model. This model reveals (1) P-wave velocities lower than 6.5 km/s in the crust, (2) a variable crustal thickness of about 28 - 37 km and (3) an upper crustal reflection at 5 km depth beneath the ESM. Two land shots on Turkey, also recorded on Cyprus, airgun shots south of Cyprus and geological and previous seismic investigations provide the information to derive a layered velocity model beneath the Anatolian plateau and for the ophiolite complex on Cyprus. The analysis of the reflections provides evidence for a north-dipping plate subducting beneath Cyprus. The main features of this layered velocity model are (1) an upper and lower crust with large lateral changes of the velocity structure and thickness, (2) a Moho depth of about 38 - 45 km beneath the Anatolian plateau, (3) a shallow north-dipping subducting plate below Cyprus with an increasing dip and (4) a typical ophiolite sequence on Cyprus with a total thickness of about 12 km. The offshore-onshore seismic data complete and improve the information about the velocity structure beneath Cyprus and the deeper part of the offshore tomographic model. Thus, the wide-angle seismic data provide detailed insights into the 2-D geometry and velocity structures of the uplifted and overriding Cyprus-Anatolian plate. Subsequent gravity modelling confirms and extends the crustal P-wave velocity model. The deeper part of the subducting plate is constrained by the gravity data and has a dip angle of ~ 28°. Finally, an integrated analysis of the geophysical and geological information allows a comprehensive interpretation of the crustal structure related to the collision process. N2 - Im März 2010 wurden im Rahmen des "CoCoCo"-Projektes ein 650km langes amphibisches, seismisches Weitwinkel Profil aufgenommen. Dieses erstreckte sich von dem Eratosthenes Seeberg (ESM) über Zypern und der Süd-Türkei bis zum anatolischen Plateau. Das Hauptziel des Projektes ist es, den Einfluss zu untersuchen, der von dem Übergang eines Subduktion Prozesses hin zu einer Kontinent-Kontinent Kollision der afrikanischen Platte mit der zyprisch-anatolischen Platte hervorgerufen wird. Die seismischen Daten wurden einer visuelle Qualitätsüberprüfung, Frequenz-Analyse und Filterung unterzogen und zeigten eine gute Qualität. Das darauf folgende Picken der Ersteinstätze, eine Finite-Differenzen Raytracing und eine Inversion der offshore Weitwinkel Daten, führte zu einem Laufzeit Tomographie Model. Das Modell zeigt (1) P-Wellengeschwindigkeiten kleiner als 6.5 km/s in der Kruste, (2) eine variable Krustenmächtigkeit von 28 - 37 km und (3) eine obere Krustenreflektion in 5 km Tiefe unter dem ESM. Zwei Landschüsse in der Türkei, ebenfalls aufgenommen auf Zypern, Luftkanonen-Schüsse südlich von Zypern und vorausgegangene geologische und seismische Untersuchungen lieferten die Grundlage, um ein geschichtetes Geschwindigkeitsmodell für das anatolische Plateau und für den Ophiolith-Komplex auf Zypern abzuleiten. Die Analyse der Reflexionen liefert den Beweis für eine nach Norden einfallende Platte welche unter Zypern subduziert. Die Hauptkennzeichen dieses geschichteten Geschwindigkeitsmodelles sind (1) eine obere und untere Kruste mit starken lateral Änderungen in Geschwindigkeit und Mächtigkeit, (2) eine Mohotiefe in 38 - 45 km unter dem anatolischen Plateau, (3) eine flach nach Norden einfallende Platte unter Zypern mit ansteigendem Einfallwinkel und (4) eine typische Ophiolith Sequenz auf Zypern mit einer Gesamtmächtigkeit von 12 km. Die seismischen offshore / onshore Daten komplettieren und verbessern die bisherigen Kenntnisse über die Geschwindigkeitsstruktur unter Zypern und des tieferen Bereiches der offshore Tomographie. Damit liefert die Weitwinkel Seismik detaillierte Einblicke in die 2-D Geometrie und die Geschwindigkeitsstrukturen der angehobenen und überlagerten zyprisch-anatolischen Platte. Die darauf folgende Gravimetrie Modellierung bestätigt und erweitert das P-Wellen Krusten-Geschwindigkeits Modell. Der tiefere Teil der subduzierten Platte, welche einen Einfallswinkel von ~ 28° hat, wurde durch die Gravimetrie Daten belegt. Letztlich erlaubt eine ganzheitliche Analyse von geophysikalischen und geologischen Informationen die umfassende Interpretation der Krustenstruktur welche in Verbindung mit dem Kollisions Prozess steht. KW - incipient continent-continent collision KW - crustal structure of the Eratosthenes Seamount KW - controlled source wide angle seismic KW - crustal structure of south central Turkey KW - Cyprus arc KW - aktive Weitewinkel-Seismik KW - Krustenstruktur des Eratosthenes Seeberges KW - beginnende Kontinent-Kontinent Kollision KW - Krustenstruktur der Süd-Türkei KW - Zypernbogen Y1 - 2014 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-73479 ER - TY - JOUR A1 - Feld, Christian A1 - Mechie, James A1 - Hübscher, Christian A1 - Hall, Jeremy A1 - Nicolaides, Stelios A1 - Gurbuz, Cemil A1 - Bauer, Klaus A1 - Louden, Keith A1 - Weber, Michael T1 - Crustal structure of the eratosthenes seamount, cyprus and S. Turkey from an amphibian wide-angle seismic profile JF - Tectonophysics : international journal of geotectonics and the geology and physics of the interior of the earth N2 - In 2010, project CoCoCo (incipient COntinent-COntinent COllision) recorded a 650 km long amphibian N-S wide-angle seismic profile, extending from the Anatolian plateau across southern Turkey and Cyprus to just south of the Eratosthenes Seamount (ESM). The aim of the project is to reveal the impact of the transition from subduction to continent-continent collision of Africa with Anatolia. Arrival picking, finite-differences ray-tracing and inversion of the offshore and on-offshore data produced a tomographic model across southern Cyprus, the accretionary wedge and the ESM. The main features of this model are (1) crustal P-velocities predominantly lower than 6.5 km/s beneath the ESM, (2) crustal thickness between 28 and 37 km, (3) an upper crustal reflection at 5 km depth beneath the ESM, (4) the likely presence of oceanic crust south of the ESM and a transform margin north of it and (5) a 12 km thick ophiolite sequence on Cyprus. Land shots on Turkey, also recorded on Cyprus, gravity data and geological and previous seismic investigations allow to derive a layered velocity model beneath Anatolia and the northern part of Cyprus. The main features of this model are (1) Moho depths of 38–45 km beneath the Anatolian plateau, (2) an upper and lower crust with large lateral changes in velocity and thickness, (3) a north-dipping subducting plate below Cyprus with a steepening of the dip-angle of the plate at about 45 km depth. Thus, the wide-angle seismic and gravity data provide detailed insights into the 2-D geometry and velocity structures associated with the Cyprus Arc collision zone. Finally, integrated analysis of the geophysics and geology allows a comprehensive interpretation of the crustal structure related to the collision process. KW - Controlled source seismology KW - Subduction zone processes KW - Continental margins: convergent KW - Crustal structure KW - Europe KW - Gravity anomalies and Earth structure Y1 - 2017 U6 - https://doi.org/10.1016/j.tecto.2017.02.003 SN - 0040-1951 SN - 1879-3266 VL - 700 SP - 32 EP - 59 PB - Elsevier CY - Amsterdam ER - TY - JOUR A1 - Mohsen, Amjad A1 - Asch, Günter A1 - Mechie, James A1 - Kind, Rainer A1 - Hofstetter, Rami A1 - Weber, Michael H. A1 - Stiller, M. A1 - Abu-Ayyash, Khalil T1 - Crustal structure of the Dead Sea Basin (DSB) from a receiver function analysis JF - Geophysical journal international N2 - The Dead Sea Transform (DST) is a major left-lateral strike-slip fault that accommodates the relative motion between the African and Arabian plates, connecting a region of extension in the Red Sea to the Taurus collision zone in Turkey over a length of about 1100 km. The Dead Sea Basin (DSB) is one of the largest basins along the DST. The DSB is a morphotectonic depression along the DST, divided into a northern and a southern sub-basin, separated by the Lisan salt diapir. We report on a receiver function study of the crust within the multidisciplinary geophysical project, DEad Sea Integrated REsearch (DESIRE), to study the crustal structure of the DSB. A temporary seismic network was operated on both sides of the DSB between 2006 October and 2008 April. The aperture of the network is approximately 60 km in the E-W direction crossing the DSB on the Lisan peninsula and about 100 km in the N-S direction. Analysis of receiver functions from the DESIRE temporary network indicates that Moho depths vary between 30 and 38 km beneath the area. These Moho depth estimates are consistent with results of near-vertical incidence and wide-angle controlled-source techniques. Receiver functions reveal an additional discontinuity in the lower crust, but only in the DSB and west of it. This leads to the conclusion that the internal crustal structure east and west of the DSB is different at the present-day. However, if the 107 km left-lateral movement along the DST is taken into account, then the region beneath the DESIRE array where no lower crustal discontinuity is observed would have lain about 18 Ma ago immediately adjacent to the region under the previous DESERT array west of the DST where no lower crustal discontinuity is recognized. KW - Transform faults KW - Crustal structure Y1 - 2011 U6 - https://doi.org/10.1111/j.1365-246X.2010.04853.x SN - 0956-540X VL - 184 IS - 1 SP - 463 EP - 476 PB - Wiley-Blackwell CY - Malden ER - TY - JOUR A1 - Meessen, Christian A1 - Sippel, Judith A1 - Scheck-Wenderoth, Magdalena A1 - Heine, C. A1 - Strecker, Manfred T1 - Crustal structure of the andean foreland in Northern Argentina BT - results from data-integrative three-dimensional density modeling JF - Journal of geophysical research : Solid earth N2 - Previous thermomechanical modeling studies indicated that variations in the temperature and strength of the crystalline crust might be responsible for the juxtaposition of domains with thin-skinned and thick-skinned crustal deformation along strike the foreland of the central Andes. However, there is no evidence supporting this hypothesis from data-integrative models. We aim to derive the density structure of the lithosphere by means of integrated 3-D density modeling, in order to provide a new basis for discussions of compositional variations within the crust and for future thermal and rheological modeling studies. Therefore, we utilize available geological and geophysical data to obtain a structural and density model of the uppermost 200km of the Earth. The derived model is consistent with the observed Bouguer gravity field. Our results indicate that the crystalline crust in northern Argentina can be represented by a lighter upper crust (2,800kg/m(3)) and a denser lower crust (3,100kg/m(3)). We find new evidence for high bulk crustal densities >3,000kg/m(3) in the northern Pampia terrane. These could originate from subducted Puncoviscana wackes or pelites that ponded to the base of the crystalline crust in the late Proterozoic or indicate increasing bulk content of mafic material. The precise composition of the northern foreland crust, whether mafic or felsic, has significant implications for further thermomechanical models and the rheological behavior of the lithosphere. A detailed sensitivity analysis of the input parameters indicates that the model results are robust with respect to the given uncertainties of the input data. KW - central Andean foreland KW - gravity modeling KW - crustal density structure Y1 - 2018 U6 - https://doi.org/10.1002/2017JB014296 SN - 2169-9313 SN - 2169-9356 VL - 123 IS - 2 SP - 1875 EP - 1903 PB - American Geophysical Union CY - Washington ER - TY - JOUR A1 - Ryberg, Trond A1 - Haberland, Christian A1 - Haberlau, Thomas A1 - Weber, Michael H. A1 - Bauer, Klaus A1 - Behrmann, Jan H. A1 - Jokat, Wilfried T1 - Crustal structure of northwest Namibia: Evidence for plume-rift-continent interaction JF - Geology N2 - The causes for the formation of large igneous provinces and hotspot trails are still a matter of considerable dispute. Seismic tomography and other studies suggest that hot mantle material rising from the core-mantle boundary (CMB) might play a significant role in the formation of such hotspot trails. An important area to verify this concept is the South Atlantic region, with hotspot trails that spatially coincide with one of the largest low-velocity regions at the CMB, the African large low shear-wave velocity province. The Walvis Ridge started to form during the separation of the South American and African continents at ca. 130 Ma as a consequence of Gondwana breakup. Here, we present the first deep-seismic sounding images of the crustal structure from the landfall area of the Walvis Ridge at the Namibian coast to constrain processes of plume-lithosphere interaction and the formation of continental flood basalts (Parana and Etendeka continental flood basalts) and associated intrusive rocks. Our study identified a narrow region (<100 km) of high-seismic-velocity anomalies in the middle and lower crust, which we interpret as a massive mafic intrusion into the northern Namibian continental crust. Seismic crustal reflection imaging shows a flat Moho as well as reflectors connecting the high-velocity body with shallow crustal structures that we speculate to mark potential feeder channels of the Etendeka continental flood basalt. We suggest that the observed massive but localized mafic intrusion into the lower crust results from similar-sized variations in the lithosphere (i.e., lithosphere thickness or preexisting structures). Y1 - 2015 U6 - https://doi.org/10.1130/G36768.1 SN - 0091-7613 SN - 1943-2682 VL - 43 IS - 8 SP - 739 EP - 742 PB - American Institute of Physics CY - Boulder ER - TY - JOUR A1 - Bai, Yongliang A1 - Dong, Dongdong A1 - Brune, Sascha A1 - Wu, Shiguo A1 - Wang, Zhenjie T1 - Crustal stretching style variations in the northern margin of the South China Sea JF - Tectonophysics : international journal of geotectonics and the geology and physics of the interior of the earth N2 - Linking deep seismic profiles with regional-scale gravity inversion is a powerful tool to deduce the architecture of rifted margins and their structural evolution. Here we map upper and lower crustal thicknesses of the northern South China Sea (SCS) margin in order to investigate the occurrence of depth-dependent crustal extension from the proximal to the distal margin. By comparing upper and lower crustal stretching factors, we find that the northern margin of the SCS is segmented in three parts: (1) sedimentary basins where upper crust is stretched more than lower crust, (2) distal margin where lower crust is stretched more than upper crust, (3) mostly proximal margin regions where the two layers have similar stretching factors. Our results suggest that sedimentary basins and distal margin prominently feature depth-dependent extension, however accommodated by different processes. While differential thinning within sedimentary basins appears to be governed by lateral pressure variations inducing lower crustal flow, we suggest the distal margin to be affected by a combination of mantle flow-induced lower crustal shearing and sequential fault activity during crustal hyper-extension. KW - Crustal stretching style KW - Lower crustal flow KW - The northern margin of the South China Sea KW - Gravity inversion KW - Sediment load KW - Divergent mantle flow Y1 - 2018 U6 - https://doi.org/10.1016/j.tecto.2018.12.012 SN - 0040-1951 SN - 1879-3266 VL - 751 SP - 1 EP - 12 PB - Elsevier CY - Amsterdam ER - TY - THES A1 - Reiter, Karsten T1 - Crustal stress variability across spatial scales - examples from Canada, Northern Switzerland and a South African gold mine T1 - Die Variabilität der krustalen Spannungen auf räumlichen unterschiedlichen Skalen – Beispiele von Kanada, der Nordschweiz und einer Südafrikanischen Goldmine N2 - The quantitative descriptions of the state of stress in the Earth’s crust, and spatial-temporal stress changes are of great importance in terms of scientific questions as well as applied geotechnical issues. Human activities in the underground (boreholes, tunnels, caverns, reservoir management, etc.) have a large impact on the stress state. It is important to assess, whether these activities may lead to (unpredictable) hazards, such as induced seismicity. Equally important is the understanding of the in situ stress state in the Earth’s crust, as it allows