TY - CHAP A1 - Кононенко, Наталия A1 - Calabretto, Roberto A1 - Mayer, Michael A1 - Киршбаум, Генрих A1 - Salvestroni, Simonetta A1 - Zehnder, Christian A1 - Булгакова, Oксана A1 - Vassilieva, Ekaterina A1 - Paperny, Vladimir A1 - Engel, Christine A1 - Christians, Heiko A1 - Petzer, Tatjana A1 - Pellanda, Marina A1 - Вардиц, Владислава ED - Franz, Norbert P. T1 - Andrej Tarkovskij: Klassiker – Классик – Classic – Classico BT - Beiträge zum internationalen Tarkovskij-Symposium an der Universität Potsdam ; Band 2 N2 - Vom 18. bis 20. September 2014 versammelten sich an der Universität Potsdam kultur- und filmwissenschaftlich arbeitende Wissenschaftler zu einem Andrej Tarkovskij gewidmeten Symposium, dem ersten internationalen. Die 25 Teilnehmer kamen nämlich aus neun Ländern. Dadurch, dass nicht wenige auch eine – wie man heute sagt – „Migrationsbiographie“ haben, potenzierte sich die durch die jeweils unterschiedliche Herkunft bedingte Multiperspektivik, zu der jedoch der Modus der Wissenschaftlichkeit ein deutlich relativierendes Korrektiv bildet. Der vorliegende Band enthält im Wesentlichen die dort vorgestellten Beiträge, aber auch die der Fachleute, die nicht persönlich hatten nach Potsdam kommen können. Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-90975 SN - 978-3-86956-352-7 PB - Universitätsverlag Potsdam CY - Potsdam ER - TY - THES A1 - Šustr, David T1 - Molecular diffusion in polyelectrolyte multilayers N2 - Research on novel and advanced biomaterials is an indispensable step towards their applications in desirable fields such as tissue engineering, regenerative medicine, cell culture, or biotechnology. The work presented here focuses on such a promising material: polyelectrolyte multilayer (PEM) composed of hyaluronic acid (HA) and poly(L-lysine) (PLL). This gel-like polymer surface coating is able to accumulate (bio-)molecules such as proteins or drugs and release them in a controlled manner. It serves as a mimic of the extracellular matrix (ECM) in composition and intrinsic properties. These qualities make the HA/PLL multilayers a promising candidate for multiple bio-applications such as those mentioned above. The work presented aims at the development of a straightforward approach for assessment of multi-fractional diffusion in multilayers (first part) and at control of local molecular transport into or from the multilayers by laser light trigger (second part). The mechanism of the loading and release is governed by the interaction of bioactives with the multilayer constituents and by the diffusion phenomenon overall. The diffusion of a molecule in HA/PLL multilayers shows multiple fractions of different diffusion rate. Approaches, that are able to assess the mobility of molecules in such a complex system, are limited. This shortcoming motivated the design of a novel evaluation tool presented here. The tool employs a simulation-based approach for evaluation of the data acquired by fluorescence recovery after photobleaching (FRAP) method. In this approach, possible fluorescence recovery scenarios are primarily simulated and afterwards compared with the data acquired while optimizing parameters of a model until a sufficient match is achieved. Fluorescent latex particles of different sizes and fluorescein in an aqueous medium are utilized as test samples validating the analysis results. The diffusion of protein cytochrome c in HA/PLL multilayers is evaluated as well. This tool significantly broadens the possibilities of analysis of spatiotemporal FRAP data, which originate from multi-fractional diffusion, while striving to be widely applicable. This tool has the potential to elucidate the mechanisms of molecular transport and empower rational engineering of the drug release systems. The second part of the work focuses on the fabrication of such a spatiotemporarily-controlled drug release system employing the HA/PLL multilayer. This release system comprises different layers of various functionalities that together form a sandwich structure. The bottom layer, which serves as a reservoir, is formed by HA/PLL PEM deposited on a planar glass substrate. On top of the PEM, a layer of so-called hybrids is deposited. The hybrids consist of thermoresponsive poly(N-isopropylacrylamide) (PNIPAM) -based hydrogel microparticles with surface-attached gold nanorods. The layer of hybrids is intended to serve as a gate that controls the local molecular transport through the PEM–solution-interface. The possibility of stimulating the molecular transport by near-infrared (NIR) laser irradiation is being explored. From several tested approaches for the deposition of hybrids onto the PEM surface, the drying-based approach was identified as optimal. Experiments, that examine the functionality of the fabricated sandwich at elevated temperature, document the reversible volume phase transition of the PEM-attached hybrids while sustaining the sandwich stability. Further, the gold nanorods were shown to effectively absorb light radiation in the tissue- and cell-friendly NIR spectral region while transducing the energy of light into heat. The rapid and reversible shrinkage of the PEM-attached hybrids was thereby achieved. Finally, dextran was employed as a model transport molecule. It loads into the PEM reservoir in a few seconds with the partition constant of 2.4, while it spontaneously releases in a slower, sustained manner. The local laser irradiation of the sandwich, which contains the fluorescein isothiocyanate tagged dextran, leads to a gradual reduction of fluorescence intensity in the irradiated region. The release system fabricated employs renowned photoresponsivity of the hybrids in an innovative setting. The results of the research are a step towards a spatially-controlled on-demand drug release system that paves the way to spatiotemporally controlled drug release. The approaches developed in this work have the potential to elucidate the molecular dynamics in ECM and to foster engineering of multilayers with properties tuned to mimic the ECM. The work aims at spatiotemporal control over the diffusion of bioactives and their presentation to the cells. N2 - Die Forschung an neuartigen und komplexen Biomaterialien ist unabdingbar für deren Einsatz in begehrten Bereichen wie der Gewebezüchtung, regenerativen Medizin, Zellkultivierung und Biotechnologie. Die hier vorgelegte Arbeit beschäftigt sich eingehend mit einem dieser vielversprechenden Materialien: Polyelektrolytische Multilayers (PEM), die aus Hyaluronsäure (Hyaluronic Acid, HA) und Poly-L-Lysin (PLL) zusammengesetzt sind. Diese gelartige Polymerbeschichtung ermöglicht es, (Bio-) Moleküle wie z.B. Proteine oder Medikamente zu akkumulieren und diese kontrolliert wieder abzugeben. Durch ihre Zusammensetzung und intrinsischen Merkmale können die PEM der Imitation einer Extrazellulären Matrix (ECM) dienen. Diese Eigenschaften machen die HA/PLL-PEM zu einem Anwärter auf verschiedene Bio-Anwendungen, wie den oben genannten. Die vorliegende Arbeit zielt auf die Entwicklung eines Ansatzes zur Einschätzung der multi-fraktionellen Diffusion in Multilayers (1. Teil), und auf die Kontrolle des lokalen molekularen Transports in und aus den Multilayers durch Laser-Stimulation (2. Teil). Der Aufnahme- und Freisetzungsmechanismus wird bestimmt von der Wechselwirkung zwischen Bioaktiva und den Bestandteilen der Multilayers, sowie allgemein vom Diffusionsprozess. Der Diffusion eines Molekül in HA/PLL-PEM weist unterschiedliche Diffusionsraten einzelner Molekülbestandteile auf. Derzeit existieren nur wenige Ansätze zur Einschätzung der Mobilität von Molekülen in derart komplexen Systemen. Diesem Mangel will die vorliegende Arbeit durch das Design eines neuartigen Evaluations-Instruments abhelfen. Dieses Instrument bedient sich eines simulationsbasierten Ansatzes zur Evaluation von Daten, die durch die fluorescence recovery after photobleaching (FRAP) -Methode erfasst wurden. Der Ansatz simuliert zunächst mögliche Szenarien der Fluoreszenz-Rückbildung, um diese anschließend mit Messdaten zu vergleichen; dazu werden Modell-Parameter angepasst, um suffiziente Vergleichswerte zu erzielen. Fluoreszierende Latex-Partikel verschiedener Größe und eine Fluoresceinlösung wurden als Kontroll- und Vergleichs-Proben verwendet, um die Ergebnisse zu überprüfen. Zusätzlich wurde die Diffusion des Proteins Cytochrom C in eine HA/PLL-PEM ausgewertet. Dieses Instrument weitet die Möglichkeiten der Analyse von spatiotemporären FRAP-Daten, die aus der multi-fraktionellen Diffusion stammen, erheblich und gleichzeitig ist es vielseitig einsetzbar. Das Instrument hat das Potential, die Mechanismen des Molekültransports weiter zu erhellen, und eine gezielte Steuerung der Freisetzung medikamentöser Wirkstoffe zu ermöglichen. Der zweite Teil der Arbeit widmet sich der Erstellung eines Systems zur spatiotemporären Wirkstofffreisetzung, das sich die HA/PLL-PEM zunutze macht. Dieses Freisetzungssystem umfasst verschiedene Lagen mit jeweils unterschiedlichen Funktionsweisen, die zusammen ein „Sandwich“ bilden. Die zugrundeliegende Schicht aus HA/PLL-PEM auf einem planaren Glassubstrat dient als Reservoir. Auf diese PEM ist eine Schicht sogenannter Hybride aufgebracht. Die Hybride bestehen aus thermoresponsiven Poly-N-Isopropylacrylamid (PNIPAM) -basierten Hydrogel-Mikropartikeln auf deren Gold-Nanostäbchen gebunden sind. Die Hybridschicht dient in der räumlichen Kontrolle des lokalen Molekültransports als „Schlupfloch“ an der Schnittstelle von PEM und Lösung. Die Möglichkeit der Stimulation des molekülaren Transports durch Bestrahlung mit einem Nah-Infrarot-Laser (NIR) wird hier untersucht. Von den mehreren getesteten Ansätzen zur Aufbringung von Hybriden auf die PEM-Oberfläche stellte sich die Trocknung als beste Möglichkeit heraus. Funktionalitätskontrollen des hergestellten Sandwiches bei erhöhter Temperatur ergaben eine reversible Volumenphasenübergang der PEM-gebundenen Hybride, wobei die Sandwich-Struktur erhalten blieb. Weiterhin wurde eine effektive Lichtabsorption durch die Gold-Nanostäbchen in den gewebe- und zellschonenden NIR-Spektrumsbereich gezeigt, wobei die aufgenommene Lichtenergie in Wärme umgewandelt wurde. Dadurch wurde eine schnelle und reversible Schrumpfung der PEM-gebundenen Hybride erreicht. Zuguterletzt wird Dextran als Modellmolekül für den Transport eingesetzt. Dieses wird in wenigen Sekunden – mit einem Verteilungskoeffizient von 2,4 – in das PEM-Reservoir aufgenommen, während es auf langsamere, anhaltende Weise freigesetzt wird. Die lokale Laser-Bestrahlung des Dextran-FITC-haltigen Sandwiches bewirkte eine schrittweise Reduktion der Fluoreszenz-Intensität in der bestrahlten Region. Das hier vorgestellte Molekül-Freisetzungssystem verwendet die vielzitierte Photoresponsivität von Hybriden auf neuartige Weise. Die Ergebnisse der Untersuchung bedeuten einen Fortschritt in Richtung eines räumlich kontrollierten, nach Bedarf steuerbaren Freisetzungs-Systems, das wiederum den Weg zu einer spatiotemporären Kontrollierbarkeit der Wirkstoff-Freisetzung bereiten könnte. Die in dieser Arbeit entwickelten Ansätze ermöglichen ein besseres Verständnis der Dynamik in der ECM, sowie die Entwicklung ECM-ähnlicher Multilayers. Die Arbeit hat die spatiotemporäre Kontrolle der Diffusion von bioaktiven Stoffen und deren Präsentation gegenüber Zellen zum Ziel. T2 - Molekulare Diffusion in Polyelektrolyt-Multischichten KW - polyelectrolyte multilayers KW - diffusion KW - simulation KW - FRAP KW - microgel KW - drug release KW - PNIPAM KW - IR laser KW - assessment of the diffusion KW - mulifractional diffusion KW - spatially and temporally controlled drug release KW - ordering of particles on the surface KW - close packing KW - dichteste Packung KW - Diffusion KW - Einschätzung der Diffusion KW - Wirkstoff-Freisetzun KW - Mikrogel KW - multi-fraktionelle Diffusion KW - Ordnung der Partikel auf der Oberfläche KW - Polyelektrolyt-Multischichten KW - Simulation KW - räumlich und zeitlich kontrollierte Wirkstoff-Freisetzung KW - FRAP KW - IR laser KW - PNIPAM Y1 - 2020 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-489038 ER - TY - RPRT A1 - Šedová, Barbora A1 - Čizmaziová, Lucia A1 - Cook, Athene T1 - A meta-analysis of climate migration literature T2 - CEPA Discussion Papers N2 - The large literature that aims to find evidence of climate migration delivers mixed findings. This meta-regression analysis i) summarizes direct links between adverse climatic events and migration, ii) maps patterns of climate migration, and iii) explains the variation in outcomes. Using a set of limited dependent variable models, we meta-analyze thus-far the most comprehensive sample of 3,625 estimates from 116 original studies and produce novel insights on climate migration. We find that extremely high temperatures and drying conditions increase migration. We do not find a significant effect of sudden-onset events. Climate migration is most likely to emerge due to contemporaneous events, to originate in rural areas and to take place in middle-income countries, internally, to cities. The likelihood to become trapped in affected areas is higher for women and in low-income countries, particularly in Africa. We uniquely quantify how pitfalls typical for the broader empirical climate impact literature affect climate migration findings. We also find evidence of different publication biases. T3 - CEPA Discussion Papers - 29 KW - migration KW - climate change KW - meta-analysis Y1 - 2021 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-499827 SN - 2628-653X IS - 29 ER - TY - JOUR A1 - Šedová, Barbora A1 - Kalkuhl, Matthias T1 - Who are the climate migrants and where do they go? BT - Evidence from rural India JF - World development N2 - In this paper, we move from the large strand of research that looks at evidence of climate migration to the questions: who are the climate migrants? and where do they go? These questions are crucial to design policies that mitigate welfare losses of migration choices due to climate change. We study the direct and heterogeneous associations between weather extremes and migration in rural India. We combine ERAS reanalysis data with the India Human Development Survey household panel and conduct regression analyses by applying linear probability and multinomial logit models. This enables us to establish a causal relationship between temperature and precipitation anomalies and overall migration as well as migration by destination. We show that adverse weather shocks decrease rural-rural and international migration and push people into cities in different, presumably more prosperous states. A series of positive weather shocks, however, facilitates international migration and migration to cities within the same state. Further, our results indicate that in contrast to other migrants, climate migrants are likely to be from the lower end of the skill distribution and from households strongly dependent on agricultural production. We estimate that approximately 8% of all rural-urban moves between 2005 and 2012 can be attributed to weather. This figure might increase as a consequence of climate change. Thus, a key policy recommendation is to take steps to facilitate integration of less educated migrants into the urban labor market. KW - climate change KW - migration KW - household analysis KW - India KW - econometrics Y1 - 2020 U6 - https://doi.org/10.1016/j.worlddev.2019.104848 SN - 0305-750X SN - 1873-5991 VL - 129 PB - Elsevier Science CY - Amsterdam ER - TY - THES A1 - Šedová, Barbora T1 - Heterogeneous effects of weather and climate change on human migration T1 - Heterogene Auswirkungen von Wetter und Klimawandel auf menschliche Migration N2 - While estimated numbers of past and future climate migrants are alarming, the growing empirical evidence suggests that the association between adverse climate-related events and migration is not universally positive. This dissertation seeks to advance our understanding of when and how climate migration emerges by analyzing heterogeneous climatic influences on migration in low- and middle-income countries. To this end, it draws on established economic theories of migration, datasets from physical and social sciences, causal inference techniques and approaches from systematic literature review. In three of its five chapters, I estimate causal effects of processes of climate change on inequality and migration in India and Sub-Saharan Africa. By employing interaction terms and by analyzing sub-samples of data, I explore how these relationships differ for various segments of the population. In the remaining two chapters, I present two systematic literature reviews. First, I undertake a comprehensive meta-regression analysis of the econometric climate migration literature to summarize general climate migration patterns and explain the conflicting findings. Second, motivated by the broad range of approaches in the field, I examine the literature from a methodological perspective to provide best practice guidelines for studying climate migration empirically. Overall, the evidence from this dissertation shows that climatic influences on human migration are highly heterogeneous. Whether adverse climate-related impacts materialize in migration depends on the socio-economic characteristics of the individual households, such as wealth, level of education, agricultural dependence or access to adaptation technologies and insurance. For instance, I show that while adverse climatic shocks are generally associated with an increase in migration in rural India, they reduce migration in the agricultural context of Sub-Saharan Africa, where the average wealth levels are much lower so that households largely cannot afford the upfront costs of moving. I find that unlike local climatic shocks which primarily enhance internal migration to cities and hence accelerate urbanization, shocks transmitted via agricultural producer prices increase migration to neighboring countries, likely due to the simultaneous decrease in real income in nearby urban areas. These findings advance our current understanding by showing when and how economic agents respond to climatic events, thus providing explicit contexts and mechanisms of climate change effects on migration in the future. The resulting collection of findings can guide policy interventions to avoid or mitigate any present and future welfare losses from climate change-related migration choices. N2 - Während die geschätzten Zahlen zukünftiger Klimamigranten alarmierend sind, deuten die wachsenden empirischen Belege darauf hin, dass der Klimawandel nicht automatisch zu mehr Migration führt. Denn auch wenn klimabezogene Einflüsse die Entscheidung zur Migration zunehmend beeinflussen, wird diese durch eine Vielzahl von Faktoren, wie beispielsweise den sozioökonomischen und politischen Bedingungen, beeinflusst. Der Zusammenhang zwischen Klimawandel und Migration ist also stark kontextabhängig. Diese Dissertation besteht aus fünf Artikeln und zeigt, wann und wie Klimamigration entsteht, indem sie die heterogenen klimatischen Einflüsse in Entwicklungsländern untersucht. Gestützt auf ökonomische Migrationstheorien analysiere ich Datensätze aus den Natur- und Sozialwissenschaften mithilfe von Methodiken der ökonometrischen Kausalanalyse, der Geoinformationssysteme und der systematischen Literatursynthese. In drei von fünf Kapiteln schätze ich die kausalen Auswirkungen des Klimawandels auf Ungleichheit und Migration in Indien und Subsahara Afrika. Durch die Verwendung von Interaktionstermen und die Analyse von Teilstichproben untersuche ich in Regressionsmodellen, wie sich diese Beziehungen für verschiedene Bevölkerungsgruppen unterscheiden. In den verbleibenden zwei Kapiteln fasse ich die ökonometrische Literatur zur Klimamigration systematisch zusammen. Zunächst führe ich eine umfassende Meta-Regressionsanalyse durch, um die allgemeine Klimamigrationsmuster zusammenzufassen und die widersprüchliche Evidenz zu erklären. In einem zweiten Schritt untersuche ich die ökonometrische Klimamigrationsliteratur aus einer methodologischen Perspektive, um Best-Practice-Leitlinien für künftige empirische Analysen von Klimamigration bereitzustellen. Insgesamt bestätigen die Ergebnisse dieser Dissertation, dass die klimatischen Einflüsse auf menschliche Migration heterogen sind und von den sozioökonomischen Merkmalen der einzelnen Haushalte wie dem Wohlstand und Bildungsniveau, der Abhängigkeit von der Landwirtschaft oder dem Zugang zu Anpassungstechnologien und Versicherungen, mitbestimmt werden. Ich finde beispielsweise, dass ungünstige klimatische Schocks zu einem Migrationsanstieg im ländlichen Indien führen, sie aber die Migration im landwirtschaftlichen Subsahara Afrika, wo das durchschnittliche Einkommensniveau viel niedriger ist, verhindern. Ich habe zudem herausgefunden, dass im Gegensatz zu lokalen klimatischen Schocks, die in erster Linie die Binnenmigration in die Städte verstärken und damit die Urbanisierung beschleunigen, globale Schocks über landwirtschaftliche Erzeugerpreise die Abwanderung in benachbarte Länder antreiben. Diese Ergebnisse erweitern unser derzeitiges Verständnis, indem sie verdeutlichen, wann und wie Akteure auf unterschiedliche Klimaereignisse mit der Entscheidung zur Migration reagieren. Die daraus resultierenden Erkenntnisse können helfen, Entscheidungsträger auf drei wichtige Arten zu informieren. Erstens, wenn man weiß, wer die Klimamigranten sind und welche Destinationsziele sie wählen, wird Klimamigration vorhersehbarer und damit kontrollierbarer. Dies kann verhindern, dass sie zu einer humanitären Krise wird. Zweitens hilft die Identifizierung von Bevölkerungsgruppen, die nicht in der Lage sind, sich durch Migration an die veränderten klimatischen Bedingungen anzupassen, dabei, unfreiwillige Immobilität zu vermeiden, was wiederum auch eine potenzielle humanitären Krise verhindert. Drittens können all diese Informationen helfen, Kosten und Nutzen der Klima(im)mobilität genauer zu bewerten und so die Social Cost of Carbon genauer einzuschätzen. KW - migration KW - weather KW - climate change KW - agriculture KW - food prices KW - inequality KW - econometrics KW - Landwirtschaft KW - Klimawandel KW - Ökonometrie KW - Lebensmittelpreise KW - Ungleichheit KW - Migration KW - Wetter Y1 - 2022 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-536733 ER - TY - JOUR A1 - Şener, Ulaş T1 - Rodrik, Dani (2015): Economics Rules: The Rights and Wrongs of the Dismal Science / rezensiert von Ulaş Şener JF - European journal of economics and economic policies : intervention ; EJEEP Y1 - 2017 U6 - https://doi.org/10.4337/ejeep.2017.03.08 SN - 2052-7764 SN - 2195-3376 VL - 14 SP - 375 EP - 377 PB - Elgar CY - Cheltenham ER - TY - BOOK A1 - Şener, Ulaş T1 - Die Neutralitätstheorie des Geldes T1 - The neutrality of money theory BT - ein kritischer Überblick BT - a critical review N2 - Ökonomen wie Wirtschaftspolitiker berufen sich auf die Neutralitätstheorie des Geldes, wenn sie eine Entpolitisierung der Geldpolitik fordern. Sowohl die Theorie der Geldneutralität als auch das Paradigma der Entpolitisierung der Geldpolitik sind jedoch problematisch. Die politökonomischen Entwicklungen nach der globalen Finanz- und Wirtschaftskrise 2007/2008 und die jüngsten Kontroversen über die Rolle und Bedeutung von Geld haben dies deutlich vor Augen geführt. Die vorliegende Arbeit diskutiert zunächst die konzeptionellen Grundlagen und theoretischen Modelle der Geldneutralität. Anschließend werden die zentralen theoretischen Annahmen und Aussagen der Neutralitätstheorie aus einer kritischen heterodoxen Perspektive hinterfragt. Es wird argumentiert, dass Geld eine nicht-neutrale Produktionskraft ist, die weder ökonomisch noch sozial neutral ist. Die Bedingungen, unter denen Geld verfügbar ist und zirkuliert, sind richtungsweisend für die ökonomische Entwicklung. Daher kann es auch kein neutrales Geld oder gar eine apolitische Geldpolitik geben. N2 - The assumption of the neutrality of money is a widespread belief in mainstream economics. Accordingly, money is regarded as a neutral means of exchange that has no lasting effects on the real side of the economy. This study questions the conceptual validity of the neutrality assumption and its theoretical models arguing that its basic insights and predictions are problematic because they misrepresent the circumstances and conditions of the real economy. First, it discusses the conceptual grounds of the neutrality argument, which is based on the classical dichotomy approach and the notion of exogenous money. In a second step, it exposes the theoretical weaknesses of both the traditional and the contemporary versions of the neutral money models, that is, of the quantity theory and the rational-choice theory, by questioning its basic assumptions and implications. Finally, it argues from a critical heterodox perspective that rather than exogenous and neutral, money is endogenous and non-neutral, both in economic and social terms. T3 - Potsdam Economic Papers - 4 KW - Geldneutralität KW - Heterodoxe Ökonomik KW - Endogenität des Geldes KW - neutrality of money KW - heterodox economics KW - endogenous money Y1 - 2014 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-72367 SN - 978-3-86956-307-7 PB - Universitätsverlag Potsdam CY - Potsdam ER - TY - BOOK A1 - Şener, Ulaş T1 - Die Neutralitätstheorie des Geldes T1 - The neutrality of money theory BT - ein kritischer Überblick BT - a critical review N2 - Ökonomen wie Wirtschaftspolitiker berufen sich auf die Neutralitätstheorie des Geldes, wenn sie eine Entpolitisierung der Geldpolitik fordern. Sowohl die Theorie der Geldneutralität als auch das Paradigma der Entpolitisierung der Geldpolitik sind jedoch problematisch. Die politökonomischen Entwicklungen nach der globalen Finanz- und Wirtschaftskrise 2007/2008 und die jüngsten Kontroversen über die Rolle und Bedeutung von Geld haben dies deutlich vor Augen geführt. Die vorliegende Arbeit diskutiert zunächst die konzeptionellen Grundlagen und theoretischen Modelle der Geldneutralität. Anschließend werden die zentralen theoretischen Annahmen und Aussagen der Neutralitätstheorie aus einer kritischen heterodoxen Perspektive hinterfragt. Es wird argumentiert, dass Geld eine nicht-neutrale Produktionskraft ist, die weder ökonomisch noch sozial neutral ist. Die Bedingungen, unter denen Geld verfügbar ist und zirkuliert, sind richtungsweisend für die ökonomische Entwicklung. Daher kann es auch kein neutrales Geld oder gar eine apolitische Geldpolitik geben. N2 - The assumption of the neutrality of money is a widespread belief in mainstream economics. Accordingly, money is regarded as a neutral means of exchange that has no lasting effects on the real side of the economy. This study questions the conceptual validity of the neutrality assumption and its theoretical models arguing that its basic insights and predictions are problematic because they misrepresent the circumstances and conditions of the real economy. First, it discusses the conceptual grounds of the neutrality argument, which is based on the classical dichotomy approach and the notion of exogenous money. In a second step, it exposes the theoretical weaknesses of both the traditional and the contemporary versions of the neutral money models, that is, of the quantity theory and the rational-choice theory, by questioning its basic assumptions and implications. Finally, it argues from a critical heterodox perspective that rather than exogenous and neutral, money is endogenous and non-neutral, both in economic and social terms. T3 - Potsdam Economic Papers - 4, 2. Aufl. KW - Geldneutralität KW - Heterodoxe Ökonomik KW - Endogenität des Geldes KW - neutrality of money KW - heterodox economics KW - endogenous money Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-83164 SN - 978-3-86956-344-2 SN - 2197-8069 SN - 2197-8077 PB - Universitätsverlag Potsdam CY - Potsdam ET - 2., durchgesehene Aufl. ER - TY - THES A1 - Şener, Ulaş T1 - Die relative Autonomie der Zentralbank BT - Eine politökonomische Analyse der türkischen Geldpolitik nach 2001 T2 - Potsdam Economic Studies N2 - Die vorliegende Arbeit untersucht die Politik der Zentralbankunabhängigkeit (ZBU) am Beispiel der Türkei. Im Mittelpunkt der Arbeit stehen theoretische und empirische Fragen und Probleme, die sich im Zusammenhang mit der ZBU stellen und anhand der türkischen Geldpolitik diskutiert werden. Ein zentrales Ziel der Arbeit besteht darin, zu untersuchen, ob und inwiefern die türkische Zentralbank nach Erlangung der de jure institutionellen Unabhängigkeit tatsächlich als unabhängig und entpolitisiert eingestuft werden kann. Um diese Forschungsfrage zu beantworten, werden die institutionellen Bedingungen, die Ziele und die Regeln, nach denen sich die türkische Geldpolitik richtet, geklärt. Anschließend wird empirisch überprüft, ob die geldpolitische Praxis der CBRT sich an dem offiziell vorgegebenen Regelwerk orientiert. Die Hauptthese dieser Arbeit lautet, dass die formelle Unabhängigkeit der CBRT und die regelorientierte Geldpolitik nicht mit einer Entpolitisierung der Geldpolitik in der Türkei gleichzusetzen ist. Als Alternative schlägt die vorliegende Studie vor, den institutionellen