the determination of safe well paths, already during well planning. The same goes for the optimal configuration of the injection- and production wells, where stimulation for artificial fluid path ways is necessary. The here presented cumulative dissertation consists of four separate manuscripts, which are already published, submitted or will be submitted for peer review within the next weeks. The main focus is on the investigation of the possible usage of geothermal energy in the province Alberta (Canada). A 3-D geomechanical–numerical model was designed to quantify the contemporary 3-D stress tensor in the upper crust. For the calibration of the regional model, 321 stress orientation data and 2714 stress magnitude data were collected, whereby the size and diversity of the database is unique. A calibration scheme was developed, where the model is calibrated versus the in situ stress data stepwise for each data type and gradually optimized using statistically test methods. The optimum displacement on the model boundaries can be determined by bivariate linear regression, based on only three model runs with varying deformation ratio. The best-fit model is able to predict most of the in situ stress data quite well. Thus, the model can provide the full stress tensor along any chosen virtual well paths. This can be used to optimize the orientation of horizontal wells, which e.g. can be used for reservoir stimulation. The model confirms regional deviations from the average stress orientation trend, such as in the region of the Peace River Arch and the Bow Island Arch. In the context of data compilation for the Alberta stress model, the Canadian database of the World Stress Map (WSM) could be expanded by including 514 new data records. This publication of an update of the Canadian stress map after ~20 years with a specific focus on Alberta shows, that the maximum horizontal stress (SHmax) is oriented southwest to northeast over large areas in Northern America. The SHmax orientation in Alberta is very homogeneous, with an average of about 47°. In order to calculate the average SHmax orientation on a regular grid as well as to estimate the wave-length of stress orientation, an existing algorithm has been improved and is applied to the Canadian data. The newly introduced quasi interquartile range on the circle (QIROC) improves the variance estimation of periodic data, as it is less susceptible to its outliers. Another geomechanical–numerical model was built to estimate the 3D stress tensor in the target area ”Nördlich Lägern” in Northern Switzerland. This location, with Opalinus clay as a host rock, is a potential repository site for high-level radioactive waste. The performed modelling aims to investigate the sensitivity of the stress tensor on tectonic shortening, topography, faults and variable rock properties within the Mesozoic sedimentary stack, according to the required stability needed for a suitable radioactive waste disposal site. The majority of the tectonic stresses caused by the far-field shortening from the South are admitted by the competent rock units in the footwall and hanging wall of the argillaceous target horizon, the Upper Malm and Upper Muschelkalk. Thus, the differential stress within the host rock remains relatively low. East-west striking faults release stresses driven by tectonic shortening. The purely gravitational influence by the topography is low; higher SHmax magnitudes below topographical depression and lower values below hills are mainly observed near the surface. A complete calibration of the model is not possible, as no stress magnitude data are available for calibration, yet. The collection of this data will begin in 2015; subsequently they will be used to adjust the geomechanical–numerical model again. The third geomechanical–numerical model investigates the stress variation in an ultra-deep gold mine in South Africa. This reservoir model is spatially one order of magnitude smaller than the previous local model from Northern Switzerland. Here, the primary focus is to investigate the hypothesis that the Mw 1.9 earthquake on 27 December 2007 was induced by stress changes due to the mining process. The Coulomb failure stress change (DeltaCFS) was used to analyse the stress change. It confirmed that the seismic event was induced by static stress transfer due to the mining progress. The rock was brought closer to failure on the derived rupture plane by stress changes of up to 1.5–15MPa, in dependence of the DeltaCFS analysis type. A forward modelling of a generic excavation scheme reveals that with decreasing distance to the dyke the DeltaCFS values increase significantly. Hence, even small changes in the mining progress can have a significant impact on the seismic hazard risk, i.e. the change of the occurrence probability to induce a seismic event of economic concern. N2 - Die quantitative Beschreibung des Spannungszustandes in der Erdkruste sowie dessen räumlichzeitliche Änderung ist von großer Bedeutung für wissenschaftliche Fragestellungen, sowie für industrielle Anwendung im geotechnischen Bereich. Bei jedem Eingriff des Menschen in den Untergrund (Bohrungen, Tunnel, Kavernen, Reservoirmanagement etc.) wird der Spannungszustand verändert. Entscheidend ist dabei, ob davon möglicherweise (unvorhersehbare) Gefahren, wie zum Beispiel induzierte Seismizität ausgehen können. Genauso wichtig ist auch ein Verständnis des ungestörten Spannungszustandes in der Erdkruste, um zum Beispiel sichere Bohrlochpfade bereits in der Planungsphase zu bestimmen. Selbiges gilt für eine optimale Konfiguration von Injektions- und Produktionsbohrung, wenn künstliche Fluidwegsamkeiten stimuliert werden müssen. Die vorliegende kumulative Dissertation besteht aus vier Manuskripten, welche teilweise bereits publiziert sind. Fokus der beiden ersten Publikationen ist die potentielle Nutzung von Geothermie in der Provinz Alberta (Kanada). Dafür wurde ein 3-D-geomechanisch-numerisches Modell erstellt, das den kompletten gegenwärtigen 3-D-Spannungstensor in der oberen Erdkruste quantifiziert. Für die Kalibrierung des regionalen Modells wurde ein Datensatz von 321 Spannungsorientierungen und 2714 Spannungsmagnituden zusammengetragen, dessen Größe und Diversität einmalig ist. Aufgrund der vorhandenen Datenbasis wurde ein Kalibrierungsschema entwickelt, bei dem das Modell statistisch abgesichert an jedem einzelnen vorhandenen Datentyp schrittweise getestet und optimiert wird. Das optimale Verhältnis der Randbedingungen des Modells kann dabei durch bivariate lineare Regression, auf der Basis von nur drei Modellläufen bestimmt werden. Das Best-fit-Modell kann den Großteil der in situ Spannungsdaten sehr gut reproduzieren. So kann das Modell den 3-D-Spannungstensor entlang beliebiger virtueller Bohrlochpfade liefern, die zum Beispiel für die Planung der optimalen Orientierung horizontaler Stimulationsbohrungen genutzt werden können. Das Modell bestätigt regionale Abweichungen der Spannungsorientierung vom generellen Trend, wie z.B. in der Region des Peace River Bogens und des Bow Island Bogen. Im Zusammenhang mit der Erstellung des Alberta-Spannungsmodells wurde die Datenbank der Weltspannungskarte (WSM) in der Region Kanada um 514 neue Datensätzen erweitert und alle bestehenden Datensätze überprüft. Dies ermöglichte es nach ca. 20 Jahren, eine aktualisierte Spannungskarte für Kanada mit einem vertiefenden Fokus auf die Provinz Alberta zu publizieren. Die maximale horizontale Spannung (SHmax) in weiten Teilen Nordamerikas ist Südwest nach Nordost orientiert. Die SHmax Orientierung in Alberta ist sehr homogen, im Mittel etwa 47°. Zur Berechnung der mittleren SHmax–Orientierung auf einem regelmäßigen Gitter und zur Ableitung des Spannungsmusters dieser Orientierung wurde ein existierender Algorithmus verbessert und auf den kanadischen Datensatz angewendet. Dabei wurde der Quasi Interquartilsabstand am Kreis (QIROC) neu eingeführt, um die Varianz eines periodischen Datensatzes besser abschätzen zu können. Der modifizierte Algorithmus ist weniger anfällig gegenüber Ausreißern in periodischen Datensätzen, als der Vorgänger. Ein weiteres geomechanisch-numerisches Modell zur kontinuierlichen Beschreibung des 3-D-Spannungstensors wurde für das Gebiet „Nördlich Lägern” in der Nordschweiz erstellt. Diese Region ist ein potentieller Endlagerstandort für hochradioaktiven Abfall, eingelagert im Wirtsgestein Opalinuston. Der Fokus des Modells ist es, die Sensitivität des Spannungsfeldes von tektonischem Schub, Topographie, Störungen und den variablen Gesteinseigenschaften im mesozoischen Sedimentstapel auf den Spannungstensor zu untersuchen. Der Hauptanteil der tektonischen Spannungen, verursacht durch den Fernfeldschub von Süden, wird vor allem durch die mechanisch kompetenten Schichten im Liegenden und Hangenden des tonigen Zielhorizontes, dem Oberen Malm und dem Oberen Muschelkalk aufgenommen. Dadurch bleiben die Differenzspannungen in den tonigen Formationen relativ gering. Ost-West streichende Störungen bauen zudem Spannungen des Fernfeldes ab. Der rein gravitative Einfluss der Topographie ist gering; höhere SHmax–Magnituden unterhalb topographischer Depressionen und geringere Werte unter Anhöhen sind vor allem oberflächennah zu beobachten. Eine Kalibrierung des Modells ist nicht abschließend möglich, da im Untersuchungsgebiet keine Spannungsmagnituden zur Verfügung stehen. Diese werden erst in der nächsten Etappe der Endlagersuche, die in 2015 beginnen wird erhoben, sodass das Modell dann gegebenenfalls angepasst werden muss. Das dritte geomechanisch-numerische Modell eines Abschnitts einer tiefliegenden Goldmine in Südafrika ist räumlich gesehen nochmals eine Größenordnung kleiner als das vorherige lokale Modell in der Nordschweiz. Es wurde die Hypothese untersucht, ob das Mw 1.9 Erdbeben am 27. Dezember 2007 durch den Abbau verursacht wurde. Die Analyse der durch die Abbautätigkeit umgelagerten Spannungen unter Nutzung der Spannungsänderung des Coulomb Versagenskriteriums (DeltaCFS) zeigt klar, dass das seismische Ereignis induziert wurde. Das Gestein wurde entlang der Bruchfläche um 1.5 bis 15MPa dem Versagen näher gebracht, je nachdem welche DeltaCFS Analysemethode angewendet wird und unter Berücksichtigung der Unsicherheiten in der Orientierung der Herdflächenlösung sowie der Modellparameter. Eine Vorwärtsmodellierung eines generischen Abbauprozesses zeigt exponentiell steigende DeltaCFS–Werte mit abnehmender Distanz des Abbaus zu dem magmatischen Aufstiegskanal, in dem das Beben stattfand. Folglich haben geringe Änderungen des Abbauprozesses entscheidenden Einfluss auf die Eintretenswahrscheinlichkeit eines seismischen Ereignisses. KW - stress pattern KW - tectonic stress KW - circular statistics KW - 3D geomechanical numerical model KW - crustal stress KW - tektonische Spannungen KW - Spannungsmuster KW - krustale Spannungen KW - zirkulare Statistik KW - 3D geomechanisch-nummerische Modellierung Y1 - 2014 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-76762 ER - TY - JOUR A1 - Mechie, James A1 - Abu-Ayyash, Khalil A1 - Ben-Avraham, Zvi A1 - El-Kelani, R. A1 - Mohsen, Amjad A1 - Rumpker, Georg A1 - Saul, J. A1 - Weber, Michael H. T1 - Crustal shear velocity structure across the Dead Sea Transform from two-dimensional modelling of DESERT project explosion seismic data N2 - An analysis of the shear (S) waves recorded during the wide-angle reflection/refraction (WRR) experiment as part of the DESERT project crossing the Dead Sea Transform (DST) reveals average crustal S-wave velocities of 3.3-3.5 km s(-1) beneath the WRR profile. Together with average crustal P-wave velocities of 5.8-6.1 km s(-1) from an already published study this provides average crustal Poisson's ratios of 0.26-0.27 (V-p/V-s = 1.76-1.78) below the profile. The top two layers consisting predominantly of sedimentary rocks have S- wave velocities of 1.8-2.7kms(-1) and Poisson's ratios of 0.25-0.31 (V-p/V-s = 1.73-1.91). Beneath these two layers the seismic basement has average S- wave velocities of around 3.6 km s(-1) east of the DST and about 3.7 km s(-1) west of the DST and Poisson's ratios of 0.24-0.25 (V-p/V-s = 1.71-1.73). The lower crust has an average S-wave velocity of about 3.75 km s(-1) and an average Poisson's ratio of around 0.27 (V-p/V-s = 1.78). No Sn phase refracted through the uppermost mantle was observed. The results provide for the first time information from controlled source data on the crustal S-wave velocity structure for the region west of the DST in Israel and Palestine and agree with earlier results for the region east of the DST in the Jordanian highlands. A shear wave splitting study using SKS waves has found evidence for crustal anisotropy beneath the WRR profile while a receiver function study has found evidence for a lower crustal, high S-wave velocity layer east of the DST below the profile. Although no evidence was found in the S-wave data for either feature, the S-wave data are not incompatible with crustal anisotropy being present as the WRR profile only lies 30 degrees off the proposed symmetry axis of the anisotropy where the difference in the two S-wave velocities is still very small. In the case of the lower crustal, high S-wave velocity layer, if the velocity change at the top of this layer comprises a small first-order discontinuity underlain by a 2 km thick transition zone, instead of just a large first-order discontinuity, then both the receiver function data and the WRR data presented here can be satisfied. Finally, the S-wave velocities and Poisson's ratios which have been derived in this study are typical of continental crust and do not require extensional processes to explain them Y1 - 2005 ER - TY - JOUR A1 - Izgi, Gizem A1 - Eken, Tuna A1 - Gaebler, Peter A1 - Eulenfeld, Tom A1 - Taymaz, Tuncay T1 - Crustal seismic attenuation parameters in the western region of the North Anatolian Fault Zone JF - Journal of geodynamics N2 - Detailed knowledge of the crustal structure along the North Anatolian Fault Zone can help in understanding past and present tectonic processes in relation to the deformation history. To estimate the frequency-dependent crustal attenuation parameters beneath the western part of the North Anatolian Fault Zone we apply acoustic radiative transfer theory under the assumption of multiple isotropic scattering to generate synthetic seismogram envelopes. The inversion depends on finding an optimal fit between observed and synthetically computed coda wave envelopes in five frequency bands. 