Status der CBRT als einen der relativen Autonomie zu untersuchen. Auch eine de jure unabhängige Zentralbank kann sich nicht von politischen Eingriffen abkoppeln, wie das Fallbeispiel Türkei zeigen wird. N2 - This book examines the relationship between central bank independence and monetary policy in Turkey with a political economic approach. Focusing on the Turkish example, it addresses the theoretical and empirical questions that arise in connection with central bank independence. It analyses the Turkish central bank's institutional statue and its implications for monetary policy since its formal independence in 2001. The main outcome is that Turkey's central bank cannot be regarded as an independent and depoliticized monetary institution, not least due to the high political pressure the ruling Justice and Development Party was able to put on monetary policy decision, especially after the global financial crises 2007-08. The book investigates further domestic and international political economic conditions and developments in regards to the exertion of influence on the Turkish monetary policy. The case of Turkey shows that even a formally independent central bank is unable to detach itself from political interference, in spite of a strong ideology of de-politicized monetary policy. To conceptually grasp this outcome the present title proposes an understanding of the CBRT’s institutional status as one of ‘relative autonomy’. T3 - Potsdam Economic Studies - 5 KW - Geldpolitik KW - Zentralbankunabhängigkeit KW - Türkei KW - relative Autonomie KW - politische Ökonomie KW - monetary policy KW - central bank independence KW - Turkey KW - relative autonomy KW - political economy Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-88856 SN - 978-3-86956-362-6 SN - 2196-8691 SN - 2196-9302 VL - 5 PB - Universitätsverlag Potsdam CY - Potsdam ER - TY - GEN A1 - Ślęzak, Jakub A1 - Metzler, Ralf A1 - Magdziarz, Marcin T1 - Codifference can detect ergodicity breaking and non-Gaussianity T2 - Postprints der Universität Potsdam Mathematisch-Naturwissenschaftliche Reihe N2 - We show that the codifference is a useful tool in studying the ergodicity breaking and non-Gaussianity properties of stochastic time series. While the codifference is a measure of dependence that was previously studied mainly in the context of stable processes, we here extend its range of applicability to random-parameter and diffusing-diffusivity models which are important in contemporary physics, biology and financial engineering. We prove that the codifference detects forms of dependence and ergodicity breaking which are not visible from analysing the covariance and correlation functions. We also discuss a related measure of dispersion, which is a nonlinear analogue of the mean squared displacement. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 748 KW - diffusion KW - anomalous diffusion KW - stochastic time series Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-436178 IS - 748 ER - TY - GEN A1 - Ślęzak, Jakub A1 - Metzler, Ralf A1 - Magdziarz, Marcin T1 - Superstatistical generalised Langevin equation BT - non-Gaussian viscoelastic anomalous diffusion N2 - Recent advances in single particle tracking and supercomputing techniques demonstrate the emergence of normal or anomalous, viscoelastic diffusion in conjunction with non-Gaussian distributions in soft, biological, and active matter systems. We here formulate a stochastic model based on a generalised Langevin equation in which non-Gaussian shapes of the probability density function and normal or anomalous diffusion have a common origin, namely a random parametrisation of the stochastic force. We perform a detailed analysis demonstrating how various types of parameter distributions for the memory kernel result in exponential, power law, or power-log law tails of the memory functions. The studied system is also shown to exhibit a further unusual property: the velocity has a Gaussian one point probability density but non-Gaussian joint distributions. This behaviour is reflected in the relaxation from a Gaussian to a non-Gaussian distribution observed for the position variable. We show that our theoretical results are in excellent agreement with stochastic simulations. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 413 KW - anomalous diffusion KW - generalised langevin equation KW - superstatistics KW - non-Gaussian diffusion Y1 - 2018 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-409315 ER - TY - JOUR A1 - Ślęzak, Jakub A1 - Metzler, Ralf A1 - Magdziarz, Marcin T1 - Superstatistical generalised Langevin equation BT - non-Gaussian viscoelastic anomalous diffusion JF - New Journal of Physics N2 - Recent advances in single particle tracking and supercomputing techniques demonstrate the emergence of normal or anomalous, viscoelastic diffusion in conjunction with non-Gaussian distributions in soft, biological, and active matter systems. We here formulate a stochastic model based on a generalised Langevin equation in which non-Gaussian shapes of the probability density function and normal or anomalous diffusion have a common origin, namely a random parametrisation of the stochastic force. We perform a detailed analysis demonstrating how various types of parameter distributions for the memory kernel result in exponential, power law, or power-log law tails of the memory functions. The studied system is also shown to exhibit a further unusual property: the velocity has a Gaussian one point probability density but non-Gaussian joint distributions. This behaviour is reflected in the relaxation from a Gaussian to a non-Gaussian distribution observed for the position variable. We show that our theoretical results are in excellent agreement with stochastic simulations. KW - anomalous diffusion KW - generalised langevin equation KW - superstatistics KW - non-Gaussian diffusion Y1 - 2018 U6 - https://doi.org/10.1088/1367-2630/aaa3d4 SN - 1367-2630 VL - 20 IS - 023026 SP - 1 EP - 25 PB - Deutsche Physikalische Gesellschaft / Institute of Physics CY - Bad Honnef und London ER - TY - JOUR A1 - Ślęzak, Jakub A1 - Metzler, Ralf A1 - Magdziarz, Marcin T1 - Codifference can detect ergodicity breaking and non-Gaussianity JF - New Journal of Physics N2 - We show that the codifference is a useful tool in studying the ergodicity breaking and non-Gaussianity properties of stochastic time series. While the codifference is a measure of dependence that was previously studied mainly in the context of stable processes, we here extend its range of applicability to random-parameter and diffusing-diffusivity models which are important in contemporary physics, biology and financial engineering. We prove that the codifference detects forms of dependence and ergodicity breaking which are not visible from analysing the covariance and correlation functions. We also discuss a related measure of dispersion, which is a nonlinear analogue of the mean squared displacement. KW - diffusion KW - stochastic time series KW - anomalous diffusion Y1 - 2019 U6 - https://doi.org/10.1088/1367-2630/ab13f3 SN - 1367-2630 VL - 21 PB - Deutsche Physikalische Gesellschaft CY - Bad Honnef ER - TY - GEN A1 - Ślęzak, Jakub A1 - Burnecki, Krzysztof A1 - Metzler, Ralf T1 - Random coefficient autoregressive processes describe Brownian yet non-Gaussian diffusion in heterogeneous systems T2 - Postprints der Universität Potsdam Mathematisch-Naturwissenschaftliche Reihe N2 - Many studies on biological and soft matter systems report the joint presence of a linear mean-squared displacement and a non-Gaussian probability density exhibiting, for instance, exponential or stretched-Gaussian tails. This phenomenon is ascribed to the heterogeneity of the medium and is captured by random parameter models such as ‘superstatistics’ or ‘diffusing diffusivity’. Independently, scientists working in the area of time series analysis and statistics have studied a class of discrete-time processes with similar properties, namely, random coefficient autoregressive models. In this work we try to reconcile these two approaches and thus provide a bridge between physical stochastic processes and autoregressive models.Westart from the basic Langevin equation of motion with time-varying damping or diffusion coefficients and establish the link to random coefficient autoregressive processes. By exploring that link we gain access to efficient statistical methods which can help to identify data exhibiting Brownian yet non-Gaussian diffusion. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 765 KW - diffusion KW - Langevin equation KW - Brownian yet non-Gaussian diffusion KW - diffusing diffusivity KW - superstatistics KW - autoregressive models KW - time series analysis KW - codifference Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-437923 SN - 1866-8372 IS - 765 ER - TY - JOUR A1 - Ślęzak, Jakub A1 - Burnecki, Krzysztof A1 - Metzler, Ralf T1 - Random coefficient autoregressive processes describe Brownian yet non-Gaussian diffusion in heterogeneous systems JF - New Journal of Physics N2 - Many studies on biological and soft matter systems report the joint presence of a linear mean-squared displacement and a non-Gaussian probability density exhibiting, for instance, exponential or stretched-Gaussian tails. This phenomenon is ascribed to the heterogeneity of the medium and is captured by random parameter models such as ‘superstatistics’ or ‘diffusing diffusivity’. Independently, scientists working in the area of time series analysis and statistics have studied a class of discrete-time processes with similar properties, namely, random coefficient autoregressive models. In this work we try to reconcile these two approaches and thus provide a bridge between physical stochastic processes and autoregressive models.Westart from the basic Langevin equation of motion with time-varying damping or diffusion coefficients and establish the link to random coefficient autoregressive processes. By exploring that link we gain access to efficient statistical methods which can help to identify data exhibiting Brownian yet non-Gaussian diffusion. KW - diffusion KW - Langevin equation KW - Brownian yet non-Gaussian diffusion KW - diffusing diffusivity KW - superstatistics KW - autoregressive models KW - time series analysis KW - codifference Y1 - 2019 U6 - https://doi.org/10.1088/1367-2630/ab3366 SN - 1367-2630 VL - 21 PB - Deutsche Physikalische Gesellschaft ; IOP, Institute of Physics CY - Bad Honnef und London ER - TY - GEN A1 - Ćwiek-Kupczyńska, Hanna A1 - Altmann, Thomas A1 - Arend, Daniel A1 - Arnaud, Elizabeth A1 - Chen, Dijun A1 - Cornut, Guillaume A1 - Fiorani, Fabio A1 - Frohmberg, Wojciech A1 - Junker, Astrid A1 - Klukas, Christian A1 - Lange, Matthias A1 - Mazurek, Cezary A1 - Nafissi, Anahita A1 - Neveu, Pascal A1 - van Oeveren, Jan A1 - Pommier, Cyril A1 - Poorter, Hendrik A1 - Rocca-Serra, Philippe A1 - Sansone, Susanna-Assunta A1 - Scholz, Uwe A1 - van Schriek, Marco A1 - Seren, Ümit A1 - Usadel, Björn A1 - Weise, Stephan A1 - Kersey, Paul A1 - Krajewski, Paweł T1 - Measures for interoperability of phenotypic data BT - minimum information requirements and formatting T2 - Plant methods N2 - Background: Plant phenotypic data shrouds a wealth of information which, when accurately analysed and linked to other data types, brings to light the knowledge about the mechanisms of life. As phenotyping is a field of research comprising manifold, diverse and time ‑consuming experiments, the findings can be fostered by reusing and combin‑ ing existing datasets. Their correct interpretation, and thus replicability, comparability and interoperability, is possible provided that the collected observations are equipped with an adequate set of metadata. So far there have been no common standards governing phenotypic data description, which hampered data exchange and reuse. Results: In this paper we propose the guidelines for proper handling of the information about plant phenotyping experiments, in terms of both the recommended content of the description and its formatting. We provide a docu‑ ment called “Minimum Information About a Plant Phenotyping Experiment”, which specifies what information about each experiment should be given, and a Phenotyping Configuration for the ISA ‑Tab format, which allows to practically organise this information within a dataset. We provide examples of ISA ‑Tab ‑formatted phenotypic data, and a general description of a few systems where the recommendations have been implemented. Conclusions: Acceptance of the rules described in this paper by the plant phenotyping community will help to achieve findable, accessible, interoperable and reusable data. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 450 KW - data standardisation and formatting KW - experimental metadata KW - minimum information recommendations KW - plant phenotyping KW - experiment description Y1 - 2018 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-407299 ER - TY - JOUR A1 - Üstün, Suayib A1 - Sheikh, Arsheed A1 - Gimenez-Ibanez, Selena A1 - Jones, Alexandra A1 - Ntoukakis, Vardis A1 - Börnke, Frederik T1 - The Proteasome Acts as a Hub for Plant Immunity and Is Targeted by Pseudomonas Type III Effectors JF - Plant physiology : an international journal devoted to physiology, biochemistry, cellular and molecular biology, biophysics and environmental biology of plants N2 - Recent evidence suggests that the ubiquitin-proteasome system is involved in several aspects of plant immunity and that a range of plant pathogens subvert the ubiquitin-proteasome system to enhance their virulence. Here, we show that proteasome activity is strongly induced during basal defense in Arabidopsis (Arabidopsis thaliana). Mutant lines of the proteasome subunits RPT2a and RPN12a support increased bacterial growth of virulent Pseudomonas syringae pv tomato DC3000 (Pst) and Pseudomonas syringae pv maculicola ES4326. Both proteasome subunits are required for pathogen-associated molecular pattern-triggered immunity responses. Analysis of bacterial growth after a secondary infection of systemic leaves revealed that the establishment of systemic acquired resistance (SAR) is impaired in proteasome mutants, suggesting that the proteasome also plays an important role in defense priming and SAR. In addition, we show that Pst inhibits proteasome activity in a type III secretion-dependent manner. A screen for type III effector proteins from Pst for their ability to interfere with proteasome activity revealed HopM1, HopAO1, HopA1, and HopG1 as putative proteasome inhibitors. Biochemical characterization of HopM1 by mass spectrometry indicates that HopM1 interacts with several E3 ubiquitin ligases and proteasome subunits. This supports the hypothesis that HopM1 associates with the proteasome, leading to its inhibition. Thus, the proteasome is an essential component of pathogen-associated molecular pattern-triggered immunity and SAR, which is targeted by multiple bacterial effectors. Y1 - 2016 U6 - https://doi.org/10.1104/pp.16.00808 SN - 0032-0889 SN - 1532-2548 VL - 172 SP - 1941 EP - 1958 PB - American Society of Plant Physiologists CY - Rockville ER - TY - JOUR A1 - Üstün, Suayib A1 - Bartetzko, Verena A1 - Börnke, Frederik T1 - The Xanthomonas effector XopJ triggers a conditional hypersensitive response upon treatment of N. benthamiana leaves with salicylic acid JF - Frontiers in plant science N2 - XopJ is a Xanthomonas type III effector protein that promotes bacterial virulence on susceptible pepper plants through the inhibition of the host cell proteasome and a resultant suppression of salicylic acid (SA) - dependent defense responses. We show here that Nicotiana benthamiana leaves transiently expressing XopJ display hypersensitive response (HR) -like symptoms when exogenously treated with SA. This apparent avirulence function of XopJ was further dependent on effector myristoylation as well as on an intact catalytic triad, suggesting a requirement of its enzymatic activity for HR-like symptom elicitation. The ability of XopJ to cause a HR-like symptom development upon SA treatment was lost upon silencing of SGT1 and NDR1, respectively, but was independent of EDS1 silencing, suggesting that XopJ is recognized by an R protein of the CC-NBS-LRR class. Furthermore, silencing of NPR1 abolished the elicitation of HR-like symptoms in XopJ expressing leaves after SA application. Measurement of the proteasome activity indicated that proteasome inhibition by XopJ was alleviated in the presence of SA, an effect that was not observed in NPR1 silenced plants. Our results suggest that XopJ - triggered HR-like symptoms are closely related to the virulence function of the effector and that XopJ follows a two-signal model in order to elicit a response in the non-host plant N. benthamiana. KW - Xanthomonas KW - type-III effector KW - XopJ KW - avirulence KW - salicylic acid Y1 - 2015 U6 - https://doi.org/10.3389/fpls.2015.00599 SN - 1664-462X VL - 6 PB - Frontiers Research Foundation CY - Lausanne ER - TY - GEN A1 - Üstün, Suayib A1 - Bartetzko, Verena A1 - Börnke, Frederik T1 - The Xanthomonas effector XopJ triggers a conditional hypersensitive response upon treatment of N. benthamiana leaves with salicylic acid T2 - Frontiers in plant science N2 - XopJ is a Xanthomonas type III effector protein that promotes bacterial virulence on susceptible pepper plants through the inhibition of the host cell proteasome and a resultant suppression of salicylic acid (SA) - dependent defense responses. We show here that Nicotiana benthamiana leaves transiently expressing XopJ display hypersensitive response (HR) -like symptoms when exogenously treated with SA. This apparent avirulence function of XopJ was further dependent on effector myristoylation as well as on an intact catalytic triad, suggesting a requirement of its enzymatic activity for HR-like symptom elicitation. The ability of XopJ to cause a HR-like symptom development upon SA treatment was lost upon silencing of SGT1 and NDR1, respectively, but was independent of EDS1 silencing, suggesting that XopJ is recognized by an R protein of the CC-NBS-LRR class. Furthermore, silencing of NPR1 abolished the elicitation of HR-like symptoms in XopJ expressing leaves after SA application. Measurement of the proteasome activity indicated that proteasome inhibition by XopJ was alleviated in the presence of SA, an effect that was not observed in NPR1 silenced plants. Our results suggest that XopJ - triggered HR-like symptoms are closely related to the virulence function of the effector and that XopJ follows a two-signal model in order to elicit a response in the non-host plant N. benthamiana. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 432 KW - Xanthomonas KW - type-III effector KW - XopJ KW - avirulence KW - salicylic acid Y1 - 2018 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-406537 ER - TY - THES A1 - Ünsal, Feyzan T1 - Politische und religiöse Symbole im Betrieb : eine rechtsvergleichende Studie zum deutschen und türkischen Recht T2 - Europäische Hochschulschriften : Reihe 2, Rechtswissenschaft Y1 - 2009 SN - 978-3-631-59241-0 VL - 4926 PB - Lang CY - Frankfurt am Main ER - TY - JOUR A1 - Öztürk, Ugur A1 - Marwan, N. A1 - von Specht, Sebastian A1 - Korup, Oliver A1 - Jensen, J. T1 - A new centennial sea-level record for Antalya, Eastern Mediterranean JF - Journal of geophysical research-oceans N2 - Quantitative estimates of sea-level rise in the Mediterranean Basin become increasingly accurate thanks to detailed satellite monitoring. However, such measuring campaigns cover several years to decades, while longer-term sea-level records are rare for the Mediterranean. We used a data archeological approach to reanalyze monthly mean sea-level data of the Antalya-I (1935–1977) tide gauge to fill this gap. We checked the accuracy and reliability of these data before merging them with the more recent records of the Antalya-II (1985–2009) tide gauge, accounting for an eight-year hiatus. We obtain a composite time series of monthly and annual mean sea levels spanning some 75 years, providing the longest record for the eastern Mediterranean Basin, and thus an essential tool for studying the region's recent sea-level trends. We estimate a relative mean sea-level rise of 2.2 ± 0.5 mm/year between 1935 and 2008, with an annual variability (expressed here as the standard deviation of the residuals, σresiduals = 41.4 mm) above that at the closest tide gauges (e.g., Thessaloniki, Greece, σresiduals = 29.0 mm). Relative sea-level rise accelerated to 6.0 ± 1.5 mm/year at Antalya-II; we attribute roughly half of this rate (~3.6 mm/year) to tectonic crustal motion and anthropogenic land subsidence. Our study highlights the value of data archeology for recovering and integrating historic tide gauge data for long-term sea-level and climate studies. KW - sea level KW - tide gauge KW - data archeology KW - Mediterranean Sea Y1 - 2018 U6 - https://doi.org/10.1029/2018JC013906 SN - 2169-9275 SN - 2169-9291 VL - 123 IS - 7 SP - 4503 EP - 4517 PB - American Geophysical Union CY - Washington ER - TY - THES A1 - Öztürk, Ugur T1 - Learning more to predict landslides T1 - Ein verbessertes Wissen zur Prognose von Hangrutschungen N2 - Landslides are frequent natural hazards in rugged terrain, when the resisting frictional force of the surface of rupture yields to the gravitational force. These forces are functions of geological and morphological factors, such as angle of internal friction, local slope gradient or curvature, which remain static over hundreds of years; whereas more dynamic triggering events, such as rainfall and earthquakes, compromise the force balance by temporarily reducing resisting forces or adding transient loads. This thesis investigates landslide distribution and orientation due to landslide triggers (e.g. rainfall) at different scales (6-4∙10^5 km^2) and aims to link rainfall movement with the landslide distribution. It additionally explores the local impacts of the extreme rainstorms on landsliding and the role of precursory stability conditions that could be induced by an earlier trigger, such as an earthquake. Extreme rainfall is a common landslide trigger. Although several studies assessed rainfall intensity and duration to study the distribution of thus triggered landslides, only a few case studies quantified spatial rainfall patterns (i.e. orographic effect). Quantifying the regional trajectories of extreme rainfall could aid predicting landslide prone regions in Japan. To this end, I combined a non-linear correlation metric, namely event synchronization, and radial statistics to assess the general pattern of extreme rainfall tracks over distances of hundreds of kilometers using satellite based rainfall estimates. Results showed that, although the increase in rainfall intensity and duration positively correlates with landslide occurrence, the trajectories of typhoons and frontal storms were insufficient to explain landslide distribution in Japan. Extreme rainfall trajectories inclined northwestwards and were concentrated along some certain locations, such as coastlines of southern Japan, which was unnoticed in the landslide distribution of about 5000 rainfall-triggered landslides. These landslides seemed to respond to the mean annual rainfall rates. Above mentioned findings suggest further investigation on a more local scale to better understand the mechanistic response of landscape to extreme rainfall in terms of landslides. On May 2016 intense rainfall struck southern Germany triggering high waters and landslides. The highest damage was reported at the Braunsbach, which is located on the tributary-mouth fan formed by the Orlacher Bach. Orlacher Bach is a ~3 km long creek that drains a catchment of about ~6 km^2. I visited this catchment in June 2016 and mapped 48 landslides along the creek. Such high landslide activity was not reported in the nearby catchments within ~3300 km^2, despite similar rainfall intensity and duration based on weather radar estimates. My hypothesis was that several landslides were triggered by rainfall-triggered flash floods that undercut hillslope toes along the Orlacher Bach. I found that morphometric features such as slope and curvature play an important role in landslide distribution on this micro scale study site (<10 km^2). In addition, the high number of landslides along the Orlacher Bach could also be boosted by accumulated damages on hillslopes due karst weathering over longer time scales. Precursory damages on hillslopes could also be induced by past triggering events that effect landscape evolution, but this interaction is hard to assess independently from the latest trigger. For example, an earthquake might influence the evolution of a landscape decades long, besides its direct impacts, such as landslides that follow the earthquake. Here I studied the consequences of the 2016 Kumamoto Earthquake (MW 7.1) that triggered some 1500 landslides in an area of ~4000 km^2 in central Kyushu, Japan. Topography, i.e. local slope and curvature, both amplified and attenuated seismic waves, thus controlling the failure mechanism of those landslides (e.g. progressive). I found that topography fails in explaining the distribution and the preferred orientation of the landslides after the earthquake; instead the landslides were concentrated around the northeast of the rupture area and faced mostly normal to the rupture plane. This preferred location of the landslides was dominated mainly by the directivity effect of the strike-slip earthquake, which is the propagation of wave energy along the fault in the rupture direction; whereas amplitude variations of the seismic radiation altered the preferred orientation. I suspect that the earthquake directivity and the asymmetry of seismic radiation damaged hillslopes at those preferred locations increasing landslide susceptibility. Hence a future weak triggering event, e.g. scattered rainfall, could further trigger landslides at those damaged hillslopes. N2 - Hangrutschungen treten häufig in steilem Gelände auf, wenn die Erdanziehungskraft die Scherkräfte an der Oberfläche übersteigt. Diese Kräfte beinhalten geologische und geomorphologische Faktoren wie den Reibungswinkel oder die Neigung und Krümmung von Hängen, die über Jahrhunderte statisch bleiben können. Dynamische Ereignisse wie Regenfälle und Erdbeben können hingegen das Kräftegleichgewicht beeinträchtigen, indem sie Widerstandskräfte vorübergehend reduzieren oder Lasten temporär hinzufügen. Diese Arbeit untersucht die Verteilung und Orientierung von Hangrutschungen in Abhängigkeit von Auslösern (z.B. Niederschlag) auf verschiedenen Skalenebenen (6-4∙10^5 km^2) und verknüpft die Bewegung des Niederschlagssystems mit der Hangrutschungsverteilung. Zudem werden lokale Auswirkungen von extremen Gewittern auf Hangrutschungen untersucht, sowie vorausgehende Stabilitätsbedingungen, die durch ein früheres Ereignis, beispielsweise ein Erdbeben, verändert werden können. Extremer Niederschlag ist ein weithin bekannter Auslöser für Hangrutschungen. Obwohl mehrere Studien die Verteilung von Hangrutschungen mit der Niederschlagsintensität und -dauer verglichen haben, beachteten nur wenige Fallstudien das räumliche Bewegungsmuster des Niederschlags, i.e. den orographischen Effekt. Eine solche Quantifizierung könnte die Vorhersage von hangrutschungsgefährdete Regionen in Japan verbessern. Hierfür habe ich ein nicht-lineares Korrelationsmaß (event synchronization) auf regionale Sturmbahnen in Japan angewendet, um deren räumliche Verteilung durch satellitengestützen Regenschätzungen nachzuvollziehen. Die durchgeführten Untersuchungen zeigten, dass sich die Verteilung von Hangrutschungen nur unzureichend mit den Zugbahnen von Taifunen und Sturmtiefen erklären lässt. Die Stabilität von Hängen scheint mehr durch mittlere Jahresniederschlagsmengen beeinflusst zu werden. Erzielte Ergebnisse zeigen, dass weitere Untersuchungen auf lokaler Ebene nötig sind, um die unmittelbare Auswirkungen von Extremniederschlägen auf Hangstabilität und -rutschungen besser zu verstehen. Im Mai 2016 kam es in Süddeutschland zu einem heftigen Gewitter, das Hochwasser und Hangrutschungen ausgelöst hat. Der höchste Schaden wurde in Braunsbach, dessen Zentrum sich am Zufluss des Orlacher Bachs befindet, gemeldet. Der Orlacher Bach ist ~3 lang und hat ein Einzugsgebiet von etwa ~6 km^2. Ich habe dieses Einzugsgebiet im Juni 2016 besucht und 48 Hangrutschungen entlang des Baches kartiert. Ich vermutete, dass mehrere Hangrutschungen durch Sturzfluten ausgelöst wurden, welche die Hänge entlang des Orlacher Baches unterspülten. Ich stellte fest, dass morphometrische Merkmale wie die lokale Hangneigung und -krümmung eine wichtige Rolle bei der Hangrutschungsverteilung auf dieser Mikroskala spielen (<10 km^2). Darüber hinaus könnte die hohe Anzahl von Hangrutschungen am Orlacher Bach auch durch Karstverwitterung über längere Zeiträume verstärkt werden. Zahlreiche in der Vergangenheit liegende Ereignisse können die Stabilität eines Hanges beeinflussen. Der Einfluss solcher Ereignisse ist nur sehr schwer unabhängig voneinander abschätzbar. Beispielseise könnte ein Erdbeben die Entwicklung einer Landschaft über Jahrzehnte hin beeinflussen. Hier erforsche ich die Folgen des Kumamoto-Erdbebens 2016 (MW 7.1) das im Zentrum von Kyushu, Japan, ca. 1500 Hangrutschungen in einem Gebiet von ~4000 km^2 ausgelöst hat. Die Topographie (Hangneigung und -krümmung) verstärkte schwächte seismische Wellen gleichermaßen ab, wodurch der Auslösemechanismus dieser Hangrutschungen (z.B. progressiv) gesteuert wird. Ich konnte belegen, dass die Topographie die Verteilung und die bevorzugte Ausrichtung der Hangrutsche nach dem Erdbeben nicht erklären kann; stattdessen waren die Hangrutschungen um den Nordosten des Bruchgebiets herum konzentriert und standen meist senkrecht zur Bruchfläche. Diese bevorzugte Lage der Erdrutsche wurde hauptsächlich durch den Richtwirkungseffekt des Blattverschiebung-Erdbebens dominiert. Bei diesem handelt es sich um die Ausbreitung der Wellenenergie entlang des Bruches in Bruchrichtung, während Amplitudenvariationen der seismischen Strahlung die bevorzugte Orientierung ändern. Ich vermute, dass die Richtwirkung des Erdbebens und die Asymmetrie der seismischen Strahlung die Hangneigung an diesen bevorzugten Stellen schädigten und die Anfälligkeit für Hangrutschungen erhöhten. Daher könnte ein zukünftiges schwaches Ereignis wie z.B. ein unbedeutender Niederschlag an diesen beschädigten Hängen weitere Hangrutschungen auslösen. KW - landslides KW - complex networks KW - event synchronization KW - typhoons KW - Kumamoto earthquake KW - Braunsbach flash flood KW - Hangrutschungen KW - komplexes Netzwerk KW - Synchronisation von Ereignissen KW - Taifune KW - Kumamoto Erdbeben KW - Braunsbach Sturzflut Y1 - 2018 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-426439 ER - TY - JOUR A1 - Özkan, Ayşegül A1 - Fikri, Figen Beken A1 - Kırkıcı, Bilal A1 - Kliegl, Reinhold A1 - Acartürk, Cengiz T1 - Eye movement control in Turkish sentence reading JF - Quarterly journal of experimental psychology : QJEP / EPS, Experimental Psychology Society N2 - Reading requires the assembly of cognitive processes across a wide spectrum from low-level visual perception to high-level discourse comprehension. One approach of unravelling the dynamics associated with these processes is to determine how eye movements are influenced by the characteristics of the text, in particular which features of the words within the perceptual span maximise the information intake due to foveal, spillover, parafoveal, and predictive processing. One way to test the generalisability of current proposals of such distributed processing is to examine them across different languages. For Turkish, an agglutinative language with a shallow orthography-phonology mapping, we replicate the well-known canonical main effects of frequency and predictability of the fixated word as well as effects of incoming saccade amplitude and fixation location within the word on single-fixation durations with data from 35 adults reading 120 nine-word sentences. Evidence for previously reported effects of the characteristics of neighbouring words and interactions was mixed. There was no evidence for the expected Turkish-specific morphological effect of the number of inflectional suffixes on single-fixation durations. To control for word-selection bias associated with single-fixation durations, we also tested effects on word skipping, single-fixation, and multiple-fixation cases with a base-line category logit model, assuming an increase of difficulty for an increase in the number of fixations. With this model, significant effects of word characteristics and number of inflectional suffixes of foveal word on probabilities of the number of fixations were observed, while the effects of the characteristics of neighbouring words and interactions were mixed. KW - Eye movements KW - reading KW - Turkish Y1 - 2020 U6 - https://doi.org/10.1177/1747021820963310 SN - 1747-0218 SN - 1747-0226 VL - 74 IS - 2 SP - 377 EP - 397 PB - Sage Publ. CY - London ER - TY - JOUR A1 - Özer, Aydan A1 - Scheffler, Christiane T1 - Affinity to host population stimulates physical growth in adult offspring of Turkish migrants in Germany JF - Journal of biological and clinical anthropology JF - Anthropologischer Anzeiger ; Mitteilungsorgan der Gesellschaft für Anthropologie N2 - Because of political conflicts and climate change, migration will be increased worldwide and integration in host societies is a challenge also for migrants. We hypothesize that migrants, who take up the challenge in a new social environment are taller than migrants who do not pose this challenge. We analyze by a questionnaire possible social, nutritional and ethnic influencing factors to body height (BH) of adult offspring of Turkish migrants (n = 82, 39 males) aged from 18 to 34 years (mean age 24.6 years). The results of multiple regression (downward selection) show that the more a male adult offspring of Turkish migrants feels like belonging to the Turkish culture, the smaller he is (95% CI, -3.79, -0.323). Further, the more a male adult offspring of Turkish migrants feels like belonging to the German culture, the taller he is (95% CI, -0.152, 1.738). We discussed it comparable to primates taking up their challenge in dominance, where as a result their body size increase is associated with higher IGF-1 level. IGF-1 is associated with emotional belonging and has a fundamental role in the regulation of metabolism and growth of the human body. With all pilot characteristics of our study results show that the successful challenge of integration in a new society is strongly associated with the emotional integration and identification in the sense of a personal sense of belonging to society. We discuss taller BH as a signal of social growth adjustment. In this sense, a secular trend of BH adaptation of migrants to hosts is a sign of integration. KW - height of Turkish migrants KW - social identification KW - strategic growth adjustments Y1 - 2018 U6 - https://doi.org/10.1127/anthranz/2018/0825 SN - 0003-5548 VL - 74 IS - 5 SP - 359 EP - 364 PB - Schweizerbart CY - Stuttgart ER - TY - JOUR A1 - Özcan, Orkan A1 - Bookhagen, Bodo A1 - Musaoglu, Nebiye T1 - Impact of the Ataturk Dam Lake on Agro-Meteorological Aspects of the Southeastern Anatolia Region, Turkey JF - Journal of the Indian Society of Remote Sensing N2 - In this study, the spatial and temporal impacts of the Ataturk Dam on agro-meteorological aspects of the Southeastern Anatolia region have been investigated. Change detection and environmental impacts due to water-reserve changes in Ataturk Dam Lake have been determined and evaluated using multi-temporal Landsat satellite imageries and meteorological datasets within a period of 1984-2011. These time series have been evaluated for three time periods. Dam construction period constitutes the first part of the study. Land cover/use changes especially on agricultural fields under the Ataturk Dam Lake and its vicinity have been identified between the periods of 1984-1992. The second period comprises the 10-year period after the completion of filling up the reservoir in 1992. At this period, Landsat and meteorological time-series analyses are examined to assess the impact of the Ataturk Dam Lake on selected irrigated agricultural areas. For the last 9-year period from 2002 to 2011, the relationships between seasonal water-reserve changes and irrigated plains under changing climatic factors primarily driving vegetation activity (monthly, seasonal, and annual fluctuations of rainfall rate, air temperature, humidity) on the watershed have been investigated using a 30-year meteorological time series. The results showed that approximately 368 km(2) of agricultural fields have been affected because of inundation due to the Ataturk Dam Lake. However, irrigated agricultural fields have been increased by 56.3% of the total area (1552 of 2756 km(2)) on Harran Plain within the period of 1984-2011. KW - Ataturk Dam Lake KW - Harran Plain KW - Landsat time-series KW - Tasseled Cap transformation KW - Disturbance index Y1 - 2018 U6 - https://doi.org/10.1007/s12524-017-0703-9 SN - 0255-660X SN - 0974-3006 VL - 46 IS - 3 SP - 471 EP - 481 PB - Springer CY - New York ER - TY - THES A1 - Öz, Alpercan T1 - Das Spannungsverhältnis zwischen dem Selbstbestimmungsrecht des Opfers und dem strafrechtlichen Lebensschutz BT - Eine Bewertung der höchstrichterlichen Rechtsprechung T2 - Neue Juristische Beiträge N2 - Unser modernes Strafrechtsbild ist geprägt von dem Gedanken, dass das Strafrecht den Bürgern ein freies und friedliches Zusammenleben unter Gewährleistung aller verfassungsrechtlich garantierten Grundrechte sichert. Der Einsatz des Strafrechts bedarf der Legitimation und darf nicht aus moralischen Vorstellungen oder Gedanken abgeleitet werden. Strafbar kann es demnach nicht sein, wenn ein Rechtsgutsträger über ein ihm disponibles Rechtsgut frei verfügt. Oftmals stehen hierbei der strafrechtliche Lebensschutz und das Selbstbestimmungsrecht des Einzelnen in einem Spannungsverhältnis. Die vorliegende Arbeit hat untersucht, wie sich dieses Spannungsverhältnis in der höchstrichterlichen Judikatur entwickelt hat und wie es nunmehr gelöst wird. Konkret stellt sich hierbei die Frage, wie es strafrechtlich bewertet wurde, wenn jemand einen Tötungserfolg mitverursacht hat, der zugleich auf einem freiverantwortlichen Willensentschluss des Opfers beruhte. Y1 - 2021 SN - 978-3-8316-4895-5 SN - 978-3-8316-7621-7 IS - 133 PB - utzverlag GmbH CY - München ER - TY - THES A1 - Ötsch, Rainald T1 - Stromerzeugung in Deutschland unter den Rahmenbedingungen von Klimapolitik und liberalisiertem Strommarkt : Bewertung von Kraftwerksinvestitionen mit Bayes’schen Einflussdiagrammen T1 - Electricity generation in Germany under the conditions of climate policy and liberalized electricity market : valuation of power plant investments with Bayesian influence diagrams N2 - Mit der Liberalisierung des Strommarkts, den unsicheren Aussichten in der Klimapolitik und stark schwankenden Preisen bei Brennstoffen, Emissionsrechten und Kraftwerkskomponenten hat bei Kraftwerksinvestitionen das Risikomanagement an Bedeutung gewonnen. Dies äußert sich im vermehrten Einsatz probabilistischer Verfahren. Insbesondere bei regulativen Risiken liefert der klassische, häufigkeitsbasierte Wahrscheinlichkeitsbegriff aber keine Handhabe zur Risikoquantifizierung. In dieser Arbeit werden Kraftwerksinvestitionen und -portfolien in Deutschland mit Methoden des Bayes'schen Risikomanagements bewertet. Die Bayes'sche Denkschule begreift Wahrscheinlichkeit als persönliches Maß für Unsicherheit. Wahrscheinlichkeiten können auch ohne statistische Datenanalyse allein mit Expertenbefragungen gewonnen werden. Das Zusammenwirken unsicherer Werttreiber wurde mit einem probabilistischen DCF-Modell (Discounted Cash Flow-Modell) spezifiziert und in ein Einflussdiagramm mit etwa 1200 Objekten umgesetzt. Da der Überwälzungsgrad von Brennstoff- und CO2-Kosten und damit die Höhe der von den Kraftwerken erwirtschafteten Deckungsbeiträge im Wettbewerb bestimmt werden, reicht eine einzelwirtschaftliche Betrachtung der Kraftwerke nicht aus. Strompreise und Auslastungen werden mit Heuristiken anhand der individuellen Position der Kraftwerke in der Merit Order bestimmt, d.h. anhand der nach kurzfristigen Grenzkosten gestaffelten Einsatzreihenfolge. Dazu wurden 113 thermische Großkraftwerke aus Deutschland in einer Merit Order vereinigt. Das Modell liefert Wahrscheinlichkeitsverteilungen für zentrale Größen wie Kapitalwerte von Bestandsportfolien sowie Stromgestehungskosten und Kapitalwerte von Einzelinvestitionen (Steinkohle- und Braunkohlekraftwerke mit und ohne CO2-Abscheidung sowie GuD-Kraftwerke). Der Wert der Bestandsportfolien von RWE, E.ON, EnBW und Vattenfall wird primär durch die Beiträge der Braunkohle- und Atomkraftwerke bestimmt. Erstaunlicherweise schlägt sich der Emissionshandel nicht in Verlusten nieder. Dies liegt einerseits an den Zusatzgewinnen der Atomkraftwerke, andererseits an den bis 2012 gratis zugeteilten Emissionsrechten, welche hohe Windfall-Profite generieren. Dadurch erweist sich der Emissionshandel in seiner konkreten Ausgestaltung insgesamt als gewinnbringendes Geschäft. Über die Restlaufzeit der Bestandskraftwerke resultiert ab 2008 aus der Einführung des Emissionshandels ein Barwertvorteil von insgesamt 8,6 Mrd. €. In ähnlicher Dimension liegen die Barwertvorteile aus der 2009 von der Bundesregierung in Aussicht gestellten Laufzeitverlängerung für Atomkraftwerke. Bei einer achtjährigen Laufzeitverlängerung ergäben sich je nach CO2-Preisniveau Barwertvorteile von 8 bis 15 Mrd. €. Mit höheren CO2-Preisen und Laufzeitverlängerungen von bis zu 28 Jahren würden 25 Mrd. € oder mehr zusätzlich anfallen. Langfristig erscheint fraglich, ob unter dem gegenwärtigen Marktdesign noch Anreize für Investitionen in fossile Kraftwerke gegeben sind. Zu Beginn der NAP 2-Periode noch rentable Investitionen in Braunkohle- und GuD-Kraftwerke werden mit der auslaufenden Gratiszuteilung von Emissionsrechten zunehmend unrentabler. Die Rentabilität wird durch Strommarkteffekte der erneuerbaren Energien und ausscheidender alter Gas- und Ölkraftwerke stetig weiter untergraben. Steinkohlekraftwerke erweisen sich selbst mit anfänglicher Gratiszuteilung als riskante Investition. Die festgestellten Anreizprobleme für Neuinvestitionen sollten jedoch nicht dem Emissionshandel zugeschrieben werden, sondern resultieren aus den an Grenzkosten orientierten Strompreisen. Das Anreizproblem ist allerdings bei moderaten CO2-Preisen am größten. Es gilt auch für Kraftwerke mit CO2-Abscheidung: Obwohl die erwarteten Vermeidungskosten für CCS-Kraftwerke gegenüber konventionellen Kohlekraftwerken im Jahr 2025 auf 25 €/t CO2 (Braunkohle) bzw. 38,5 €/t CO2 (Steinkohle) geschätzt werden, wird ihr Bau erst ab CO2-Preisen von 50 bzw. 77 €/t CO2 rentabel. Ob und welche Kraftwerksinvestitionen sich langfristig rechnen, wird letztlich aber politisch entschieden und ist selbst unter stark idealisierten Bedingungen kaum vorhersagbar. N2 - Power plant investors face large uncertainties due to ongoing liberalization, climate policy, and long investment horizons. This study provides a probabilistic appraisal of power plant investments within the framework of Bayesian decision theory. A Bayesian influence diagram is used for setting up a discounted cash flow model and analysing the profitability of power plants. As the study explicitly models merit order pricing, the pass-through of random fuel and carbon costs may be analysed. The study derives probabilistic statements about net present values of single investments and company