2-D lateral variation of intrinsic and scattering attenuation at various frequencies tends to three crustal blocks (i.e., Armutlu-Almacik, Istanbul-Zonguldak and Sakarya Zones) separated by the southern and northern branches of the western part of the North Anatolian Fault Zone. Overall, scattering attenuation appears to be dominant over intrinsic attenuation in the study area at lower frequencies. Relatively low attenuation properties are observed beneath the older Istanbul Zone whereas higher attenuation properties are found for the younger Sakarya Zone. The Armutlu Almacik Zone exhibits more complex lateral variations. Very high attenuation values towards the west characterize the area of the Kuzuluk Basin, a pull-apart basin formed under west-east extension. Our coda-derived moment magnitudes are similar to the local magnitude estimates that were previously calculated for the same earthquakes. For smaller earthquakes (M-L < 2.5), however, the relation between local and moment magnitudes appears to lose its coherency. This may stem from various reasons including the use of seismic data recorded in finite sampling interval, possible biases in local magnitude estimates of earthquake catalogues as well as biases due to wrong assumptions to consider anelastic attenuation terms. Y1 - 2020 U6 - https://doi.org/10.1016/j.jog.2020.101694 SN - 0264-3707 VL - 134 PB - Elsevier CY - Oxford ER - TY - JOUR A1 - Rietbrock, Andreas A1 - Scherbaum, Frank T1 - Crustal scattering at the KTB from a combined microearthquake and receiver analysis Y1 - 1998 ER - TY - JOUR A1 - Möller, Andreas A1 - Post, Nicholas J. A1 - Hensen, Bastiaan J. T1 - Crustal residence history and Gamet Sm-Nd ages of high-grade metamorphic rocks from the Windmill Islands area, East Antarctica N2 - Nd whole-rock data from the Windmill Islands area yield early Proterozoic to middle Archaean Nd model ages. These crustal residence times are consistent with regional correlations with other parts of Antarctica (Bunger Hills, Denman Glacier area) and the Albany-Fraser Orogen of south-western Australia during the Mid-Proterozoic and thus support reconstructions with a continuous Mid-Proterozoic orogen in these areas. The new Nd isotope data provide strong evidence that no age boundary exists between the higher- and lower-grade parts of the Windmill Islands area, and that the metamorphic complex represents a single terrane with a common crustal history. The data support the notion of a time- link between the occurrence of intrusive charnockites (C-type magmas) and high-grade metamorphism. The magmatic rocks and orthogneisses in the area are interpreted to have a mixed source consisting of older crustal components, i.e. older sediments (ca. 3.2-2.6 Ga) and a younger mafic component (ca. 1.9 Ga). Two garnet Sm-Nd isochrons yield ages of 1156±17 Ma and 1137±2.5 Ma and are identical to SHRIMP U-Pb results on monazite from these samples. A garnet Sm-Nd age of 1123±13 Ma for the Ford granite is significantly younger than the SHRIMP U-Pb zircon age for this sample. The difference relates to the different closure temperature of each isotopic system and is thus interpreted as initial cooling after granulite facies metamorphism. Keywords. East Antarctica - Granulites - Garnet-whole rock isochrons - Intrusive charnockite - Nd model ages Y1 - 2002 UR - http://link.springer.de/link/service/journals/00531/contents/02/00291/paper/s00531-002-0291-x.pdf ER - TY - THES A1 - Shirzaei, Manoochehr T1 - Crustal deformation source monitoring using advanced InSAR time series and time dependent inverse modeling T1 - Monitoring der Quellen von Krustendeformationen mit Hilfe modernster InSAR Zeitreihen und zeitabhängiger inverser Modellierung N2 - Crustal deformation can be the result of volcanic and tectonic activity such as fault dislocation and magma intrusion. The crustal deformation may precede and/or succeed the earthquake occurrence and eruption. Mitigating the associated hazard, continuous monitoring of the crustal deformation accordingly has become an important task for geo-observatories and fast response systems. Due to highly non-linear behavior of the crustal deformation fields in time and space, which are not always measurable using conventional geodetic methods (e.g., Leveling), innovative techniques of monitoring and analysis are required. In this thesis I describe novel methods to improve the ability for precise and accurate mapping the spatiotemporal surface deformation field using multi acquisitions of satellite radar data. Furthermore, to better understand the source of such spatiotemporal deformation fields, I present novel static and time dependent model inversion approaches. Almost any interferograms include areas where the signal decorrelates and is distorted by atmospheric delay. In this thesis I detail new analysis methods to reduce the limitations of conventional InSAR, by combining the benefits of advanced InSAR methods such as the permanent scatterer InSAR (PSI) and the small baseline subsets (SBAS) with a wavelet based data filtering scheme. This novel InSAR time series methodology is applied, for instance, to monitor the non-linear deformation processes at Hawaii Island. The radar phase change at Hawaii is found to be due to intrusions, eruptions, earthquakes and flank movement processes and superimposed by significant environmental artifacts (e.g., atmospheric). The deformation field, I obtained using the new InSAR analysis method, is in good agreement with continuous GPS data. This provides an accurate spatiotemporal deformation field at Hawaii, which allows time dependent source modeling. Conventional source modeling methods usually deal with static deformation field, while retrieving the dynamics of the source requires more sophisticated time dependent optimization approaches. This problem I address by combining Monte Carlo based optimization approaches with a Kalman Filter, which provides the model parameters of the deformation source consistent in time. I found there are numerous deformation sources at Hawaii Island which are spatiotemporally interacting, such as volcano inflation is associated to changes in the rifting behavior, and temporally linked to silent earthquakes. I applied these new methods to other tectonic and volcanic terrains, most of which revealing the importance of associated or coupled deformation sources. The findings are 1) the relation between deep and shallow hydrothermal and magmatic sources underneath the Campi Flegrei volcano, 2) gravity-driven deformation at Damavand volcano, 3) fault interaction associated with the 2010 Haiti earthquake, 4) independent block wise flank motion at the Hilina Fault system, Kilauea, and 5) interaction between salt diapir and the 2005 Qeshm earthquake in southern Iran. This thesis, written in cumulative form including 9 manuscripts published or under review in peer reviewed journals, improves the techniques for InSAR time series analysis and source modeling and shows the mutual dependence between adjacent deformation sources. These findings allow more realistic estimation of the hazard associated with complex volcanic and tectonic systems. N2 - Oberflächendeformationen können eine Folge von vulkanischen und tektonischen Aktivitäten sein, wie etwa Plattenverschiebungen oder Magmaintrusion. Die Deformation der Erdkruste kann einem Erdbeben oder einem Vulkanausbruch vorausgehen und/oder folgen. Um damit drohende Gefahren für den Menschen zu verringern, ist die kontinuierliche Beobachtung von Krustendeformationen eine wichtige Aufgabe für Erdobservatorien und Fast-Responce-Systems geworden. Auf Grund des starken nicht-linearen Verhaltens von Oberflächendeformationsgebiet in Zeit und Raum, die mit konventionellen Methoden nicht immer erfasst werden (z.B., Nivellements), sind innovative Beobachtungs- und Analysetechniken erforderlich. In dieser Dissertation beschreibe ich Methoden, welche durch Mehrfachbeobachtungen der Erdoberfläche nit satellitengestützem Radar eine präzise und akkurate Abbildung der raumzeitlichen Oberflächendeformationen ermöglichen. Um die Bildung und Entwicklung von solchen raumzeitlichen Deformationsgebieten besser zu verstehen, zeige ich weiterhin neuartige Ansätze zur statischen und zeitabhängigen Modellinversion. Radar-Interferogramme weisen häufig Gebiete auf, in denen das Phasensignal dekorreliert und durch atmosphärische Laufzeitverzögerung verzerrt ist. In dieser Arbeit beschreibe ich wie Probleme des konventionellen InSAR überwunden werden können, indem fortgeschrittene InSAR-Methoden, wie das Permanent Scatterer InSAR (PSI) und Small Baseline Subsets (SBAS), mit einer Wavelet-basierten Datenfilterung verknüpft werden. Diese neuartige Analyse von InSAR Zeitreihen wird angewendet, um zum Beispiel nicht-lineare Deformationsprozesse auf Hawaii zu überwachen. Radar-Phasenänderungen, gemessen auf der Pazifikinsel, beruhen auf Magmaintrusion, Vulkaneruption, Erdbeben und Flankenbewegungsprozessen, welche durch signifikante Artefakte (z.B. atmosphärische) überlagert werden. Mit Hilfe der neuen InSAR-Analyse wurde ein Deformationsgebiet ermittelt, welches eine gute Übereinstimmung mit kontinuierlich gemessenen GPS-Daten aufweist. Auf der Grundlage eines solchen, mit hoher Genauigkeit gemessenen, raumzeitlichen Deformationsgebiets wird für Hawaii eine zeitabhängige Modellierung der Deformationsquelle ermöglicht. Konventionelle Methoden zur Modellierung von Deformationsquellen arbeiten normalerweise mit statischen Daten der Deformationsgebiete. Doch um die Dynamik einer Deformationsquelle zu untersuchen, sind hoch entwickelte zeitabhängige Optimierungsansätze notwendig. Dieses Problem bin ich durch eine Kombination von Monte-Carlo-basierten Optimierungsansätzen mit Kalman-Filtern angegangen, womit zeitlich konsistente Modellparameter der Deformationquelle gefunden werden. Ich fand auf der Insel Hawaii mehrere, raumzeitlich interagierende Deformationsquellen, etwa Vulkaninflation verknüpft mit Kluftbildungen und Veränderungen in bestehenden Klüften sowie zeitliche Korrelationen mit stillen Erdbeben. Ich wendete die neuen Methoden auf weitere tektonisch und vulkanisch aktive Gebiete an, wo häufig die eine Interaktion der Deformationsquellen nachgewiesen werden konnte und ihrer bedeutung untersucht wurde. Die untersuchten Gebiete und Deformationsquellen sind 1) tiefe und oberflächliche hydrothermale und magmatische Quellen unterhalb des Campi Flegrei Vulkans, 2) gravitationsbedingte Deformationen am Damawand Vulkan, 3) Störungsdynamik in Verbindung mit dem Haiti Beben im Jahr 2010, 4) unabhängige blockweise Flankenbewegung an der Hilina Störungszone, und 5) der Einfluss eines Salzdiapirs auf das Qeshm Erdbeben im Süd-Iran im Jahr 2005. Diese Dissertation, geschrieben als kumulative Arbeit von neun Manuskripten, welche entweder veröffentlicht oder derzeit in Begutachtung bei ‘peer-review’ Zeitschriften sind, technische Verbesserungen zur Analyse von InSAR Zeitreihen vor sowie zur Modellierung von Deformationsquellen. Sie zeigt die gegenseitige Beeinflussung von benachbarten Deformationsquellen, und sie ermöglicht, realistischere Einschätzungen von Naturgefahren, die von komplexen vulkanischen und tektonischen Systemen ausgehen. KW - InSAR KW - Vulkan KW - Erdbeben KW - inverse Modellierung KW - InSAR KW - Vulcano KW - earthquake KW - inverse modeling Y1 - 2010 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-50774 ER - TY - CHAP A1 - Spahn, Hannah T1 - Cruel war against human nature itself BT - Krieg und Kosmopolitismus in der amerikanischen Revolution T2 - Krieg und Frieden im 18. Jahrhundert : kulturgeschichtliche Studien Y1 - 2015 SN - 978-3-86525-424-5 SP - 331 EP - 346 PB - Wehrhahn CY - Göttingen ER - TY - JOUR A1 - Zhivkova, Veselina A1 - Kiecker, Felix A1 - Langer, Peter A1 - Eberle, Jürgen T1 - Crucial role of reactive oxygen species (ROS) for the proapoptotic effects of indirubin derivative DKP-073 in melanoma cells JF - Molecular carcinogenesis N2 - Melanoma represents a prime example demonstrating the success of targeted therapy in cancer. Nevertheless, it remained a deadly disease until now, and the identification of new, independent strategies as well as the understanding of their molecular mechanisms may help to finally overcome the high mortality. Both indirubins and TNF-related apoptosis-inducing ligand (TRAIL) represent promising candidates. Here, the indirubin derivative DKP-073 is shown to trigger apoptosis in melanoma cells, which is enhanced by the combination with TRAIL and is accompanied by complete loss of cell viability. Addressing the signaling cascade, characteristic molecular steps were identified as caspase-3 activation, downregulation of XIAP, upregulation of p53 and TRAIL receptor 2, loss of mitochondrial membrane potential, and STAT-3 dephosphorylation. The decisive step, however, turned out to be the early production of ROS already at 1 h. This was proven by antioxidant pretreatment, which completely abolished apoptosis induction and loss of cell viability as well as abrogated all signaling effects listed above. Thus, ROS appeared as upstream of all proapoptotic signaling. The data indicate a dominant role of ROS in apoptosis regulation, and the new pathway may expose a possible Achilles heel of melanoma. KW - apoptosis KW - kinase pathway KW - melanoma KW - stat 3 Y1 - 2018 U6 - https://doi.org/10.1002/mc.22924 SN - 0899-1987 SN - 1098-2744 VL - 58 IS - 2 SP - 258 EP - 269 PB - Wiley CY - Hoboken ER - TY - JOUR A1 - Comber, Alexis A1 - Mooney, Peter A1 - Purves, Ross S. A1 - Rocchini, Duccio A1 - Walz, Ariane T1 - Crowdsourcing: It Matters Who the Crowd Are. The Impacts of between Group Variations in Recording Land Cover JF - PLoS one N2 - Volunteered geographical information (VGI) and citizen science have become important sources data for much scientific research. In the domain of land cover, crowdsourcing can provide a high temporal resolution data to support different analyses of landscape processes. However, the scientists may have little control over what gets recorded by the crowd, providing a potential source of error and uncertainty. This study compared analyses of crowdsourced land cover data that were contributed by different groups, based on nationality (labelled Gondor and Non-Gondor) and on domain experience (labelled Expert and Non-Expert). The analyses used a geographically weighted model to generate maps of land cover and compared the maps generated by the different groups. The results highlight the differences between the maps how specific land cover classes were under-and over-estimated. As crowdsourced data and citizen science are increasingly used to replace data collected under the designed experiment, this paper highlights the importance of considering between group variations and their impacts on the results of analyses. Critically, differences in the way that landscape features are conceptualised by different groups of contributors need to be considered when using crowdsourced data in formal scientific analyses. The discussion considers the potential for variation in crowdsourced data, the relativist nature of land cover and suggests a number of areas for future research. The key finding is that the veracity of citizen science data is not the critical issue per se. Rather, it is important to consider the impacts of differences in the semantics, affordances and functions associated with landscape features held by different groups of crowdsourced data contributors. Y1 - 2016 U6 - https://doi.org/10.1371/journal.pone.0158329 SN - 1932-6203 VL - 11 PB - PLoS CY - San Fransisco ER - TY - GEN A1 - Comber, Alexis A1 - Mooney, Peter A1 - Purves, Ross S. A1 - Rocchini, Duccio A1 - Walz, Ariane T1 - Crowdsourcing: it matters who the crowd are BT - the impacts of between group variations in recording land cover T2 - Postprints der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe N2 - Volunteered geographical information (VGI) and citizen science have become important sources data for much scientific research. In the domain of land cover, crowdsourcing can provide a high temporal resolution data to support different analyses of landscape processes. However, the scientists may have little control over what gets recorded by the crowd, providing a potential source of error and uncertainty. This study compared analyses of crowdsourced land cover data that were contributed by different groups, based on nationality (labelled Gondor and Non-Gondor) and on domain experience (labelled Expert and Non-Expert). The analyses used a geographically weighted model to generate maps of land cover and compared the maps generated by the different groups. The results highlight the differences between the maps how specific land cover classes were under-and over-estimated. As crowdsourced data and citizen science are increasingly used to replace data collected under the designed experiment, this paper highlights the importance of considering between group variations and their impacts on the results of analyses. Critically, differences in the way that landscape features are conceptualised by different groups of contributors need to be considered when using crowdsourced data in formal scientific analyses. The discussion considers the potential for variation in crowdsourced data, the relativist nature of land cover and suggests a number of areas for future research. The key finding is that the veracity of citizen science data is not the critical issue per se. Rather, it is important to consider the impacts of differences in the semantics, affordances and functions associated with landscape features held by different groups of crowdsourced data contributors. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 539 KW - volunteered geographic information KW - citizen science KW - categories KW - landscape KW - accuracy KW - ontology KW - internet Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-410894 SN - 1866-8372 IS - 539 ER - TY - JOUR A1 - Thim, Christof A1 - Ullrich, André A1 - Eigelshoven, Felix A1 - Gronau, Norbert A1 - Ritter, Ann-Carolin T1 - Crowdsourcing bei industriellen Innovationen T1 - Crowdsourcing for industrial innovations BT - Lösungsansätze und Herausforderung für KMU BT - solutions and challenges for SMEs JF - Industrie 4.0 Management : Gegenwart und Zukunft industrieller Geschäftsprozesse N2 - Die Innovationstätigkeit im industriellen Umfeld verlagert sich durch die Digitalisierung hin zu Produkt-Service-Systemen. Kleine und mittlere Unternehmen haben sich in ihrer Entwicklungstätigkeit bisher stark auf die Produktentwicklung bezogen. Der Umstieg auf „smarte“ Produkte und die Kopplung an Dienstleistungen erfordert häufig personelle und finanzielle Ressourcen, welche KMU nicht aufbringen können. Crowdsourcing stellt eine Möglichkeit dar, den Innovationsprozess für externe Akteure zu öffnen und Kosten- sowie Geschwindigkeitsvorteile zu realisieren. Bei der Integration von Crowdsourcing-Elementen ist jedoch einigen Herausforderungen zu begegnen. Dieser Beitrag zeigt sowohl die Potenziale als auch die Barrieren einer Crowdsourcing-Nutzung im industriellen Umfeld auf. N2 - Innovation activity in the industrial environment is shifting towards product-service systems as a result of digitalisation. Small and medium-sized enterprises have so far focused their development activities strongly on product development. The switch to “smart” products and the coupling to services often requires personnel and financial resources that SMEs cannot provide. Crowdsourcing is one way of opening up the innovation process to external actors and realising cost and speed advantages. However, the integration of crowdsourcing elements faces several challenges. This article shows both the potentials and the barriers of crowdsourcing in the industrial environment. KW - Crowdsourcing KW - industrielle Innovationen KW - KMU KW - industrial innovation KW - SMEs Y1 - 2020 U6 - https://doi.org/10.30844/I40M_20-6_S9-13 SN - 2364-9208 VL - 36 IS - 6 SP - 9 EP - 13 PB - GITO mbH Verlag CY - Berlin ER - TY - THES A1 - Schulz, Jan T1 - Crowdinvesting BT - Zivilrechtliche Einordnung, aufsichtsrechtliche Anforderungen und steuerliche Aspekte T2 - Steuerrecht im Rechtsstaat ; 3 N2 - Finanzierung durch den Schwarm Crowdinvesting - auch bekannt als Schwarmfinanzierung - hat in den letzten Jahren deutlich an Relevanz gewonnen. Crowdinvesting bietet Startup- und Wachstumsunternehmen aber auch Entwicklern von Immobilienprojekten eine echte Alternative zum klassischen Bankdarlehen. Hierbei rufen die Unternehmen über das Internet zur Finanzierung auf und eine Vielzahl von Kleinanlegern und Business Angels können sich mit kleinen oder großen Beträgen an der Finanzierung beteiligen. Das Werk beleuchtet dabei grundlegende Fragen wie: - Ist Crowdinvesting dasselbe wie Crowdfunding? Gibt es noch weitere Formen der Schwarmfinanzierung? - Welche Vorteile und Rechte erhalten die Anleger beim Crowdinvesting? - Welche gesetzlichen Rahmenbedingungen gelten für Crowdinvesting-Finanzierungen? - Gibt es Bestrebungen für einen EU-weit einheitlichen Rechtsrahmen? - Wie sind Einkünfte aus einer Crowdinvesting-Finanzierung zu versteuern? Muss Umsatzsteuer abgeführt werden? Klar strukturiert und verständlich formuliert Das Werk bietet dem Leser eine umfassende Darstellung zum Begriff des Crowdinvesting und Abgrenzung von ähnlichen Schwarmfinanzierungen. Darüber hinaus werden die rechtlichen Beziehungen der verschiedenen Beteiligten beim Crowdinvesting zivilrechtlich eingeordnet. Anschließend wird der aktuelle aufsichtsrechtliche Rahmen des Crowdinvesting dargestellt und kritisch anhand ökonomischer Theorien (insb. Erkenntnisse der behavioral finance) hinterfragt sowie auf seine verfassungsrechtliche Zulässigkeit untersucht. Auch die aktuellen Entwicklungen eines europäischen Rechtsrahmens für Crowdinvesting werden diskutiert. Abschließend gibt das Werk Antworten auf ertrags- und umsatzsteuerliche Fragen. Vorteile auf einen Blick - umfassende Darstellung eines aktuellen und (volks-)wirtschaftlich relevanten Themas - Nachschlagewerk für zivilrechtliche, aufsichtsrechtliche und steuerliche Fragestellungen beim Crowdinvesting - auch ohne Vorkenntnisse gut verständlich Zielgruppe Für Rechtsanwälte, Unternehmen, Wissenschaftler, Betriebs- und Volkswirte sowie alle am Thema Schwarmfinanzierung Interessierte. Y1 - 2020 SN - 978-3-406-74413-6 PB - Beck CY - München ER - TY - THES A1 - Kamann, Sebastian T1 - Crowded field spectroscopy and the search for intermediate-mass black holes in globular clusters T1 - Spektroskopie dichter Sternfelder und die Suche nach mittelschweren schwarzen Löchern in Kugelsternhaufen N2 - Globular clusters are dense and massive star clusters that are an integral part of any major galaxy. Careful studies of their stars, a single cluster may contain several millions of them, have revealed that the ages of many globular clusters are comparable to the age of the Universe. These remarkable ages make them valuable probes for the exploration of structure formation in the early universe or the assembly of our own galaxy, the Milky Way. A topic of current research relates to the question whether globular clusters harbour massive black holes in their centres. These black holes would bridge the gap from stellar mass black holes, that represent the final stage in the evolution of massive stars, to supermassive ones that reside in the centres of galaxies. For this reason, they are referred to as intermediate-mass black holes. The most reliable method to detect and to weigh a black hole is to study the motion of stars inside its sphere of influence. The measurement of Doppler shifts via spectroscopy allows one to carry out such dynamical studies. However, spectroscopic observations in dense stellar fields such as Galactic globular clusters are challenging. As a consequence of diffraction processes in the atmosphere and the finite resolution of a telescope, observed stars have a finite width characterized by the point spread function (PSF), hence they appear blended in crowded stellar fields. Classical spectroscopy does not preserve any spatial information, therefore it is impossible to separate the spectra of blended stars and to measure their velocities. Yet methods have been developed to perform imaging spectroscopy. One of those methods is integral field spectroscopy. In the course of this work, the first systematic study on the potential of integral field spectroscopy in the analysis of dense stellar fields is carried out. To this aim, a method is developed to reconstruct the PSF from the observed data and to use this information to extract the stellar spectra. Based on dedicated simulations, predictions are made on the number of stellar spectra that can be extracted from a given data set and the quality of those spectra. Furthermore, the influence of uncertainties in the recovered PSF on the extracted spectra are quantified. The results clearly show that compared to traditional approaches, this method makes a significantly larger number of stars accessible to a spectroscopic analysis. This systematic study goes hand in hand with the development of a software package to automatize the individual steps of the data analysis. It is applied to data of three Galactic globular clusters, M3, M13, and M92. The data have been observed with the PMAS integral field spectrograph at the Calar Alto observatory with the aim to constrain the presence of intermediate-mass black holes in the centres of the clusters. The application of the new analysis method yields samples of about 80 stars per cluster. These are by far the largest spectroscopic samples that have so far been obtained in the centre of any of the three clusters. In the course of the further analysis, Jeans models are calculated for each cluster that predict the velocity dispersion based on an assumed mass distribution inside the cluster. The comparison to the observed velocities of the stars shows that in none of the three clusters, a massive black hole is required to explain the observed kinematics. Instead, the observations rule out any black hole in M13 with a mass higher than 13000 solar masses at the 99.7% level. For the other two clusters, this limit is at significantly lower masses, namely 2500 solar masses in M3 and 2000 solar masses in M92. In M92, it is possible to lower this limit even further by a combined analysis of the extracted stars and the unresolved stellar component. This component consists of the numerous stars in the cluster that appear unresolved in the integral field data. The final limit of 1300 solar masses is the lowest limit obtained so far for a massive globular cluster. N2 - Kugelsternhaufen sind dichte, gravitativ gebundene Ansammlungen von teilweise mehreren Millionen Sternen, die ein fester Bestandteil jeder massiven Galaxie sind. Aus der Untersuchung der Kugelsternhaufen in der Milchstraße weiß man, dass das Alter von vielen dieser Objekte vergleichbar ist mit jenem des Universums. Dies macht sie zu wertvollen Forschungsobjekten, beispielsweise um die Entstehung der Milchstraße und die Strukturbildung im frühen Universum zu verstehen. Eine aktuelle wissenschaftliche Fragestellung befasst sich damit, ob Kugelsternhaufen massive schwarze Löcher beherbergen. Diese würden eine Brücke schlagen von den stellaren schwarzen Löchern, die durch den Kollaps massereicher Sterne entstehen, zu den supermassiven schwarzen Löchern, welche man in den Zentren massiver Galaxien beobachtet. Man bezeichnet sie daher auch als mittelschwere schwarze Löcher. Die sicherste Diagnostik, um schwarze Löcher zu detektieren und ihre Masse zu bestimmen ist, die Bewegung der Sterne innerhalb ihrer gravitativen Einflusssphäre zu vermessen. Spektroskopische Untersuchungen vermögen dies über die Dopplerverschiebung von Spektrallinien, sind jedoch in dichten stellaren Feldern wie Kugelsternhaufen schwierig. Aufgrund der Turbulenz in der Atmosphäre und dem endlichen Auflösungsvermögen des Teleskops erscheinen die Sterne in den Beobachtungen nicht punktförmig, sondern mit einer durch die Punktspreizfunktion (PSF) gegebenen Breite. In dichten stellaren Feldern führt dies dazu, dass die Sterne überlappen. Da klassische spektroskopische Verfahren nicht bildgebend sind, lassen sich die Beiträge der Einzelsterne zu einem beobachteten Spektrum nicht trennen und die Geschwindigkeiten der Sterne können nicht vermessen werden. Bildgebende spektroskopische Verfahren, wie etwa die Integralfeld-Spektroskopie, bieten jedoch die Möglichkeit, die PSF zu rekonstruieren und basierend darauf die Spektren überlappender Sterne zu trennen. Im Rahmen der vorgelegten Arbeit wird das Potential der Integralfeld-Spektroskopie in der Beobachtung dichter stellarer Felder zum ersten Mal systematisch analysiert. Hierzu wird eine Methodik entwickelt, die das Extrahieren von Einzelsternspektren über eine Rekonstruktion der PSF aus den vorhandenen Daten erlaubt. Anhand von Simulationen werden Voraussagen darüber gemacht, wie viele Sternspektren aus einem gegebenen Datensatz extrahiert werden können, welche Qualität diese Spektren haben und wie sich Ungenauigkeiten in der rekonstruierten PSF auf die Analyse auswirken. Es zeigt sich hierbei, dass die entwickelte Methodik die spektroskopische Analyse von deutlich mehr Sternen erlaubt als klassische Verfahren. Parallel zu dieser systematischen Studie erfolgt die Entwicklung einer dezidierten Analysesoftware, welche im zweiten Teil der Arbeit auf Daten von drei Kugelsternhaufen angewendet wird, die mit dem PMAS Integralfeld-Spektrographen am Calar Alto Observatorium aufgenommen wurden: M3, M13 und M92. Die Auswertung dieser Daten liefert Spektren für eine Stichprobe von ungefähr 80 Sternen pro Kugelsternhaufen, weit mehr als bisher im Zentrum eines der drei Haufen verfügbar waren. In der weiteren Analyse werden Jeans Modelle für jedes der drei Objekte gerechnet. Diese erlauben basierend auf einer angenommenen Massenverteilung innerhalb des Kugelsternhaufens eine Vorhersage der Geschwindigkeitsdispersion der Sterne. Der Vergleich mit den gemessenen Geschwindigkeiten zeigt, dass in keinem der drei Haufen ein schwarzes Loch benötigt wird, um die Dynamik der zentrumsnahen Sterne zu erklären. Im Gegenteil, die Beobachtungen können zu 99,7-prozentiger Sicherheit ausschließen, dass sich in M13 ein schwarzes Loch mit einer Masse größer 13000 Sonnenmassen befindet. In den anderen beiden Haufen liegt diese Grenze noch bei deutlich geringeren Massen, nämlich bei 2500 Sonnenmassen in M3 und 2000 Sonnenmassen in M92. In M92 ist es außerdem möglich, das Limit noch weiter herabzusetzen durch eine zusätzliche Analyse der unaufgelösten stellaren Komponente. Diese Komponente besteht aus dem integrierten Licht all jener Sterne, die zu schwach und zahlreich sind als dass sie aus den verfügbaren Daten einzeln extrahiert werden könnten. Das endgültige Limit von 1300 Sonnenmassen ist das geringste, welches bisher in einem massiven Kugelsternhaufen gemessen wurde. KW - Kugelsternhaufen KW - Sterndynamik KW - Physik schwarzer Löcher KW - Integralfeld-Spektroskopie KW - PSF Analyse KW - globular clusters KW - stellar dynamics KW - black hole physics KW - integral field spectroscopy KW - PSF fitting Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-67763 ER - TY - GEN A1 - Schwarz, Maria A1 - Lossow, Kristina A1 - Kopp, Johannes F. A1 - Schwerdtle, Tanja A1 - Kipp, Anna Patricia T1 - Crosstalk of Nrf2 with the Trace Elements Selenium, Iron, Zinc, and Copper T2 - Postprints der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe N2 - Trace elements, like Cu, Zn, Fe, or Se, are important for the proper functioning of antioxidant enzymes. However, in excessive amounts, they can also act as pro-oxidants. Accordingly, trace elements influence redox-modulated signaling pathways, such as the Nrf2 pathway. Vice versa, Nrf2 target genes belong to the group of transport and metal binding proteins. In order to investigate whether Nrf2 directly regulates the systemic trace element status, we used mice to study the effect of a constitutive, whole-body Nrf2 knockout on the systemic status of Cu, Zn, Fe, and Se. As the loss of selenoproteins under Se-deprived conditions has been described to further enhance Nrf2 activity, we additionally analyzed the combination of Nrf2 knockout with feeding diets that provide either suboptimal, adequate, or supplemented amounts of Se. Experiments revealed that the Nrf2 knockout partially affected the trace element concentrations of Cu, Zn, Fe, or Se in the intestine, liver, and/or plasma. However, aside from Fe, the other three trace elements were only marginally modulated in an Nrf2-dependent manner. Selenium deficiency mainly resulted in increased plasma Zn levels. One putative mediator could be the metal regulatory transcription factor 1, which was up-regulated with an increasing Se supply and downregulated in Se-supplemented Nrf2 knockout mice. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 1081 KW - Nrf2 KW - selenium KW - iron KW - copper KW - zinc KW - homeostasis Y1 - 2021 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-472873 SN - 1866-8372 IS - 1081 ER - TY - JOUR A1 - Schwarz, Maria A1 - Lossow, Kristina A1 - Kopp, Johannes Florian A1 - Schwerdtle, Tanja A1 - Kipp, Anna Patricia T1 - Crosstalk of Nrf2 with the Trace Elements Selenium, Iron, Zinc, and Copper JF - Nutrients N2 - Trace elements, like Cu, Zn, Fe, or Se, are important for the proper functioning of antioxidant enzymes. However, in excessive amounts, they can also act as pro-oxidants. Accordingly, trace elements influence redox-modulated signaling pathways, such as the Nrf2 pathway. Vice versa, Nrf2 target genes belong to the group of transport and metal binding proteins. In order to investigate whether Nrf2 directly regulates the systemic trace element status, we used mice to study the effect of a constitutive, whole-body Nrf2 knockout on the systemic status of Cu, Zn, Fe, and Se. As the loss of selenoproteins under Se-deprived conditions has been described to further enhance Nrf2 activity, we additionally analyzed the combination of Nrf2 knockout with feeding diets that provide either suboptimal, adequate, or supplemented amounts of Se. Experiments revealed that the Nrf2 knockout partially affected the trace element concentrations of Cu, Zn, Fe, or Se in the intestine, liver, and/or plasma. However, aside from Fe, the other three trace elements were only marginally modulated in an Nrf2-dependent manner. Selenium deficiency mainly resulted in increased plasma Zn levels. One putative mediator could be the metal regulatory transcription factor 1, which was up-regulated with an increasing Se supply and downregulated in Se-supplemented Nrf2 knockout mice. KW - Nrf2 KW - selenium KW - iron KW - copper KW - zinc KW - homeostasis Y1 - 2019 U6 - https://doi.org/10.3390/nu11092112 SN - 2072-6643 VL - 11 IS - 9 PB - MDPI CY - Basel ER - TY - THES A1 - Artins, Anthony T1 - Crosstalk between Target Of Rapamycin (TOR) and sugar signaling in Arabidopsis thaliana Y1 - 2023 ER - TY - JOUR A1 - Edlich, Alexander A1 - Volz, Pierre A1 - Brodwolf, Robert A1 - Unbehauen, Michael A1 - Mundhenk, Lars A1 - Gruber, Achim D. A1 - Hedtrich, Sarah A1 - Haag, Rainer A1 - Alexiev, Ulrike A1 - Kleuser, Burkhard T1 - Crosstalk between core-multishell nanocarriers for cutaneous drug delivery and antigen-presenting cells of the skin JF - Biomaterials : biomaterials reviews online N2 - Owing their unique chemical and physical properties core-multishell (CMS) nanocarriers are thought to underlie their exploitable biomedical use for a topical treatment of skin diseases. This highlights the need to consider not only the efficacy of CMS nanocarriers but also the potentially unpredictable and adverse consequences of their exposure thereto. As CMS nanocarriers are able to penetrate into viable layers of normal and stripped human skin ex vivo as well as in in vitro skin disease models the understanding of nanoparticle crosstalk with components of the immune system requires thorough investigation. Our studies highlight the biocompatible properties of CMS nanocarriers on Langerhans cells of the skin as they did neither induce cytotoxicity and genotoxicity nor cause reactive oxygen species (ROS) or an immunological response. Nevertheless, CMS nanocarriers were efficiently taken up by Langerhans cells via divergent endocytic pathways. Bioimaging of CMS nanocarriers by fluorescence lifetime imaging microscopy (FLIM) and flow cytometry indicated not only a localization within the lysosomes but also an energy-dependent exocytosis of unmodified CMS nanocarriers into the extracellular environment. (C) 2018 Elsevier Ltd. All rights reserved. KW - Core-multishell nanocarriers KW - Fluorescence lifetime imaging microscopy KW - Langerhans cells KW - Nanoparticle uptake KW - Nanotoxicology Y1 - 2018 U6 - https://doi.org/10.1016/j.biomaterials.2018.01.058 SN - 0142-9612 SN - 1878-5905 VL - 162 SP - 60 EP - 70 PB - Elsevier CY - Oxford ER - TY - JOUR A1 - Molina-Garcia, Daniel A1 - Sandev, Trifce A1 - Safdari, Hadiseh A1 - Pagnini, Gianni A1 - Chechkin, Aleksei V. A1 - Metzler, Ralf T1 - Crossover from anomalous to normal diffusion BT - truncated power-law noise correlations and applications to dynamics in lipid bilayers JF - New Journal of Physics N2 - Abstract The emerging diffusive dynamics in many complex systems show a characteristic crossover behaviour from anomalous to normal diffusion which is otherwise fitted by two independent power-laws. A prominent example for a subdiffusive–diffusive crossover are viscoelastic systems such as lipid bilayer membranes, while superdiffusive–diffusive crossovers occur in systems of actively moving biological cells. We here consider the general dynamics of a stochastic particle driven by so-called tempered fractional Gaussian noise, that is noise with Gaussian amplitude and power-law correlations, which are cut off at some mesoscopic time scale. Concretely we consider such noise with built-in exponential or power-law tempering, driving an overdamped Langevin equation (fractional Brownian motion) and fractional Langevin equation motion. We derive explicit expressions for the mean squared displacement and correlation functions, including different shapes of the crossover behaviour depending on the concrete tempering, and discuss the physical meaning of the tempering. In the case of power-law tempering we also find a crossover behaviour from faster to slower superdiffusion and slower to faster subdiffusion. As a direct application of our model we demonstrate that the obtained dynamics quantitatively describes the subdiffusion–diffusion and subdiffusion–subdiffusion crossover in lipid bilayer systems. We also show that a model of tempered fractional Brownian motion recently proposed by Sabzikar and Meerschaert leads to physically very different behaviour with a seemingly paradoxical ballistic long time scaling. KW - anomalous diffusion KW - truncated power-law correlated noise KW - lipid bilayer membrane dynamics Y1 - 2018 U6 - https://doi.org/10.1088/1367-2630/aae4b2 SN - 1367-2630 VL - 20 PB - IOP Publishing Ltd CY - London und Bad Honnef ER - TY - GEN A1 - Molina-Garcia, Daniel A1 - Sandev, Trifce A1 - Safdari, Hadiseh A1 - Pagnini, Gianni A1 - Chechkin, Aleksei V. A1 - Metzler, Ralf T1 - Crossover from anomalous to normal diffusion BT - truncated power-law noise correlations and applications to dynamics in lipid bilayers T2 - Postprints der Universität Potsdam Mathematisch-Naturwissenschaftliche Reihe N2 - Abstract The emerging diffusive dynamics in many complex systems show a characteristic crossover behaviour from anomalous to normal diffusion which is otherwise fitted by two independent power-laws. A prominent example for a subdiffusive–diffusive crossover are viscoelastic systems such as lipid bilayer membranes, while superdiffusive–diffusive crossovers occur in systems of actively moving biological cells. We here consider the general dynamics of a stochastic particle driven by so-called tempered fractional Gaussian noise, that is noise with Gaussian amplitude and power-law correlations, which are cut off at some mesoscopic time scale. Concretely we consider such noise with built-in exponential or power-law tempering, driving an overdamped Langevin equation (fractional Brownian motion) and fractional Langevin equation motion. We derive explicit expressions for the mean squared displacement and correlation functions, including different shapes of the crossover behaviour depending on the concrete tempering, and discuss the physical meaning of the tempering. In the case of power-law tempering we also find a crossover behaviour from faster to slower superdiffusion and slower to faster subdiffusion. As a direct application of our model we demonstrate that the obtained dynamics quantitatively describes the subdiffusion–diffusion and subdiffusion–subdiffusion crossover in lipid bilayer systems. We also show that a model of tempered fractional Brownian motion recently proposed by Sabzikar and Meerschaert leads to physically very different behaviour with a seemingly paradoxical ballistic long time scaling. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 507 KW - anomalous diffusion KW - truncated power-law correlated noise KW - lipid bilayer membrane dynamics Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-422590 SN - 1866-8372 IS - 507 ER - TY - JOUR A1 - Awad, Emad A1 - Metzler, Ralf T1 - Crossover dynamics from superdiffusion to subdiffusion BT - models and solutions JF - Fractional calculus and applied analysis : an international journal for theory and applications N2 - The Cattaneo or telegrapher's equation describes the crossover from initial ballistic to normal diffusion. Here we study and survey time-fractional generalisations of this equation that are shown to produce the crossover of the mean squared displacement from superdiffusion to subdiffusion. Conditional solutions are derived in terms of Fox H-functions and the dth-order moments as well as the diffusive flux of the different models are derived. Moreover, the concept of the distribution-like is proposed as an alternative to the probability density function. KW - Cattaneo equation KW - telegrapher's equation KW - crossover dynamics KW - fractional dynamic equations KW - anomalous diffusion KW - superdiffusion and KW - subdiffusion KW - Fox H-functions Y1 - 2020 U6 - https://doi.org/10.1515/fca-2020-0003 SN - 1311-0454 SN - 1314-2224 VL - 23 IS - 1 SP - 55 EP - 102 PB - De Gruyter CY - Berlin ; Boston ER - TY - GEN A1 - Rolfs, Martin A1 - Engbert, Ralf A1 - Kliegl, Reinhold T1 - Crossmodal coupling of oculomotor controland spatial attention in vision and audition N2 - Fixational eye movements occur involuntarily during visual fixation of stationary scenes. The fastest components of these miniature eye movements are microsaccades, which can be observed about once per second. Recent studies demonstrated that microsaccades are linked to covert shifts of visual attention [e.g., Engbert & Kliegl (2003), Vision Res 43:1035-1045]. Here,we generalized this finding in two ways. First, we used peripheral cues, rather than the centrally presented cues of earlier studies. Second, we spatially cued attention in vision and audition to visual and auditory targets. An analysis of microsaccade responses revealed an equivalent impact of visual and auditory cues on microsaccade-rate signature (i.e., an initial inhibition followed by an overshoot and a final return to the pre-cue baseline rate). With visual cues or visual targets,microsaccades were briefly aligned with cue direction and then opposite to cue direction during the overshoot epoch, probably as a result of an inhibition of an automatic saccade to the peripheral cue. With left auditory cues and auditory targets microsaccades oriented in cue direction. Thus, microsaccades can be used to study crossmodal integration of sensory information and to map the time course of saccade preparation during covert shifts of visual and auditory attention. T3 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe - paper 234 KW - Microsaccades KW - Covert orienting KW - Fixational eye movements KW - Multisensory Y1 - 2005 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-56804 ER - TY - JOUR A1 - Rolfs, Martin A1 - Engbert, Ralf A1 - Kliegl, Reinhold T1 - Crossmodal coupling of oculomotor control and spatial attention in vision and audition N2 - Fixational eye movements occur involuntarily during visual fixation of stationary scenes. The fastest components of these miniature eye movements are microsaccades, which can be observed about once per second. Recent studies demonstrated that microsaccades are linked to covert shifts of visual attention. Here, we generalized this finding in two ways. First, we used peripheral cues, rather than the centrally presented cues of earlier studies. Second, we spatially cued attention in vision and audition to visual and auditory targets. An analysis of microsaccade responses revealed an equivalent impact of visual and auditory cues on microsaccade-rate signature (i.e. an initial inhibition followed by an overshoot and a final return to the pre-cue baseline rate). With visual cues or visual targets, microsaccades were briefly aligned with cue direction and then opposite to cue direction during the overshoot epoch, probably as a result of an inhibition of an automatic saccade to the peripheral cue. With left auditory cues and auditory targets microsaccades oriented in cue direction. We argue that microsaccades can be used to study crossmodal integration of sensory information and to map the time course of saccade preparation during covert shifts of visual and auditory attention Y1 - 2005 SN - 0014-4819 ER - TY - JOUR A1 - Höhle, Barbara T1 - Crosslinguistic perspectives on segmentation and categorization in early language acquisition Y1 - 2009 SN - 978-0-521- 88337-5 ER - TY - JOUR A1 - Haßler, Gerda T1 - Crosslinguistic and diachronic remarks on the grammaticalization of aspect in Romance languages : location and motion verbs Y1 - 2001 ER - TY - JOUR A1 - Fussmann, Gregor F. A1 - Ellner, Stephen P. A1 - Shertzer, Kyle W. A1 - Hairston, Nelson G. T1 - Crossing the Hopf bifurcation in a live predator-prey system N2 - Population biologists have long been interested in the oscillations in population size displayed by many organisms in the field and Laboratory. A wide range of deterministic mathematical models predict that these fluctuations can be generated internally by nonlinear interactions among species and, if correct, would provide important insights for understanding and predicting the dynamics of interacting populations. We studied the dynamical behavior of a two- species aquatic Laboratory community encompassing the interactions between a demographically structured herbivore population, a primary producer, and a mineral resource, yet still amenable to description and parameterization using a mathematical model. The qualitative dynamical behavior of our experimental system, that is, cycles, equilibria, and extinction, is highly predictable by a simple nonlinear model. Y1 - 2000 ER - TY - JOUR A1 - Tronicke, Jens A1 - Paasche, Hendrik A1 - Böniger, Urs T1 - Crosshole traveltime tomography using particle swarm optimization a near-surface field example JF - Geophysics N2 - Particle swarm optimization (PSO) is a relatively new global optimization approach inspired by the social behavior of bird flocking and fish schooling. Although this approach has proven to provide excellent convergence rates in different optimization problems, it has seldom been applied to inverse geophysical problems. Until today, published geophysical applications mainly focus on finding an optimum solution for simple, 1D inverse problems. We have applied PSO-based optimization strategies to reconstruct 2D P-wave velocity fields from crosshole traveltime data sets. Our inversion strategy also includes generating and analyzing a representative ensemble of acceptable models, which allows us to appraise uncertainty and nonuniqueness issues. The potential of our strategy was tested on field data collected at a well-constrained test site in Horstwalde, Germany. At this field site, the shallow subsurface mainly consists of sand- and gravel-dominated glaciofluvial sediments, which, as known from several boreholes and other geophysical experiments, exhibit some well-defined layering at the scale of our crosshole seismic data. Thus, we have implemented a flexible, layer-based model parameterization, which, compared with standard cell-based parameterizations, allows for significantly reducing the number of unknown model parameters and for efficiently implementing a priori model constraints. Comparing the 2D velocity fields resulting from our PSO strategy to independent borehole and direct-push data illustrated the benefits of choosing an efficient global optimization approach. These include a straightforward and understandable appraisal of nonuniqueness issues as well as the possibility of an improved and also more objective interpretation. Y1 - 2012 U6 - https://doi.org/10.1190/GEO2010-0411.1 SN - 0016-8033 SN - 1942-2156 VL - 77 IS - 1 SP - R19 EP - R32 PB - Society of Exploration Geophysicists CY - Tulsa ER - TY - GEN A1 - Lamanna, Francesco A1 - Kirschbaum, Frank A1 - Waurick, Isabelle A1 - Dieterich, Christoph A1 - Tiedemann, Ralph T1 - Cross-tissue and cross-species analysis of gene expression in skeletal muscle and electric organ of African weakly-electric fish (Teleostei; Mormyridae) N2 - Background African weakly-electric fishes of the family Mormyridae are able to produce and perceive weak electric signals (typically less than one volt in amplitude) owing to the presence of a specialized, muscle-derived electric organ (EO) in their tail region. Such electric signals, also known as Electric Organ Discharges (EODs), are used for objects/prey localization, for the identification of conspecifics, and in social and reproductive behaviour. This feature might have promoted the adaptive radiation of this family by acting as an effective pre-zygotic isolation mechanism. Despite the physiological and evolutionary importance of this trait, the investigation of the genetic basis of its function and modification has so far remained limited. In this study, we aim at: i) identifying constitutive differences in terms of gene expression between electric organ and skeletal muscle (SM) in two mormyrid species of the genus Campylomormyrus: C. compressirostris and C. tshokwe, and ii) exploring cross-specific patterns of gene expression within the two tissues among C. compressirostris, C. tshokwe, and the outgroup species Gnathonemus petersii. Results Twelve paired-end (100 bp) strand-specific RNA-seq Illumina libraries were sequenced, producing circa 330 M quality-filtered short read pairs. The obtained reads were assembled de novo into four reference transcriptomes. In silico cross-tissue DE-analysis allowed us to identify 271 shared differentially expressed genes between EO and SM in C. compressirostris and C.tshokwe. Many of these genes correspond to myogenic factors, ion channels and pumps, and genes involved in several metabolic pathways. Cross-species analysis has revealed that the electric organ transcriptome is more variable in terms of gene expression levels across species than the skeletal muscle transcriptome. Conclusions The data obtained indicate that: i) the loss of contractile activity and the decoupling of the excitation-contraction processes are reflected by the down-regulation of the corresponding genes in the electric organ’s transcriptome; ii) the metabolic activity of the EO might be specialized towards the production and turn-over of membrane structures; iii) several ion channels are highly expressed in the EO in order to increase excitability; iv) several myogenic factors might be down-regulated by transcription repressors in the EO. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 212 Y1 - 2015 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-86997 ER - TY - JOUR A1 - Lamanna, Francesco A1 - Kirschbaum, Frank A1 - Waurick, Isabelle A1 - Dieterich, Christoph A1 - Tiedemann, Ralph T1 - Cross-tissue and cross-species analysis of gene expression in skeletal muscle and electric organ of African weakly-electric fish (Teleostei; Mormyridae) JF - BMC genomics N2 - Background: African weakly-electric fishes of the family Mormyridae are able to produce and perceive weak electric signals (typically less than one volt in amplitude) owing to the presence of a specialized, muscle-derived electric organ (EO) in their tail region. Such electric signals, also known as Electric Organ Discharges (EODs), are used for objects/prey localization, for the identification of conspecifics, and in social and reproductive behaviour. This feature might have promoted the adaptive radiation of this family by acting as an effective pre-zygotic isolation mechanism. Despite the physiological and evolutionary importance of this trait, the investigation of the genetic basis of its function and modification has so far remained limited. In this study, we aim at: i) identifying constitutive differences in terms of gene expression between electric organ and skeletal muscle (SM) in two mormyrid species of the genus Campylomormyrus: C. compressirostris and C. tshokwe, and ii) exploring cross-specific patterns of gene expression within the two tissues among C. compressirostris, C. tshokwe, and the outgroup species Gnathonemus petersii. Results: Twelve paired-end (100 bp) strand-specific RNA-seq Illumina libraries were sequenced, producing circa 330 M quality-filtered short read pairs. The obtained reads were assembled de novo into four reference transcriptomes. In silico cross-tissue DE-analysis allowed us to identify 271 shared differentially expressed genes between EO and SM in C. compressirostris and C. tshokwe. Many of these genes correspond to myogenic factors, ion channels and pumps, and genes involved in several metabolic pathways. Cross-species analysis has revealed that the electric organ transcriptome is more variable in terms of gene expression levels across species than the skeletal muscle transcriptome. Conclusions: The data obtained indicate that: i) the loss of contractile activity and the decoupling of the excitation-contraction processes are reflected by the down-regulation of the corresponding genes in the electric organ's transcriptome; ii) the metabolic activity of the EO might be specialized towards the production and turn-over of membrane structures; iii) several ion channels are highly expressed in the EO in order to increase excitability; iv) several myogenic factors might be down-regulated by transcription repressors in the EO. Y1 - 2015 U6 - https://doi.org/10.1186/s12864-015-1858-9 SN - 1471-2164 VL - 16 PB - BioMed Central CY - London ER - TY - JOUR A1 - Lamanna, Francesco A1 - Kirschbaum, Frank A1 - Waurick, Isabelle A1 - Dieterich, Christoph A1 - Tiedemann, Ralph T1 - Cross-tissue and cross-species analysis of gene expression in skeletal muscle and electric organ of African weakly-electric fish (Teleostei; Mormyridae) JF - BMC Genomics N2 - Background African weakly-electric fishes of the family Mormyridae are able to produce and perceive weak electric signals (typically less than one volt in amplitude) owing to the presence of a specialized, muscle-derived electric organ (EO) in their tail region. Such electric signals, also known as Electric Organ Discharges (EODs), are used for objects/prey localization, for the identification of conspecifics, and in social and reproductive behaviour. This feature might have promoted the adaptive radiation of this family by acting as an effective pre-zygotic isolation mechanism. Despite the physiological and evolutionary importance of this trait, the investigation of the genetic basis of its function and modification has so far remained limited. In this study, we aim at: i) identifying constitutive differences in terms of gene expression between electric organ and skeletal muscle (SM) in two mormyrid species of the genus Campylomormyrus: C. compressirostris and C. tshokwe, and ii) exploring cross-specific patterns of gene expression within the two tissues among C. compressirostris, C. tshokwe, and the outgroup species Gnathonemus petersii. Results Twelve paired-end (100 bp) strand-specific RNA-seq Illumina libraries were sequenced, producing circa 330 M quality-filtered short read pairs. The obtained reads were assembled de novo into four reference transcriptomes. In silico cross-tissue DE-analysis allowed us to identify 271 shared differentially expressed genes between EO and SM in C. compressirostris and C.tshokwe. Many of these genes correspond to myogenic factors, ion channels and pumps, and genes involved in several metabolic pathways. Cross-species analysis has revealed that the electric organ transcriptome is more variable in terms of gene expression levels across species than the skeletal muscle transcriptome. Conclusions The data obtained indicate that: i) the loss of contractile activity and the decoupling of the excitation-contraction processes are reflected by the down-regulation of the corresponding genes in the electric organ’s transcriptome; ii) the metabolic activity of the EO might be specialized towards the production and turn-over of membrane structures; iii) several ion channels are highly expressed in the EO in order to increase excitability; iv) several myogenic factors might be down-regulated by transcription repressors in the EO. Y1 - 2015 U6 - https://doi.org/10.1186/s12864-015-1858-9 SN - 1471-2164 VL - 16 IS - 668 PB - Biomed Central CY - London ER - TY - CHAP A1 - Glaschke, Christian A1 - Gronau, Norbert A1 - Bender, Benedict T1 - Cross-System Process Mining using RFID Technology T2 - Proceedings of the Sixth International Symposium on Business Modeling and Software Design - BMSD N2 - In times of digitalization, the collection and modeling of business processes is still a challenge for companies. The demand for trustworthy process models that reflect the actual execution steps therefore increases. The respective kinds of processes significantly determine both, business process analysis and the conception of future target processes and they are the starting point for any kind of change initiatives. Existing approaches to model as-is processes, like process mining, are exclusively focused on reconstruction. Therefore, transactional protocols and limited data from a single application system are used. Heterogeneous application landscapes and business processes that are executed across multiple application systems, on the contrary, are one of the main challenges in process mining research. Using RFID technology is hence one approach to close the existing gap between different application systems. This paper focuses on methods for data collection from real world objects via RFID technology and possible combinations with application data (process mining) in order to realize a cross system mining approach. KW - Process Mining KW - RFID KW - Production KW - Cross-System Y1 - 2016 SN - 978-989-758-190-8 U6 - https://doi.org/10.5220/0006223501790186 SP - 179 EP - 186 PB - SCITEPRESS - Science and Technology Publications CY - Setúbal ER - TY - THES A1 - Henning, Thorsten T1 - Cross-sectional associations of dietary biomarker patterns with health and nutritional status Y1 - 2024 ER - TY - GEN A1 - Dobkowitz, Sophia A1 - Walz, Ariane A1 - Baroni, Gabriele A1 - Pérez-Marin, Aldrin M. T1 - Cross-Scale Vulnerability Assessment for Smallholder Farming BT - A Case Study from the Northeast of Brazil T2 - Postprints der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe N2 - Climate change heavily impacts smallholder farming worldwide. Cross-scale vulnerability assessment has a high potential to identify nested measures for reducing vulnerability of smallholder farmers. Despite their high practical value, there are currently only limited examples of cross-scale assessments. The presented study aims at assessing the vulnerability of smallholder farmers in the Northeast of Brazil across three scales: regional, farm and field scale. In doing so, it builds on existing vulnerability indices and compares results between indices at the same scale and across scales. In total, six independent indices are tested, two at each scale. The calculated indices include social, economic and ecological indicators, based on municipal statistics, meteorological data, farm interviews and soil analyses. Subsequently, indices and overlapping indicators are normalized for intra- and cross-scale comparison. The results show considerable differences between indices across and within scales. They indicate different activities to reduce vulnerability of smallholder farmers. Major shortcomings arise from the conceptual differences between the indices. We therefore recommend the development of hierarchical indices, which are adapted to local conditions and contain more overlapping indicators for a better understanding of the nested vulnerabilities of smallholder farmers. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 978 KW - family farming KW - nested vulnerabilities KW - vulnerability indices KW - semi-arid regions KW - Paraíba Y1 - 2020 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-474703 SN - 1866-8372 IS - 978 ER - TY - JOUR A1 - Dobkowitz, Sophia A1 - Walz, Ariane A1 - Baroni, Gabriele A1 - Pérez-Marin, Aldrin M. T1 - Cross-Scale Vulnerability Assessment for Smallholder Farming BT - A Case Study from the Northeast of Brazil JF - Sustainability N2 - Climate change heavily impacts smallholder farming worldwide. Cross-scale vulnerability assessment has a high potential to identify nested measures for reducing vulnerability of smallholder farmers. Despite their high practical value, there are currently only limited examples of cross-scale assessments. The presented study aims at assessing the vulnerability of smallholder farmers in the Northeast of Brazil across three scales: regional, farm and field scale. In doing so, it builds on existing vulnerability indices and compares results between indices at the same scale and across scales. In total, six independent indices are tested, two at each scale. The calculated indices include social, economic and ecological indicators, based on municipal statistics, meteorological data, farm interviews and soil analyses. Subsequently, indices and overlapping indicators are normalized for intra- and cross-scale comparison. The results show considerable differences between indices across and within scales. They indicate different activities to reduce vulnerability of smallholder farmers. Major shortcomings arise from the conceptual differences between the indices. We therefore recommend the development of hierarchical indices, which are adapted to local conditions and contain more overlapping indicators for a better understanding of the nested vulnerabilities of smallholder farmers. KW - family farming KW - nested vulnerabilities KW - vulnerability indices KW - semi-arid regions KW - Paraíba Y1 - 2020 U6 - https://doi.org/10.3390/su12093787 SN - 2071-1050 VL - 12 IS - 9 PB - MDPI CY - Basel ER - TY - JOUR A1 - Myachykov, Andriy A1 - Chapman, Ashley J. A1 - Fischer, Martin H. T1 - Cross-representational interactions BT - Interface and overlap mechanisms JF - Frontiers in psychology N2 - A crucial question facing cognitive science concerns the nature of conceptual representations as well as the constraints on the interactions between them. One specific question we address in this paper is what makes cross-representational interplay possible? We offer two distinct theoretical scenarios: according to the first scenario, co-activated knowledge representations interact with the help of an interface established between them via congruent activation in a mediating third-party general cognitive mechanism, e.g., attention. According to the second scenario, co-activated knowledge representations interact due to an overlap between their features, for example when they share a magnitude component. First, we make a case for cross representational interplay based on grounded and situated theories of cognition. Second, we discuss interface-based interactions between distinct (i.e., non-overlapping) knowledge representations. Third, we discuss how co-activated representations may share their architecture via partial overlap. Finally, we outline constraints regarding the flexibility of these proposed mechanisms. KW - representation KW - cross-representational interaction KW - simulation KW - embodiment KW - grounded cognition Y1 - 2017 SN - 1664-1078 VL - 7 PB - Frontiers Research Foundation CY - Lausanne ER - TY - THES A1 - Jahn, Nicola T1 - Cross-Promotion im Fernsehen : zur geltenden Rechtslage in Deutschland und anderen EU-Mitgliedstaaten T2 - Europäische Hochschulschriften $ Reihe 2, Rechtswissenschaft Y1 - 2007 SN - 978-3-631-56565-0 VL - 4604 PB - Lang CY - Frankfurt am Main ER - TY - JOUR A1 - Bin Tareaf, Raad A1 - Berger, Philipp A1 - Hennig, Patrick A1 - Meinel, Christoph T1 - Cross-platform personality exploration system for online social networks BT - Facebook vs. Twitter JF - Web intelligence N2 - Social networking sites (SNS) are a rich source of latent information about individual characteristics. Crawling and analyzing this content provides a new approach for enterprises to personalize services and put forward product recommendations. In the past few years, commercial brands made a gradual appearance on social media platforms for advertisement, customers support and public relation purposes and by now it became a necessity throughout all branches. This online identity can be represented as a brand personality that reflects how a brand is perceived by its customers. We exploited recent research in text analysis and personality detection to build an automatic brand personality prediction model on top of the (Five-Factor Model) and (Linguistic Inquiry and Word Count) features extracted from publicly available benchmarks. Predictive evaluation on brands' accounts reveals that Facebook platform provides a slight advantage over Twitter platform in offering more self-disclosure for users' to express their emotions especially their demographic and psychological traits. Results also confirm the wider perspective that the same social media account carry a quite similar and comparable personality scores over different social media platforms. For evaluating our prediction results on actual brands' accounts, we crawled the Facebook API and Twitter API respectively for 100k posts from the most valuable brands' pages in the USA and we visualize exemplars of comparison results and present suggestions for future directions. KW - Big Five model KW - personality prediction KW - brand personality KW - machine KW - learning KW - social media analysis Y1 - 2020 U6 - https://doi.org/10.3233/WEB-200427 SN - 2405-6456 SN - 2405-6464 VL - 18 IS - 1 SP - 35 EP - 51 PB - IOS Press CY - Amsterdam ER - TY - JOUR A1 - Henkel, Carsten A1 - Sauer, Tim-O A1 - Proukakis, N. P. T1 - Cross-over to quasi-condensation: mean-field theories and beyond JF - Journal of physics : B, Atomic, molecular and optical physics N2 - We analyze the cross-over of a homogeneous, weakly interacting Bose gas in one dimension from the ideal gas into the dense quasi-condensate phase. We review a number of mean-field theories, perturbative or self-consistent, and provide accurate evaluations of equation of state, density fluctuations, and correlation functions. A smooth crossover is reproduced by classical-field simulations based on the stochastic Gross-Pitaevskii equation and the Yang-Yang solution to the one-dimensional Bose gas. KW - quantum gases KW - Bose-Einstein condensation KW - phase transition KW - critical fluctuations Y1 - 2017 U6 - https://doi.org/10.1088/1361-6455/aa6888 SN - 0953-4075 SN - 1361-6455 VL - 50 PB - IOP Publ. Ltd. CY - Bristol ER - TY - JOUR A1 - Blell, Gabriele