portfolios and explores the sensitivity of profits to variations of select input variables. In the majority of cases, an increase in the price of emission allowances also increases the net present value of existing power plant portfolios. A substantially increased carbon prices also is the prerequisite to diversify power plant portfolios by gas and CCS plants. For the currently prevailing German electricity market, we argue that investors may lack incentives for new investments in fossil generation, a finding that holds true also with implementation of CCS. Our estimates are conservative, as profitability will further deteriorate with the build-up of renewables. KW - Elektrizitätsmarkt KW - Liberalisierung KW - Emissionshandel KW - Bayes-Entscheidungstheorie KW - Deutschland KW - Bayesian statistical decision theory KW - Electric power production KW - Investments environmental aspects Y1 - 2012 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-69056 ER - TY - JOUR A1 - Öner, Ibrahim Halil A1 - Querebillo, Christine Joy A1 - David, Christin A1 - Gernert, Ulrich A1 - Walter, Carsten A1 - Driess, Matthias A1 - Leimkühler, Silke A1 - Ly, Khoa Hoang A1 - Weidinger, Inez M. T1 - High electromagnetic field enhancement of TiO2 nanotube electrodes JF - Angewandte Chemie : a journal of the Gesellschaft Deutscher Chemiker ; International edition N2 - We present the fabrication of TiO2 nanotube electrodes with high biocompatibility and extraordinary spectroscopic properties. Intense surface-enhanced resonance Raman signals of the heme unit of the redox enzyme Cytochromeb(5) were observed upon covalent immobilization of the protein matrix on the TiO2 surface, revealing overall preserved structural integrity and redox behavior. The enhancement factor could be rationally controlled by varying the electrode annealing temperature, reaching a record maximum value of over 70 at 475 degrees C. For the first time, such high values are reported for non-directly surface-interacting probes, for which the involvement of charge-transfer processes in signal amplification can be excluded. The origin of the surface enhancement is exclusively attributed to enhanced localized electric fields resulting from the specific optical properties of the nanotubular geometry of the electrode. KW - electromagnetic field enhancement KW - photonic crystals KW - spectro-electrochemistry KW - surface-enhanced Raman spectroscopy KW - TiO2 nanotubes Y1 - 2018 U6 - https://doi.org/10.1002/anie.201802597 SN - 1433-7851 SN - 1521-3773 VL - 57 IS - 24 SP - 7225 EP - 7229 PB - Wiley-VCH CY - Weinheim ER - TY - THES A1 - Önel, Hakan T1 - Electron acceleration in a flare plasma via coronal circuits T1 - Elektronenbeschleunigung im Flareplasma modelliert mit koronalen Schaltkreisen N2 - The Sun is a star, which due to its proximity has a tremendous influence on Earth. Since its very first days mankind tried to "understand the Sun", and especially in the 20th century science has uncovered many of the Sun's secrets by using high resolution observations and describing the Sun by means of models. As an active star the Sun's activity, as expressed in its magnetic cycle, is closely related to the sunspot numbers. Flares play a special role, because they release large energies on very short time scales. They are correlated with enhanced electromagnetic emissions all over the spectrum. Furthermore, flares are sources of energetic particles. Hard X-ray observations (e.g., by NASA's RHESSI spacecraft) reveal that a large fraction of the energy released during a flare is transferred into the kinetic energy of electrons. However the mechanism that accelerates a large number of electrons to high energies (beyond 20 keV) within fractions of a second is not understood yet. The thesis at hand presents a model for the generation of energetic electrons during flares that explains the electron acceleration based on real parameters obtained by real ground and space based observations. According to this model photospheric plasma flows build up electric potentials in the active regions in the photosphere. Usually these electric potentials are associated with electric currents closed within the photosphere. However as a result of magnetic reconnection, a magnetic connection between the regions of different magnetic polarity on the photosphere can establish through the corona. Due to the significantly higher electric conductivity in the corona, the photospheric electric power supply can be closed via the corona. Subsequently a high electric current is formed, which leads to the generation of hard X-ray radiation in the dense chromosphere. The previously described idea is modelled and investigated by means of electric circuits. For this the microscopic plasma parameters, the magnetic field geometry and hard X-ray observations are used to obtain parameters for modelling macroscopic electric components, such as electric resistors, which are connected with each other. This model demonstrates that such a coronal electric current is correlated with large scale electric fields, which can accelerate the electrons quickly up to relativistic energies. The results of these calculations are encouraging. The electron fluxes predicted by the model are in agreement with the electron fluxes deduced from the measured photon fluxes. Additionally the model developed in this thesis proposes a new way to understand the observed double footpoint hard X-ray sources. N2 - Die Sonne ist ein Stern, der aufgrund seiner räumlichen Nähe einen großen Einfluss auf die Erde hat. Seit jeher hat die Menschheit versucht die "Sonne zu verstehen" und besonders im 20. Jahrhundert gelang es der Wissenschaft viele der offenen Fragen mittels Beobachtungen zu beantworten und mit Modellen zu beschreiben. Die Sonne ist ein aktiver Stern, dessen Aktivität sich in seinem magnetischen Zyklus ausdrückt, welcher in enger Verbindung zu den Sonnenfleckenzahlen steht. Flares spielen dabei eine besondere Rolle, da sie hohe Energien auf kurzen Zeitskalen freisetzen. Sie werden begleitet von erhöhter Strahlungsemission über das gesamte Spektrum hinweg und setzen darüber hinaus auch energetische Teilchen frei. Beobachtungen von harter Röntgenstrahlung (z.B. mit der RHESSI Raumsonde der NASA) zeigen, dass ein großer Teil der freigesetzten Energie in die kinetische Energie von Elektronen transferiert wird. Allerdings ist nach wie vor nicht verstanden, wie die Beschleunigung der vielen Elektronen auf hohe Energien (jenseits von 20 keV) in Bruchteilen einer Sekunde erfolgt. Die vorliegende Arbeit präsentiert ein Model für die Erzeugung von energetischen Elektronen während solarer Flares, das auf mit realen Beobachtungen gewonnenen Parametern basiert. Danach bauen photosphärische Plasmaströmungen elektrische Spannungen in den aktiven Regionen der Photosphäre auf. Für gewöhnlich sind diese Potentiale mit elektrischen Strömen verbunden, die innerhalb der Photosphäre geschlossen sind. Allerdings kann infolge von magnetischer Rekonnektion eine magnetische Verbindung in der Korona aufgebaut werden, die die Regionen von magnetisch unterschiedlicher Polarität miteinander verbindet. Wegen der deutlich höheren koronalen elektrischen Leitfähigkeit, kann darauf die photosphärische Spannungsquelle über die Korona geschlossen werden. Das auf diese Weise generierte elektrische Feld führt nachfolgend zur Erzeugung eines hohen elektrischen Stromes, der in der dichten Chromosphäre harte Röntgenstrahlung generiert. Die zuvor erläuterte Idee wird mit elektrischen Schaltkreisen modelliert und untersucht. Dafür werden die mikroskopischen Plasmaparameter, die Geometrie des Magnetfeldes und Beobachtungen der harten Röntgenstrahlung verwendet, um makroskopische elektronische Komponenten, wie z.B. elektrische Widerstände zu modellieren und miteinander zu verbinden. Es wird gezeigt, dass der auftretende koronale Strom mit hohen elektrischen Feldern verbunden ist, welche Elektronen schnell auf hohe relativistische Energien beschleunigen können. Die Ergebnisse dieser Berechnungen sind ermutigend. Die vorhergesagten Elektronenflüsse stehen im Einklang mit aus gemessenen Photonenflüssen gewonnenen Elektronenflüssen. Zudem liefert das Model einen neuen Ansatz für das Verständnis der harten Röntgendoppelquellen in den Fußpunkten. KW - Elektronenbeschleunigung KW - Flarephysik KW - koronale Stromsysteme KW - electron acceleration KW - physics of flares KW - coronal currents Y1 - 2008 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-29035 ER - TY - JOUR A1 - Öhberg, P. A1 - Surkov, E. L. A1 - Tittonen, I. A1 - Stenholm, Stig A1 - Wilkens, Martin A1 - Shlyapnikov, G. V. T1 - Low-energy elementary excitations of a trapped Bose-condensed gas N2 - We develop a method of finding analytical sotutions of the Bogolyubov-de Gennes equations for the excitations of a Bose condensate in the Thomas-Fermi regime in harmonic traps of any asymmetry and introduce a classification of eigenstates. In the case of cylindrical symmetry we emphasize the presence of an accidental degeneracy in the excitation spectrum at certain values of the projection of orbital angular momentum on the symmetry axis and discuss possible consequences of the degeneracy in the context of new signatures of Bose- Einstein condensation Y1 - 1997 ER - TY - THES A1 - Çakıl, Büşra T1 - Rehabilitierung des Ehrbegriffs N2 - Heutzutage ist es üblich, die Ehre als einen obsoleten Begriff zu betrachten, der nur einem archaischen Denkmodell zuzuordnen ist und keine handlungsprägende Größe in der Gegenwartsgesellschaft darstellt. Die Ehrenmorde, die heute noch in unterschiedlichen Teilen der Welt verübt werden, scheinen diese Behauptung zu bestätigen. In diesem Buch wird jedoch die These vertreten, dass nicht der Ehrbegriff, sondern seine Deutungen archaischer Natur und daher in Frage zu stellen sind. Die Ehre ist die Bezeichnung des sozialen Werts eines Menschen, den er infolge seiner achtenswerten Handlungen erlangt. Also kann sie kein Motiv für moralisch fragwürdige Praktiken bilden. Vor diesem Hintergrund werden die Formen und die Voraussetzungen der Ehre dargestellt, die sowohl in Bezug auf unsere Zeit anpassungsfähig als auch ethisch tragbar sind. Y1 - 2017 SN - 978-3-8288-4133-8 PB - Tectum CY - Baden-Baden ER - TY - JOUR A1 - Çabuk, Uğur A1 - Ünlü, Ercan Selçuk T1 - A combined de novo assembly approach increases the quality of prokaryotic draft genomes JF - Folia microbiologica : international journal for general, environmental and applied microbiology, and immunology N2 - Next-generation sequencing methods provide comprehensive data for the analysis of structural and functional analysis of the genome. The draft genomes with low contig number and high N50 value can give insight into the structure of the genome as well as provide information on the annotation of the genome. In this study, we designed a pipeline that can be used to assemble prokaryotic draft genomes with low number of contigs and high N50 value. We aimed to use combination of two de novo assembly tools (SPAdes and IDBA-Hybrid) and evaluate the impact of this approach on the quality metrics of the assemblies. The followed pipeline was tested with the raw sequence data with short reads (< 300) for a total of 10 species from four different genera. To obtain the final draft genomes, we firstly assembled the sequences using SPAdes to find closely related organism using the extracted 16 s rRNA from it. IDBA-Hybrid assembler was used to obtain the second assembly data using the closely related organism genome. SPAdes assembler tool was implemented using the second assembly, produced by IDBA-hybrid as a hint. The results were evaluated using QUAST and BUSCO. The pipeline was successful for the reduction of the contig numbers and increasing the N50 statistical values in the draft genome assemblies while preserving the coverage of the draft genomes. KW - De novo assembly KW - Prokaryotes KW - Bacteria KW - NGS KW - Short reads KW - Draft genome Y1 - 2022 U6 - https://doi.org/10.1007/s12223-022-00980-7 SN - 0015-5632 SN - 1874-9356 VL - 67 SP - 801 EP - 810 PB - Springer CY - Dordrecht ER - TY - BOOK A1 - Åslund, Anders T1 - The political economy of systemic transformation and institution-building T3 - Diskussionsbeitrag / Europäisches Institut für internationale Wirtschaftsbeziehungen, Potsdam Y1 - 1997 SN - 1430-5445 VL - 40 PB - Univ. CY - Potsdam ER - TY - GEN A1 - Ágel, Vilmos A1 - Boyken, Thomas A1 - Eisenberg, Peter A1 - Fuhrhop, Nanna A1 - Peters, Kendra A1 - Schreiber, Niklas A1 - Yildirim, Derya A1 - Bon, Laura A1 - Engelberg, Stefan A1 - Rapp, Irene A1 - Grüttemeier, Ralf A1 - Musan, Renate A1 - Schneider, Stefan ED - Fuhrhop, Nanna ED - Reinken, Niklas ED - Schreiber, Niklas T1 - Literarische Grammatik BT - Wie Literatur- und Sprachwissenschaft voneinander profitieren können T2 - Zweitveröffentlichungen der Universität Potsdam : Philosophische Reihe N2 - Dieser Band versammelt neun Beiträge mit dem Ziel, Sprach- und Literaturwissenschaft aufeinander zu beziehen: Literatur grammatisch zu betrachten und Grammatik für Literatur (neu) zu denken. Jeder Beitrag nimmt mindestens einen grammatischen und einen literarischen Gegenstand zum Ausgangspunkt. Dabei ist die Bandbreite groß; sie reicht von Bodo Kirchhoffs Roman ‚Dämmer und Aufruhr‘ über die Kurzgeschichte ‚Das Brot‘ von Wolfgang Borchert bis hin zu Marion Poschmanns Gedichtzyklus ‚Kindergarten Lichtenberg‘ und deckt unterschiedlichste sprachliche Bereiche wie Tempus, semantische Rollen, Interpunktionszeichen oder Metaphern ab. Ist es in der Schule geradezu erwünscht, Grammatik und Literatur integrativ zu unterrichten, verfolgen sie als universitäre Disziplinen oft ganz unterschiedliche Fragestellungen an verschiedenen Sprachwerken. Vor diesem Hintergrund ist dieser Band ein interdisziplinärer Versuch, Anregungen und neue Perspektiven für schulische wie universitäre Bildungskontexte zu geben. T3 - Zweitveröffentlichungen der Universität Potsdam : Philosophische Reihe - 183 KW - Sprachwissenschaft KW - Literaturwissenschaft KW - Grammatik KW - Schrift KW - Sprache KW - Literarizität KW - Syntax KW - Metaphorik KW - Semantik KW - Pragmatik KW - Linguistik KW - Brentano, Clemens KW - Kirchhoff, Bodo KW - Kinder- und Jugendliteratur KW - Peeter, Hagar KW - Genetivkonstruktionen KW - Leopold, J.H. KW - Poschmann, Marion KW - Ideolekt KW - Borchert, Wolfgang KW - Interpunktion Y1 - 2023 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-587380 SN - 1866-8380 IS - 183 ER - TY - BOOK A1 - Ágel, Vilmos A1 - Boyken, Thomas A1 - Eisenberg, Peter A1 - Fuhrhop, Nanna A1 - Peters, Kendra A1 - Schreiber, Niklas A1 - Yildirim, Derya A1 - Bon, Laura A1 - Engelberg, Stefan A1 - Rapp, Irene A1 - Grüttemeier, Ralf A1 - Musan, Renate A1 - Schneider, Stefan ED - Fuhrhop, Nanna ED - Reinken, Niklas ED - Schreiber, Niklas T1 - Literarische Grammatik BT - Wie Literatur- und Sprachwissenschaft voneinander profitieren können T3 - Germanistische Bibliothek N2 - Dieser Band versammelt neun Beiträge mit dem Ziel, Sprach- und Literaturwissenschaft aufeinander zu beziehen: Literatur grammatisch zu betrachten und Grammatik für Literatur (neu) zu denken. Jeder Beitrag nimmt mindestens einen grammatischen und einen literarischen Gegenstand zum Ausgangspunkt. Dabei ist die Bandbreite groß; sie reicht von Bodo Kirchhoffs Roman ‚Dämmer und Aufruhr‘ über die Kurzgeschichte ‚Das Brot‘ von Wolfgang Borchert bis hin zu Marion Poschmanns Gedichtzyklus ‚Kindergarten Lichtenberg‘ und deckt unterschiedlichste sprachliche Bereiche wie Tempus, semantische Rollen, Interpunktionszeichen oder Metaphern ab. Ist es in der Schule geradezu erwünscht, Grammatik und Literatur integrativ zu unterrichten, verfolgen sie als universitäre Disziplinen oft ganz unterschiedliche Fragestellungen an verschiedenen Sprachwerken. Vor diesem Hintergrund ist dieser Band ein interdisziplinärer Versuch, Anregungen und neue Perspektiven für schulische wie universitäre Bildungskontexte zu geben. KW - Sprachwissenschaft KW - Literaturwissenschaft KW - Grammatik KW - Schrift KW - Sprache KW - Literarizität KW - Syntax KW - Metaphorik KW - Semantik KW - Pragmatik KW - Linguistik KW - Brentano, Clemens KW - Kirchhoff, Bodo KW - Kinder- und Jugendliteratur KW - Peeter, Hagar KW - Genetivkonstruktionen KW - Leopold, J.H. KW - Poschmann, Marion KW - Ideolekt KW - Borchert, Wolfgang KW - Interpunktion Y1 - 2023 SN - 978-3-8253-8608-5 SN - 978-3-8253-9504-9 U6 - https://doi.org/10.33675/2023-82538608 IS - 78 PB - Universitätsverlag Winter CY - Heidelberg ER - TY - JOUR A1 - ´Cwiek-Kupczynska, Hanna A1 - Altmann, Thomas A1 - Arend, Daniel A1 - Arnaud, Elizabeth A1 - Chen, Dijun A1 - Cornut, Guillaume A1 - Fiorani, Fabio A1 - Frohmberg, Wojciech A1 - Junker, Astrid A1 - Klukas, Christian A1 - Lange, Matthias A1 - Mazurek, Cezary A1 - Nafissi, Anahita A1 - Neveu, Pascal A1 - van Oeveren, Jan A1 - Pommier, Cyril A1 - Poorter, Hendrik A1 - Rocca-Serra, Philippe A1 - Sansone, Susanna-Assunta A1 - Scholz, Uwe A1 - van Schriek, Marco A1 - Seren, Ümit A1 - Usadel, Bjorn A1 - Weise, Stephan A1 - Kersey, Paul A1 - Krajewski, Pawel T1 - Measures for interoperability of phenotypic data: minimum information requirements and formatting JF - Plant Methods N2 - Background: Plant phenotypic data shrouds a wealth of information which, when accurately analysed and linked to other data types, brings to light the knowledge about the mechanisms of life. As phenotyping is a field of research comprising manifold, diverse and time-consuming experiments, the findings can be fostered by reusing and combining existing datasets. Their correct interpretation, and thus replicability, comparability and interoperability, is possible provided that the collected observations are equipped with an adequate set of metadata. So far there have been no common standards governing phenotypic data description, which hampered data exchange and reuse. Results: In this paper we propose the guidelines for proper handling of the information about plant phenotyping experiments, in terms of both the recommended content of the description and its formatting. We provide a document called "Minimum Information About a Plant Phenotyping Experiment", which specifies what information about each experiment should be given, and a Phenotyping Configuration for the ISA-Tab format, which allows to practically organise this information within a dataset. We provide examples of ISA-Tab-formatted phenotypic data, and a general description of a few systems where the recommendations have been implemented. Conclusions: Acceptance of the rules described in this paper by the plant phenotyping community will help to achieve findable, accessible, interoperable and reusable data. KW - Data standardisation and formatting KW - Experimental metadata KW - Minimum information recommendations KW - Plant phenotyping KW - Experiment description Y1 - 2016 U6 - https://doi.org/10.1186/s13007-016-0144-4 SN - 1746-4811 VL - 12 PB - BioMed Central CY - London ER - TY - THES A1 - Zündorf, Irmgard T1 - Der Preis der Marktwirtschaft : staatliche Preispolitik und Lebensstandard in Westdeutschland 1948 bis 1963 T2 - Vierteljahrschrift für Sozial- und Wirtschaftsgeschichte $ Beihefte Y1 - 2006 SN - 3-515-08861-X VL - 186 PB - Steiner CY - Stuttgart ER - TY - THES A1 - Züllich, Gunda T1 - Migration and development in Senegal : a system dynamics analysis of the feedback relationships N2 - This thesis investigates the reciprocal relationship between migration and development in Senegal. Therewith, it contributes to the debate as to whether migration in developing countries enhances or rather impedes the development process. Even though extensive and controversial discussions can be found in the scientific literature regarding the impact of migration on development, research has scarcely examined the feedback relationships between migration and development. Science however agrees with both the fact that migration affects development as well as that the level of development in a country determines migration behaviour. Thus, both variables are neither dependent nor independent, but endogenous variables influencing each other and producing behavioural pattern that cannot be investigated using a static and unidirectional approach. On account of this, the thesis studies the feedback mechanisms existing between migration and development and the behavioural pattern generated by the high interdependence in order to be able to draw conclusions concerning the impact of changes in migration behaviour on the development process. To explore these research questions, the study applies the computer simulation method ‘System Dynamics’ and amplifies the simulation model for national development planning called ‘Threshold 21’ (T21), representing development processes endogenously and integrating economic, social and environmental aspects, using a structure that portrays the reasons and consequences of migration. The model has been customised to Senegal, being an appropriate representative of the theoretical interesting universe of cases. The comparison of the model generated scenarios - in which the intensity of emigration, the loss and gain of education, the remittances or the level of dependence changes - facilitates the analysis. The present study produces two important results. The first outcome is the development of an integrative framework representing migration and development in an endogenous way and incorporating several aspects of different theories. This model can be used as a starting point for further discussions and improvements and it is a fairly relevant and useful result against the background that migration is not integrated into most of the development planning tools despite its significant impact. The second outcome is the gained insights concerning the feedback relations between migration and development and the impact of changes in migration on development. To give two examples: It could be found that migration impacts development positively, indicated by HDI, but that the dominant behaviour of migration and development is a counteracting behaviour. That means that an increase in emigration leads to an improvement in development, while this in turn causes a decline in emigration, counterbalancing the initial increase. Another insight concerns the discovery that migration causes a decline in education in the short term, but leads to an increase in the long term, after approximately 25 years - a typical worse-before-better behaviour. From these and further observations, important policy implications can be derived for the sending and receiving countries. Hence, by overcoming the unidirectional perspective, this study contributes to an improved understanding of the highly complex relationship between migration and development and their feedback relations. N2 - Die vorliegende Arbeit untersucht das wechselseitige Verhältnis zwischen Migration und Entwicklung im Senegal. Damit soll ein Beitrag zu der Debatte geleistet werden, ob Migration in Entwicklungsländern den Entwicklungsprozess eher fördert oder verhindert. Während die Frage nach der Auswirkung von Migration auf Entwicklung in der Literatur ausgiebig und kontrovers diskutiert wird, hat sich die Forschung bisher kaum den Rückkopplungen zwischen Migration und Entwicklung gewidmet, obwohl sich die Wissenschaft sowohl darüber einig ist, dass Migration den Entwicklungsprozess beeinflusst, als auch, dass der Entwicklungsstand eines Land das Migrationsverhalten bestimmt. Folglich sind beide Variablen weder abhängig, noch unabhängige, sondern endogene Variablen, die sich gegenseitig beeinflussen und damit Verhaltensweisen produzieren, deren Erforschung ein statischer, unidirektionaler Ansatz nicht gerecht wird. Deswegen fragt diese Arbeit nach den Rückwirkungsmechanismen, die zwischen Migration und Entwicklung existieren, und nach den Verhaltensweisen, die durch die hohe Interdependenz entstehen, um daraus Rückschlüsse auf die Frage ziehen zu können, welchen Einfluss Änderungen im Migrationsverhalten auf den Entwicklungsprozess haben. Um diese Forschungsfragen zu untersuchen wurde die Computersimulationsmethode System Dynamics genutzt und das Simulationsmodell zur nationalen Entwicklungsplanung, das ‚Threshold 21’ (T21), das die Entwicklungsprozesse endogen darstellt und soziale, ökonomische sowie ökologische Aspekte miteinander verknüpft, um eine Struktur erweitert, welche die Gründe und Konsequenzen von Migration abbildet. Dies wurde an den Senegal, ein angemessener Repräsentant der theoretisch interessanten Grundgesamtheit, angepasst. Der Vergleich der mit dem Modell generierten Szenarien, in denen die Intensität der Abwanderung, des Bildungsverlustes, des Bildungsgewinns, der Geldüberweisungen, oder der Abhängigkeit verändert wurden, ermöglichte die Analyse. Die Studie bringt zwei wichtige Ergebnisse hervor. Erstens entwickelt sie ein umfangreiches Modell, das Migration und Entwicklung endogen erklärt und verschiedene theoretische Ansatzpunkte enthält. Dies kann sowohl als Grundlage für weitere Diskussion und Verbesserungen genutzt werden, ist aber vor allem vor dem Hintergrund, dass Migration in den meisten Modellen zur Entwicklungsplanung trotz des relevanten Einflusses nicht integriert ist, ein wichtiges und nützliches Resultat. Zweitens konnte die Analyse des Verhaltens des Modells wichtige Erkenntnisse bezüglich der Rückwirkungsmechanismen zwischen Migration und Entwicklung und der Wirkung von Veränderungen in Migration auf Entwicklung erzielen. Um zwei Beispiele zu nennen, wurde herausgearbeitet, dass Migration sich positiv auf Entwicklung, gemessen am Human Development Index (HDI), auswirkt, dass es sich aber generell um ein sich ausgleichendes Verhalten handelt, da die positiven Einflüsse auf Entwicklung ihrerseits Migration verringern, wodurch die positiven Einflüsse wieder abnehmen. Ebenso konnte festgestellt werden, dass Migration für das Bildungsniveau zunächst eine Verschlechterung, später aber, nach ca. 25 Jahren, eine Verbesserung nach sich zieht. Aus diesen und weiteren Beobachtungen können wichtige Politikempfehlungen für die Sende- und Empfängerländer von Migration abgeleitet werden. Durch das Überwinden der unidirektionalen Betrachtungsweise trägt diese Arbeit somit zu einem besseren Verständnis des hoch komplexen und von Rückwirkungsmechanismen geprägten Verhältnisses zwischen Migration und Entwicklung bei. KW - Internationale Migration KW - Nachhaltige Entwicklung KW - Senegal KW - System Dynamics KW - Modellierung KW - International Migration KW - Sustainable Development KW - Senegal KW - System Dynamics KW - Modelling Y1 - 2011 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-57836 ER - TY - JOUR A1 - Zülicke, Lutz A1 - Zuhrt, Christian A1 - Chapuisat, Xavier A1 - Saint-Espés, Cécile T1 - Internal dynamics of simple floppy molecules Y1 - 1994 ER - TY - JOUR A1 - Zülicke, Lutz A1 - Ragnetti, Francesca A1 - Neumann, Rainer A1 - Zuhrt, Christian T1 - Ionized Van-der-Waals systems : structure and interactions JF - Technical Report / Institute of Physical and Theoretical Chemistry, Potsdam Y1 - 1996 VL - 1996, 01 PB - Univ. CY - Potsdam ER - TY - JOUR A1 - Zülicke, Lutz A1 - Ragnetti, Francesca A1 - Neumann, Rainer T1 - Ionized Van-der-Waals systems : structure and interactions Y1 - 1997 ER - TY - JOUR A1 - Zühlke, Martin A1 - Zenichowski, Karl A1 - Riebe, Daniel A1 - Beitz, Toralf A1 - Löhmannsröben, Hans-Gerd T1 - Subambient pressure electrospray ionization ion mobility spectrometry JF - International journal for ion mobility spectrometry : official publication of the International Society for Ion Mobility Spectrometry N2 - The pressure dependence of sheath gas assisted electrospray ionization (ESI) was investigated based on two complementary experimental setups, namely an ESI-ion mobility (IM) spectrometer and an ESI capillary - Faraday plate setup housed in an optically accessible vacuum chamber. The ESI-IM spectrometer is capable of working in the pressure range between 300 and 1000 mbar. Another aim was the assessment of the analytical capabilities of a subambient pressure ESI-IM spectrometer. The pressure dependence of ESI was characterized by imaging the electrospray and recording current-voltage (I-U) curves. Qualitatively different behavior was observed in both setups. While the current rises continuously with the voltage in the capillary-plate setup, a sharp increase of the current was measured in the IM spectrometer above a pressure-dependent threshold voltage. The different character can be attributed to the detection of different species in both experiments. In the capillary-plate experiment, a multitude of charged species are detected while only desolvated ions attribute to the IM spectrometer signal. This finding demonstrates the utility of IM spectrometry for the characterization of ESI, since in contrast to the capillary-plate setup, the release of ions from the electrospray droplets can be observed. The I-U curves change significantly with pressure. An important result is the reduction of the maximum current with decreasing pressure. The connected loss of ionization efficiency can be compensated by a more efficient transfer of ions in the IM spectrometer at increased