T1 - Cross-Over : Literature, Paintings and Music Y1 - 1994 ER - TY - JOUR A1 - Biegert, Thomas A1 - Brady, David A1 - Hipp, Lena T1 - Cross-national variation in the relationship between welfare generosity and single mother employment JF - The annals of the American Academy of Political and Social Science N2 - Reform of the U.S. welfare system in 1996 spurred claims that cuts to welfare programs effectively incentivized single mothers to find employment. It is difficult to assess the veracity of those claims, however, absent evidence of how the relationship between welfare benefits and single mother employment generalizes across countries. This study combines data from the European Union Labour Force Survey and the U.S. Current Population Survey (1992-2015) into one of the largest samples of single mothers ever, testing the relationships between welfare generosity and single mothers’ employment and work hours. We find no consistent evidence of a negative relationship between welfare generosity and single mother employment outcomes. Rather, we find tremendous cross-national heterogeneity, which does not clearly correspond to well-known institutional variations. Our findings demonstrate the limitations of single country studies and the pervasive, salient interactions between institutional contexts and social policies. KW - single mothers KW - employment KW - welfare state benefits KW - cross-national KW - heterogeneity Y1 - 2022 U6 - https://doi.org/10.1177/00027162221120760 SN - 0002-7162 SN - 1552-3349 VL - 702 IS - 1 SP - 37 EP - 54 PB - SAGE Publishing CY - Thousand Oaks ER - TY - JOUR A1 - Wachs, Sebastian A1 - Vazsonyi, Alexander T. A1 - Wright, Michelle F. A1 - Ksinan Jiskrova, Gabriela T1 - Cross-National Associations Among Cyberbullying Victimization, Self-Esteem, and Internet Addiction BT - Direct and Indirect Effects of Alexithymia JF - Frontiers in Psychology N2 - The relationship among cyberbullying victimization, lower self-esteem, and internet addiction has been well-established. Yet, little research exists that explains the nature of these associations, and no previous work has considered the inability to identify or describe one’s emotions, namely, alexithymia, as a potential mediator of these links. The present study sought to investigate the indirect effects of cyberbullying victimization on self-esteem and internet addiction, mediated by alexithymia. The sample consisted of 1,442 participants between 12 and 17 years (Mage = 14.17, SD = 1.38, 51.5% male) from Germany, the Netherlands, and the United States. Results showed a direct relationship between cyberbullying victimization and self-esteem and an indirect association mediated by alexithymia in the Dutch sample. However, in the German and U.S. samples, only an indirect relationship via alexithymia, but not a direct effect of cyberbullying victimization on self-esteem, was found. Consistent across the three country samples, cyberbullying victimization and internet addiction were directly and also indirectly associated via alexithymia. In sum, findings indicate that alexithymia might help better understand which detrimental effects cyberbullying victimization has on adolescent psychological health. Thus, cyberbullying prevention programs should consider implementing elements that educate adolescents on the ability to identify and describe their own emotions. KW - cyberbullying victimization KW - alexithymia KW - self-esteem KW - internet addiction KW - adolescents Y1 - 2020 U6 - https://doi.org/10.3389/fpsyg.2020.01368 SN - 1664-1078 VL - 11 PB - Frontiers Research Foundation CY - Lausanne ER - TY - GEN A1 - Wachs, Sebastian A1 - Vazsonyi, Alexander T. A1 - Wright, Michelle F. A1 - Ksinan Jiskrova, Gabriela T1 - Cross-National Associations Among Cyberbullying Victimization, Self-Esteem, and Internet Addiction BT - Direct and Indirect Effects of Alexithymia T2 - Postprints der Universität Potsdam : Humanwissenschaftliche Reihe N2 - The relationship among cyberbullying victimization, lower self-esteem, and internet addiction has been well-established. Yet, little research exists that explains the nature of these associations, and no previous work has considered the inability to identify or describe one’s emotions, namely, alexithymia, as a potential mediator of these links. The present study sought to investigate the indirect effects of cyberbullying victimization on self-esteem and internet addiction, mediated by alexithymia. The sample consisted of 1,442 participants between 12 and 17 years (Mage = 14.17, SD = 1.38, 51.5% male) from Germany, the Netherlands, and the United States. Results showed a direct relationship between cyberbullying victimization and self-esteem and an indirect association mediated by alexithymia in the Dutch sample. However, in the German and U.S. samples, only an indirect relationship via alexithymia, but not a direct effect of cyberbullying victimization on self-esteem, was found. Consistent across the three country samples, cyberbullying victimization and internet addiction were directly and also indirectly associated via alexithymia. In sum, findings indicate that alexithymia might help better understand which detrimental effects cyberbullying victimization has on adolescent psychological health. Thus, cyberbullying prevention programs should consider implementing elements that educate adolescents on the ability to identify and describe their own emotions. T3 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe - 651 KW - cyberbullying victimization KW - alexithymia KW - self-esteem KW - internet addiction KW - adolescents Y1 - 2020 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-474382 SN - 1866-8364 IS - 651 ER - TY - JOUR A1 - von Czapiewski, Marc A1 - Kreye, Oliver A1 - Mutlu, Hatice A1 - Meier, Michael A. R. T1 - Cross-metathesis versus palladium-catalyzed C-H activation acetoxy ester functionalization of unsaturated fatty acid methyl esters JF - European journal of lipid science and technology N2 - Two synthetic approaches to functionalize plant oil derived platform chemicals were investigated. For this purpose, methyl 10-undecenoate, which can be obtained by pyrolysis of castor oil, was used in olefin cross-metathesis under neat conditions forming an unsaturated a,?-acetoxy ester. A catalyst screening with 11 different ruthenium-based metathesis catalysts was performed, revealing that well-suited catalysts allow for full conversion and very good cross-metathesis selectivity at a loading of only 0.5?mol%. An alternative possibility to the aforementioned synthetic method is a palladium-catalyzed reaction of methyl 10-undecenoate with acetic acid in the presence of dimethyl sulfoxide. Here, the formation of linear and branched unsaturated acetoxy esters as well as a ketone was observed. The conversion as well as the selectivity of this procedure was studied under different reaction conditions and compared to the cross-metathesis results. Based on the successful functionalization of methyl 10-undecenoate, methyl oleate was investigated in this palladium-catalyzed C?H activation reaction. Due to the lower reactivity of the internal double bond the desired acetoxy ester was only obtained in moderate conversion in this case. In summary, this study clearly shows that palladium-catalyzed functionalization of unsaturated fatty compounds via C?H activation is an attractive alternative to the well-established olefin cross-metathesis procedure. KW - a KW - -Acetoxy esters KW - C?H oxidation KW - Cross-metathesis KW - Fatty acids KW - Pd catalysis Y1 - 2013 U6 - https://doi.org/10.1002/ejlt.201200196 SN - 1438-7697 VL - 115 IS - 1 SP - 76 EP - 85 PB - Wiley-Blackwell CY - Hoboken ER - TY - JOUR A1 - Biermann, Ursula A1 - Meier, Michael A. R. A1 - Butte, Werner A1 - Metzger, Jürgen O. T1 - Cross-metathesis of unsaturated triglycerides with methyl acrylate synthesis of a dimeric metathesis product JF - European journal of lipid science and technology N2 - Highly functionalized dimeric triglycerides, such as compound 2, are obtained as minor products besides branched macromolecules from the acyclic triene metathesis (ATMET) polymerization of unsaturated triglycerides such as glyceryl triundec-10-enoate 1 and methyl acrylate (MA) in the presence of the second generation Hoveyda-Grubbs catalyst. The formed amount of interesting products of lower molecular weight during the ATMET reaction depends on the ratio of MA and triglyceride, reaction time, and temperature. We isolated the dimeric metathesis product 2 and synthesized the respective partially hydrogenated dimer 3 regioselectivly in a seven step reaction sequence starting from 10-undecenoic acid 7 and glycerol. Product 3 was unambiguously characterized by (13)C and (1)H NMR and MS as well as the further intermediate products of the seven step reaction including 10,11 bromo-undecanoic acid 8, the respective brominated 1,3-diglyceride 9, the brominated 1,3-triglyceride 6, and the self-metathesis products 4 and 5 which were isolated and purified. KW - Highly functionalized dimeric triglycerides KW - Olefin self- and cross-metathesis KW - Renewable resources Y1 - 2011 U6 - https://doi.org/10.1002/ejlt.201000109 SN - 1438-7697 VL - 113 IS - 1 SP - 39 EP - 45 PB - Wiley-VCH CY - Weinheim ER - TY - JOUR A1 - Frank, Stefan L. A1 - Trompenaars, Thijs A1 - Vasishth, Shravan T1 - Cross-Linguistic Differences in Processing Double-Embedded Relative Clauses: Working-Memory Constraints or Language Statistics? JF - Cognitive science : a multidisciplinary journal of anthropology, artificial intelligence, education, linguistics, neuroscience, philosophy, psychology ; journal of the Cognitive Science Society N2 - An English double-embedded relative clause from which the middle verb is omitted can often be processed more easily than its grammatical counterpart, a phenomenon known as the grammaticality illusion. This effect has been found to be reversed in German, suggesting that the illusion is language specific rather than a consequence of universal working memory constraints. We present results from three self-paced reading experiments which show that Dutch native speakers also do not show the grammaticality illusion in Dutch, whereas both German and Dutch native speakers do show the illusion when reading English sentences. These findings provide evidence against working memory constraints as an explanation for the observed effect in English. We propose an alternative account based on the statistical patterns of the languages involved. In support of this alternative, a single recurrent neural network model that is trained on both Dutch and English sentences is shown to predict the cross-linguistic difference in the grammaticality effect. KW - Bilingualism KW - Cross-linguistic differences KW - Sentence comprehension KW - Relative clauses KW - Centre embedding KW - Grammaticality illusion KW - Self-paced reading KW - Recurrent neural network model Y1 - 2016 U6 - https://doi.org/10.1111/cogs.12247 SN - 0364-0213 SN - 1551-6709 VL - 40 SP - 554 EP - 578 PB - Wiley-Blackwell CY - Hoboken ER - TY - JOUR A1 - Fyndanis, Valantis A1 - Lind, Marianne A1 - Varlokosta, Spyridoula A1 - Kambanaros, Maria A1 - Soroli, Efstathia A1 - Ceder, Klaudia A1 - Grohmann, Kleanthes K. A1 - Rofes, Adrià A1 - Simonsen, Hanne Gram A1 - Bjekić, Jovana A1 - Gavarró, Anna A1 - Kraljević, Jelena Kuvač A1 - Martínez-Ferreiro, Silvia A1 - Munarriz, Amaia A1 - Pourquie, Marie A1 - Vuksanović, Jasmina A1 - Zakariás, Lilla A1 - Howard, David T1 - Cross-linguistic adaptations of The Comprehensive Aphasia Test BT - challenges and solutions JF - Clinical linguistics & phonetics N2 - Comparative research on aphasia and aphasia rehabilitation is challenged by the lack of comparable assessment tools across different languages. In English, a large array of tools is available, while in most other languages, the selection is more limited. Importantly, assessment tools are often simple translations and do not take into consideration specific linguistic and psycholinguistic parameters of the target languages. As a first step in meeting the needs for comparable assessment tools, the Comprehensive Aphasia Test is currently being adapted into a number of languages spoken in Europe. In this article, some key challenges encountered in the adaptation process and the solutions to ensure that the resulting assessment tools are linguistically and culturally equivalent, are proposed. Specifically, we focus on challenges and solutions related to the use of imageability, frequency, word length, spelling-to-sound regularity and sentence length and complexity as underlying properties in the selection of the testing material. KW - Aphasia KW - assessment KW - Comprehensive Aphasia Test (CAT) KW - cross-linguistic adaptations KW - outcome measures Y1 - 2017 U6 - https://doi.org/10.1080/02699206.2017.1310299 SN - 0269-9206 SN - 1464-5076 VL - 31 IS - 7-9 SP - 697 EP - 710 PB - Taylor & Francis Group CY - Philadelphia ER - TY - JOUR A1 - Wang, Aiping A1 - Yeon, Junmo A1 - Zhou, Wei A1 - Shu, Hua A1 - Yan, Ming T1 - Cross-language parafoveal semantic processing: Evidence from Korean-Chinese bilinguals JF - Applied physics letters N2 - In the present study, we aimed at testing cross-language cognate and semantic preview effects. We tested how native Korean readers who learned Chinese as a second language make use of the parafoveal information during the reading of Chinese sentences. There were 3 types of Korean preview words: cognate translations of the Chinese target words, semantically related noncognate words, and unrelated words. Together with a highly significant cognate preview effect, more critically, we also observed reliable facilitation in processing of the target word from the semantically related previews in all fixation measures. Results from the present study provide first evidence for semantic processing from parafoveally presented Korean words and for cross-language parafoveal semantic processing. KW - Parafoveal KW - Semantics KW - Korean KW - Chinese KW - Bilingual Y1 - 2016 U6 - https://doi.org/10.3758/s13423-015-0876-6 SN - 1069-9384 SN - 1531-5320 VL - 23 SP - 285 EP - 290 PB - Springer CY - New York ER - TY - JOUR A1 - Hennig, Timo A1 - Schramm, Satyam Antonio A1 - Linderkamp, Friedrich T1 - Cross-informant disagreement on behavioral symptoms in adolescent attention-deficit/hyperactivity disorder and its impact on treatment effects JF - European Journal of Psychological Assessment N2 - In assessing adolescent behavior difficulties, parents, teachers, and the adolescents themselves are key informants. However, substantial disagreement has been found between informants. Specifically, children with attention-deficit/hyperactivity disorder (ADHD) tend to overestimate their competencies, also known as "positive (illusionary) bias." This study compared parent, teacher, and adolescent ratings of ADHD and other behavioral symptoms in a sample of 114 adolescents with ADHD. Further, the effect of cross-informant disagreement (CID) on treatment outcomes was investigated in a subsample of 54 adolescents who had undergone a training and coaching intervention. Overall, there was moderate agreement among informants. Parent and adolescent ratings were more strongly correlated with each other than with teacher ratings. The strongest discrepancy was found between teacher and adolescent ratings on prosocial behavior. This discrepancy explained 12% of the variance in parent-rated ADHD symptom severity after the intervention. The treatment was less effective in participants with high teacher-adolescent disagreement on prosocial behavior (d = 0.41) than with low disagreement (d = 0.98). These findings suggest that professionals working with adolescents with ADHD should consider multiple sources of information before initiating treatment and pay attention to cross-informant disagreements because these may indicate a risk of diminished treatment effects. KW - informant discrepancies KW - inter-rater reliability KW - positive illusionary bias KW - response to treatment KW - ADHD Y1 - 2017 U6 - https://doi.org/10.1027/1015-5759/a000446 SN - 1015-5759 SN - 2151-2426 VL - 34 IS - 2 SP - 79 EP - 86 PB - Hogrefe CY - Göttingen ER - TY - GEN A1 - Hennig, Timo A1 - Schramm, Satyam Antonio A1 - Linderkamp, Friedrich T1 - Cross-informant disagreement on behavioral symptoms in adolescent attention-deficit/hyperactivity disorder and its impact on treatment effects T2 - Postprints der Universität Potsdam : Humanwissenschaftliche Reihe N2 - In assessing adolescent behavior difficulties, parents, teachers, and the adolescents themselves are key informants. However, substantial disagreement has been found between informants. Specifically, children with attention-deficit/hyperactivity disorder (ADHD) tend to overestimate their competencies, also known as “positive (illusionary) bias.” This study compared parent, teacher, and adolescent ratings of ADHD and other behavioral symptoms in a sample of 114 adolescents with ADHD. Further, the effect of cross-informant disagreement (CID) on treatment outcomes was investigated in a subsample of 54 adolescents who had undergone a training and coaching intervention. Overall, there was moderate agreement among informants. Parent and adolescent ratings were more strongly correlated with each other than with teacher ratings. The strongest discrepancy was found between teacher and adolescent ratings on prosocial behavior. This discrepancy explained 12% of the variance in parent-rated ADHD symptom severity after the intervention. The treatment was less effective in participants with high teacher-adolescent disagreement on prosocial behavior (d = 0.41) than with low disagreement (d = 0.98). These findings suggest that professionals working with adolescents with ADHD should consider multiple sources of information before initiating treatment and pay attention to cross-informant disagreements because these may indicate a risk of diminished treatment effects. T3 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe - 631 KW - informant discrepancies KW - inter-rater reliability KW - positive illusionary bias KW - response to treatment KW - ADHD Y1 - 2020 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-441329 SN - 1866-8364 IS - 631 SP - 79 EP - 86 ER - TY - JOUR A1 - Ayllon, Daniel A1 - Grimm, Volker A1 - Attinger, Sabine A1 - Hauhs, Michael A1 - Simmer, Clemens A1 - Vereecken, Harry A1 - Lischeid, Gunnar T1 - Cross-disciplinary links in environmental systems science BT - Current state and claimed needs identified in a meta-review of process models JF - The science of the total environment : an international journal for scientific research into the environment and its relationship with man N2 - Terrestrial environmental systems are characterised by numerous feedback links between their different compartments. However, scientific research is organized into disciplines that focus on processes within the respective compartments rather than on interdisciplinary links. Major feedback mechanisms between compartments might therefore have been systematically overlooked so far. Without identifying these gaps, initiatives on future comprehensive environmental monitoring schemes and experimental platforms might fail. We performed a comprehensive overview of feedbacks between compartments currently represented in environmental sciences and explores to what degree missing links have already been acknowledged in the literature. We focused on process models as they can be regarded as repositories of scientific knowledge that compile findings of numerous single studies. In total, 118 simulation models from 23 model types were analysed. Missing processes linking different environmental compartments were identified based on a meta-review of 346 published reviews, model inter-comparison studies, and model descriptions. Eight disciplines of environmental sciences were considered and 396 linking processes were identified and ascribed to the physical, chemical or biological domain. There were significant differences between model types and scientific disciplines regarding implemented interdisciplinary links. The most wide-spread interdisciplinary links were between physical processes in meteorology, hydrology and soil science that drive or set the boundary conditions for other processes (e.g., ecological processes). In contrast, most chemical and biological processes were restricted to links within the same compartment. Integration of multiple environmental compartments and interdisciplinary knowledge was scarce in most model types. There was a strong bias of suggested future research foci and model extensions towards reinforcing existing interdisciplinary knowledge rather than to open up new interdisciplinary pathways. No clear pattern across disciplines exists with respect to suggested future research efforts. There is no evidence that environmental research would clearly converge towards more integrated approaches or towards an overarching environmental systems theory. (c) 2017 Elsevier B.V. All rights reserved. KW - Review KW - Interdisciplinary links KW - Integrated environmental modelling KW - Research needs Y1 - 2018 U6 - https://doi.org/10.1016/j.scitotenv.2017.12.007 SN - 0048-9697 SN - 1879-1026 VL - 622 SP - 954 EP - 973 PB - Elsevier CY - Amsterdam ER - TY - JOUR A1 - Berenstein, Igal A1 - Beta, Carsten T1 - Cross-diffusion in the two-variable Oregonator model JF - Chaos : an interdisciplinary journal of nonlinear science N2 - We explore the effect of cross-diffusion on pattern formation in the two-variable Oregonator model of the Belousov-Zhabotinsky reaction. For high negative cross-diffusion of the activator (the activator being attracted towards regions of increased inhibitor concentration) we find, depending on the values of the parameters, Turing patterns, standing waves, oscillatory Turing patterns, and quasi-standing waves. For the inhibitor, we find that positive cross-diffusion (the inhibitor being repelled by increasing concentrations of the activator) can induce Turing patterns, jumping waves and spatially modulated bulk oscillations. We qualitatively explain the formation of these patterns. With one model we can explain Turing patterns, standing waves and jumping waves, which previously was done with three different models. Y1 - 2013 U6 - https://doi.org/10.1063/1.4816937 SN - 1054-1500 VL - 23 IS - 3 PB - American Institute of Physics CY - Melville ER - TY - JOUR A1 - Cosco, Theodore D. A1 - Brehme, David F. A1 - Grigoruta, Nora A1 - Kaufmann, Lisa-Katrin A1 - Lemsalu, Liis A1 - Meex, Ruth A1 - Schuurmans, Angela A. T. A1 - Sener, Neslihan A1 - Stephan, Blossom C. M. A1 - Brayne, Carol T1 - Cross-cultural Perspectives of Successful Aging: Young Turks and Europeans JF - Educational gerontology : EDGE ; an international quarterly N2 - Successful aging (SA) has been conceptualized in a number of ways. Despite increasing research into how laypersons define SA, few studies capturing lay perspectives of SA in younger cohorts and in non-English speaking countries have been undertaken. The current study examines cross-cultural perspectives of SA in young (aged 18-35), lay adults from a variety of continental European countries and Turkey. Participants were recruited via snowball sampling from social network sites and invited to participate in an online survey. Persons between 18-35 years from Belgium, Estonia, Germany, Netherlands, Romania, Switzerland, or Turkey were included. Respondents (total: 390; Belgian: 32; Estonian: 96; German: 76; Romanian: 47; Swiss: 39; Dutch: 30; Turkish: 70), were primarily women (56.4%) and students (66.2%), with an average age of 24.1 years (SD 3.7). Personal resources, social and active engagement all emerged as dominant themes across countries, but were articulated in subtly different ways in the participant countries. Positive perspectives, desirable attributes and satisfaction themes were intertwined within themes of acceptance and engagement. The current study provides a first step in the inclusion of geographic and cultural diversity into the SA literature. These results suggest that layperson conceptualizations of SA have broad-sweeping similarities, but further research is required to articulate the nuance of cultural influences on SA. Y1 - 2015 U6 - https://doi.org/10.1080/03601277.2015.1050899 SN - 0360-1277 SN - 1521-0472 VL - 41 IS - 11 SP - 800 EP - 813 PB - Taylor & Francis Group CY - Philadelphia ER - TY - JOUR A1 - Lin, Chiao-I A1 - Mayer, Frank A1 - Wippert, Pia-Maria T1 - Cross-cultural adaptation, reliability, and validation of the Taiwan-Chinese version of Cumberland Ankle Instability Tool JF - Disability and rehabilitation N2 - Purpose:To cross-cultural translate the Cumberland Ankle Instability Tool (CAIT) to Taiwan-Chinese version (CAIT-TW), and to evaluate the validity, reliability and cutoff score of CAIT-TW for Taiwan-Chinese athletic population. Materials and methods:The English version of CAIT was translated to CAIT-TW based on a guideline of cross-cultural adaptation. 77 and 58 Taiwanese collegial athletes with and without chronic ankle instability filled out CAIT-TW, Taiwan-Chinese version of Lower Extremity Functional Score (LEFS-TW) and Numeric Rating Scale (NRS). The construct validity, test-retest reliability, internal consistency and cutoff score of CAIT-TW were evaluated. Results:In construct validity, the Spearman's correlation coefficients were moderate (CAIT-TW vs LEFS-TW: Rho = 0.39,p < 0.001) and strong (CAIT-TW vs NRS: Rho= 0.76,p < 0.001). The test retest reliability was excellent (ICC2.1= 0.91, 95% confidential interval = 0.87-0.94,p < 0.001) with a good internal consistency (Cronbach's alpha: 0.87). Receiver operating characteristic curve showed a cutoff score of 21.5 (Youden index: 0.73, sensitivity: 0.87, specificity 0.85). Conclusions:The CAIT-TW is a valid and reliable tool to differentiate between stable and instable ankles in athletes and may further apply for research or daily practice in Taiwan. KW - Chronic ankle instability KW - functional ankle instability KW - CAIT KW - self-report questionnaire KW - validity and reliability Y1 - 2020 U6 - https://doi.org/10.1080/09638288.2020.1774928 SN - 0963-8288 SN - 1464-5165 VL - 44 IS - 5 SP - 781 EP - 787 PB - Routledge, Taylor & Francis Group CY - Abingdon ER - TY - JOUR A1 - Mazza, Valeria A1 - Czyperreck, Inken A1 - Eccard, Jana A1 - Dammhahn, Melanie T1 - Cross-Context Responses to Novelty in Rural and Urban Small Mammals JF - Frontiers in Ecology and Evolution N2 - The Anthropocene is the era of urbanization. The accelerating expansion of cities occurs at the expense of natural reservoirs of biodiversity and presents animals with challenges for which their evolutionary past might not have prepared them. Cognitive and behavioral adjustments to novelty could promote animals’ persistence under these altered conditions. We investigated the structure of, and covariance between, different aspects of responses to novelty in rural and urban small mammals of two non-commensal rodent species. We ran replicated experiments testing responses to three novelty types (object, food, or space) of 47 individual common voles (Microtus arvalis) and 41 individual striped field mice (Apodemus agrarius). We found partial support for the hypothesis that responses to novelty are structured, clustering (i) speed of responses, (ii) intensity of responses, and (iii) responses to food into separate dimensions. Rural and urban small mammals did not differ in most responses to novelty, suggesting that urban habitats do not reduce neophobia in these species. Further studies investigating whether comparable response patters are found throughout different stages of colonization, and along synurbanization processes of different duration, will help illuminate the dynamics of animals’ cognitive adjustments to urban life. KW - animal cognition KW - anthropogenic environment KW - HIREC KW - novelty KW - neophobia KW - neophilia KW - rodents KW - urbanization Y1 - 2021 U6 - https://doi.org/10.3389/fevo.2021.661971 SN - 2296-701X VL - 9 PB - Frontiers Media CY - Lausanne ER - TY - GEN A1 - Mazza, Valeria A1 - Czyperreck, Inken A1 - Eccard, Jana A1 - Dammhahn, Melanie T1 - Cross-Context Responses to Novelty in Rural and Urban Small Mammals T2 - Postprints der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe N2 - The Anthropocene is the era of urbanization. The accelerating expansion of cities occurs at the expense of natural reservoirs of biodiversity and presents animals with challenges for which their evolutionary past might not have prepared them. Cognitive and behavioral adjustments to novelty could promote animals’ persistence under these altered conditions. We investigated the structure of, and covariance between, different aspects of responses to novelty in rural and urban small mammals of two non-commensal rodent species. We ran replicated experiments testing responses to three novelty types (object, food, or space) of 47 individual common voles (Microtus arvalis) and 41 individual striped field mice (Apodemus agrarius). We found partial support for the hypothesis that responses to novelty are structured, clustering (i) speed of responses, (ii) intensity of responses, and (iii) responses to food into separate dimensions. Rural and urban small mammals did not differ in most responses to novelty, suggesting that urban habitats do not reduce neophobia in these species. Further studies investigating whether comparable response patters are found throughout different stages of colonization, and along synurbanization processes of different duration, will help illuminate the dynamics of animals’ cognitive adjustments to urban life. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 1226 KW - animal cognition KW - anthropogenic environment KW - HIREC KW - novelty KW - neophobia KW - neophilia KW - rodents KW - urbanization Y1 - 2022 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-543863 SN - 1866-8372 ER - TY - JOUR A1 - Meister, Claudia-Veronika T1 - Cross, R., An introduction to Alfven waves; Bristol [u.a.], Hilger, 1988 BT - An introduction to Alfven waves Y1 - 1995 ER - TY - JOUR A1 - Maraun, Douglas A1 - Kurths, Jürgen T1 - Cross wavelet analysis: significance testing and pitfalls N2 - In this paper, we present a detailed evaluation of cross wavelet analysis of bivariate time series. We develop a statistical test for zero wavelet coherency based on Monte Carlo simulations. If at least one of the two processes considered is Gaussian white noise, an approximative formula for the critical value can be utilized. In a second part, typical pitfalls of wavelet cross spectra and wavelet coherency are discussed. The wavelet cross spectrum appears to be not suitable for significance testing the interrelation between two processes. Instead, one should rather apply wavelet coherency. Furthermore we investigate problems due to multiple testing. Based on these results, we show that coherency between ENSO and NAO is an artefact for most of the time from 1900 to 1995. However, during a distinct period from around 1920 to 1940, significant coherency between the two phenomena occurs Y1 - 2004 SN - 1023-5809 ER - TY - CHAP A1 - Diderichsen, Philip T1 - Cross recurrence quantification analysis of indefinite anaphora in Swedish dialog : an eye-tracking pilot experiment N2 - A new method is used in an eye-tracking pilot experiment which shows that it is possible to detect differences in common ground associated with the use of minimally different types of indefinite anaphora. Following Richardson and Dale (2005), cross recurrence quantification analysis (CRQA) was used to show that the tandem eye movements of two Swedish-speaking interlocutors are slightly more coupled when they are using fully anaphoric indefinite expressions than when they are using less anaphoric indefinites. This shows the potential of CRQA to detect even subtle processing differences in ongoing discourse. Y1 - 2006 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-10388 ER - TY - JOUR A1 - Marwan, Norbert A1 - Thiel, Marco A1 - Nowaczyk, Norbert R. T1 - Cross recurrence plot based synchronization of time series N2 - The method of recurrence plots is extended to the cross recurrence plots (CRP), which among others enables the study of synchronization or time differences in two time series. This is emphasized in a distorted main diagonal in the cross recurrence plot, the line of synchronization (LOS). A non-parametrical fit of this LOS can be used to rescale the time axis of the two data series (whereby one of it is e.g. compressed or stretched) so that they are synchronized. An application of this method to geophysical sediment core data illustrates its suitability for real data. The rock magnetic data of two different sediment cores from the Makarov Basin can be adjusted to each other by using this method, so that they are comparable. Y1 - 2002 UR - http://arxiv.org/abs/physics/0201062 ER -