E/N. Thus, similar limits of detection could be obtained at 500 mbar and 1 bar. KW - Ion mobility spectrometry KW - Electrospray ionization KW - Subambient pressure KW - Imaging Y1 - 2017 U6 - https://doi.org/10.1007/s12127-017-0215-x SN - 1435-6163 SN - 1865-4584 VL - 20 SP - 47 EP - 56 PB - Springer CY - Heidelberg ER - TY - JOUR A1 - Zühlke, Martin A1 - Sass, Stephan A1 - Riebe, Daniel A1 - Beitz, Toralf A1 - Löhmannsröben, Hans-Gerd T1 - Real-Time Reaction Monitoring of an Organic Multistep Reaction by Electrospray Ionization-Ion Mobility Spectrometry JF - ChemPlusChem N2 - The capability of electrospray ionization (ESI)-ion mobility (IM) spectrometry for reaction monitoring is assessed both as a stand-alone real-time technique and in combination with HPLC. A three-step chemical reaction, consisting of a Williamson ether synthesis followed by a hydrogenation and an N-alkylation step, is chosen for demonstration. Intermediates and products are determined with a drift time to mass-per-charge correlation. Addition of an HPLC column to the setup increases the separation power and allows the determination of further species. Monitoring of the intensities of the various species over the reaction time allows the detection of the end of reaction, determination of the rate-limiting step, observation of the system response in discontinuous processes, and optimization of the mass ratios of the starting materials. However, charge competition in ESI influences the quantitative detection of substances in the reaction mixture. Therefore, two different methods are investigated, which allow the quantification and investigation of reaction kinetics. The first method is based on the pre-separation of the compounds on an HPLC column and their subsequent individual detection in the ESI-IM spectrometer. The second method involves an extended calibration procedure, which considers charge competition effects and facilitates nearly real-time quantification. KW - electrospray ionization KW - HPLC KW - ion mobility spectrometry KW - reaction mechanisms KW - reaction monitoring Y1 - 2017 U6 - https://doi.org/10.1002/cplu.201700296 SN - 2192-6506 VL - 82 SP - 1266 EP - 1273 PB - Wiley-VCH CY - Weinheim ER - TY - JOUR A1 - Zühlke, Martin A1 - Riebe, Daniel A1 - Beitz, Toralf A1 - Löhmannsröben, Hans-Gerd A1 - Zenichowski, Karl A1 - Diener, Marc A1 - Linscheid, Michael W. T1 - An electrospray ionization-ion mobility spectrometer as detector for high-performance liquid chromatography JF - European journal of mass spectrometry N2 - The application of electrospray ionization (ESI) ion mobility (IM) spectrometry on the detection end of a high-performance liquid chromatograph has been a subject of study for some time. So far, this method has been limited to low flow rates or has required splitting of the liquid flow. This work presents a novel concept of an ESI source facilitating the stable operation of the spectrometer at flow rates between 10 mu L min(-1) and 1500 mu L min(-1) without flow splitting, advancing the T-cylinder design developed by Kurnin and co-workers. Flow rates eight times faster than previously reported were achieved because of a more efficient dispersion of the liquid at increased electrospray voltages combined with nebulization by a sheath gas. Imaging revealed the spray operation to be in a rotationally symmetric multijet-mode. The novel ESI-IM spectrometer tolerates high water contents (<= 90%) and electrolyte concentrations up to 10 mM, meeting another condition required of high-performance liquid chromatography (HPLC) detectors. Limits of detection of 50 nM for promazine in the positive mode and 1 mu M for 1,3-dinitrobenzene in the negative mode were established. Three mixtures of reduced complexity (five surfactants, four neuroleptics, and two isomers) were separated in the millisecond regime in stand-alone operation of the spectrometer. Separations of two more complex mixtures (five neuroleptics and 13 pesticides) demonstrate the application of the spectrometer as an HPLC detector. The examples illustrate the advantages of the spectrometer over the established diode array detector, in terms of additional IM separation of substances not fully separated in the retention time domain as well as identification of substances based on their characteristic IMs. KW - ESI KW - IMS KW - HPLC KW - spray imaging KW - neuroleptics KW - pesticides KW - surfactants Y1 - 2015 U6 - https://doi.org/10.1255/ejms.1367 SN - 1469-0667 SN - 1751-6838 VL - 21 IS - 3 SP - 391 EP - 402 PB - WeltTrends CY - Sussex ER - TY - JOUR A1 - Zühlke, Martin A1 - Riebe, Daniel A1 - Beitz, Toralf A1 - Löhmannsröben, Hans-Gerd A1 - Andreotti, Sandro A1 - Reinert, Knut A1 - Zenichowski, Karl A1 - Diener, Marc T1 - High-performance liquid chromatography with electrospray ionization ion mobility spectrometry: Characterization, data management, and applications JF - Journal of separation science N2 - The combination of high-performance liquid chromatography and electrospray ionization ion mobility spectrometry facilitates the two-dimensional separation of complex mixtures in the retention and drift time plane. The ion mobility spectrometer presented here was optimized for flow rates customarily used in high-performance liquid chromatography between 100 and 1500 mu L/min. The characterization of the system with respect to such parameters as the peak capacity of each time dimension and of the 2D spectrum was carried out based on a separation of a pesticide mixture containing 24 substances. While the total ion current chromatogram is coarsely resolved, exhibiting coelutions for a number of compounds, all substances can be separately detected in the 2D plane due to the orthogonality of the separations in retention and drift dimensions. Another major advantage of the ion mobility detector is the identification of substances based on their characteristic mobilities. Electrospray ionization allows the detection of substances lacking a chromophore. As an example, the separation of a mixture of 18 amino acids is presented. A software built upon the free mass spectrometry package OpenMS was developed for processing the extensive 2D data. The different processing steps are implemented as separate modules which can be arranged in a graphic workflow facilitating automated processing of data. KW - Amino acids KW - Electrospray ionization KW - Ion mobility spectrometry KW - Pesticides KW - Two-dimensional separations Y1 - 2016 U6 - https://doi.org/10.1002/jssc.201600749 SN - 1615-9306 SN - 1615-9314 VL - 39 SP - 4756 EP - 4764 PB - Wiley-VCH CY - Weinheim ER - TY - JOUR A1 - Zühlke, Martin A1 - Meiling, Till Thomas A1 - Roder, Phillip A1 - Riebe, Daniel A1 - Beitz, Toralf A1 - Bald, Ilko A1 - Löhmannsröben, Hans-Gerd A1 - Janßen, Traute A1 - Erhard, Marcel A1 - Repp, Alexander T1 - Photodynamic inactivation of E. coli bacteria via carbon nanodots JF - ACS omega / American Chemical Society N2 - The increasing development of antibiotic resistance in bacteria has been a major problem for years, both in human and veterinary medicine. Prophylactic measures, such as the use of vaccines, are of great importance in reducing the use of antibiotics in livestock. These vaccines are mainly produced based on formaldehyde inactivation. However, the latter damages the recognition elements of the bacterial proteins and thus could reduce the immune response in the animal. An alternative inactivation method developed in this work is based on gentle photodynamic inactivation using carbon nanodots (CNDs) at excitation wavelengths λex > 290 nm. The photodynamic inactivation was characterized on the nonvirulent laboratory strain Escherichia coli K12 using synthesized CNDs. For a gentle inactivation, the CNDs must be absorbed into the cytoplasm of the E. coli cell. Thus, the inactivation through photoinduced formation of reactive oxygen species only takes place inside the bacterium, which means that the outer membrane is neither damaged nor altered. The loading of the CNDs into E. coli was examined using fluorescence microscopy. Complete loading of the bacterial cells could be achieved in less than 10 min. These studies revealed a reversible uptake process allowing the recovery and reuse of the CNDs after irradiation and before the administration of the vaccine. The success of photodynamic inactivation was verified by viability assays on agar. In a homemade flow photoreactor, the fastest successful irradiation of the bacteria could be carried out in 34 s. Therefore, the photodynamic inactivation based on CNDs is very effective. The membrane integrity of the bacteria after irradiation was verified by slide agglutination and atomic force microscopy. The method developed for the laboratory strain E. coli K12 could then be successfully applied to the important avian pathogens Bordetella avium and Ornithobacterium rhinotracheale to aid the development of novel vaccines. KW - Bacteria KW - Genetics KW - Fluorescence KW - Photodynamics KW - Irradiation Y1 - 2021 U6 - https://doi.org/10.1021/acsomega.1c01700 SN - 2470-1343 VL - 6 IS - 37 SP - 23742 EP - 23749 PB - ACS Publications CY - Washington, DC ER - TY - GEN A1 - Zühlke, Martin A1 - Meiling, Till Thomas A1 - Roder, Phillip A1 - Riebe, Daniel A1 - Beitz, Toralf A1 - Bald, Ilko A1 - Löhmannsröben, Hans-Gerd A1 - Janßen, Traute A1 - Erhard, Marcel A1 - Repp, Alexander T1 - Photodynamic Inactivation of E. coli Bacteria via Carbon Nanodots T2 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe N2 - The increasing development of antibiotic resistance in bacteria has been a major problem for years, both in human and veterinary medicine. Prophylactic measures, such as the use of vaccines, are of great importance in reducing the use of antibiotics in livestock. These vaccines are mainly produced based on formaldehyde inactivation. However, the latter damages the recognition elements of the bacterial proteins and thus could reduce the immune response in the animal. An alternative inactivation method developed in this work is based on gentle photodynamic inactivation using carbon nanodots (CNDs) at excitation wavelengths λex > 290 nm. The photodynamic inactivation was characterized on the nonvirulent laboratory strain Escherichia coli K12 using synthesized CNDs. For a gentle inactivation, the CNDs must be absorbed into the cytoplasm of the E. coli cell. Thus, the inactivation through photoinduced formation of reactive oxygen species only takes place inside the bacterium, which means that the outer membrane is neither damaged nor altered. The loading of the CNDs into E. coli was examined using fluorescence microscopy. Complete loading of the bacterial cells could be achieved in less than 10 min. These studies revealed a reversible uptake process allowing the recovery and reuse of the CNDs after irradiation and before the administration of the vaccine. The success of photodynamic inactivation was verified by viability assays on agar. In a homemade flow photoreactor, the fastest successful irradiation of the bacteria could be carried out in 34 s. Therefore, the photodynamic inactivation based on CNDs is very effective. The membrane integrity of the bacteria after irradiation was verified by slide agglutination and atomic force microscopy. The method developed for the laboratory strain E. coli K12 could then be successfully applied to the important avian pathogens Bordetella avium and Ornithobacterium rhinotracheale to aid the development of novel vaccines. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 1220 KW - Bacteria KW - Genetics KW - Fluorescence KW - Photodynamics KW - Irradiation Y1 - 2022 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-538425 SN - 1866-8372 SP - 23742 EP - 23749 PB - Universität Potsdam CY - Potsdam ER - TY - THES A1 - Zühlke, Martin T1 - Elektrosprayionisation Ionenmobilitätsspektrometrie T1 - Electrospray ionization Ion mobility spectrometry BT - Entwicklung, Charakterisierung und Anwendung zur HPLC-Detektion und zum Reaktionsmonitoring BT - development, characterization and application for HPLC detection and reaction monitoring N2 - Die Elektrosprayionisation (ESI) ist eine der weitverbreitetsten Ionisationstechniken für flüssige Pro-ben in der Massen- und Ionenmobilitäts(IM)-Spektrometrie. Aufgrund ihrer schonenden Ionisierung wird ESI vorwiegend für empfindliche, komplexe Moleküle in der Biologie und Medizin eingesetzt. Überdies ist sie allerdings für ein sehr breites Spektrum an Substanzklassen anwendbar. Die IM-Spektrometrie wurde ursprünglich zur Detektion gasförmiger Proben entwickelt, die hauptsächlich durch radioaktive Quellen ionisiert werden. Sie ist die einzige analytische Methode, bei der Isomere in Echtzeit getrennt und über ihre charakteristische IM direkt identifiziert werden können. ESI wurde in den 90ger Jahren durch die Hill Gruppe in die IM-Spektrometrie eingeführt. Die Kombination wird bisher jedoch nur von wenigen Gruppen verwendet und hat deshalb noch ein hohes Entwick-lungspotential. Ein vielversprechendes Anwendungsfeld ist der Einsatz in der Hochleistungs-flüssigkeitschromatographie (HPLC) zur mehrdimensionalen Trennung. Heutzutage ist die HPLC die Standardmethode zur Trennung komplexer Proben in der Routineanalytik. HPLC-Trennungsgänge sind jedoch häufig langwierig und der Einsatz verschiedener Laufmittel, hoher Flussraten, von Puffern, sowie Laufmittelgradienten stellt hohe Anforderungen an die Detektoren. Die ESI-IM-Spektrometrie wurde in einigen Studien bereits als HPLC-Detektor eingesetzt, war dort bisher jedoch auf Flussratensplitting oder geringe Flussraten des Laufmittels beschränkt. In dieser kumulativen Doktorarbeit konnte daher erstmals ein ESI IM-Spektrometer als HPLC-Detektor für den Flussratenbereich von 200-1500 μl/min entwickelt werden. Anhand von fünf Publi-kationen wurden (1) über eine umfassende Charakterisierung die Eignung des Spektrometers als HPLC-Detektor festgestellt, (2) ausgewählte komplexe Trenngänge präsentiert und (3) die Anwen-dung zum Reaktionsmonitoring und (4, 5) mögliche Weiterentwicklungen gezeigt. Erfolgreich konnten mit dem selbst-entwickelten ESI IM-Spektrometer typische HPLC-Bedingungen wie Wassergehalte im Laufmittel von bis zu 90%, Pufferkonzentrationen von bis zu 10 mM, sowie Nachweisgrenzen von bis zu 50 nM erreicht werden. Weiterhin wurde anhand der komplexen Trennungsgänge (24 Pestizide/18 Aminosäuren) gezeigt, dass die HPLC und die IM-Spektrometrie eine hohe Orthogonalität besitzen. Eine effektive Peakkapazität von 240 wurde so realisiert. Auf der HPLC-Säule koeluierende Substanzen konnten über die Driftzeit getrennt und über ihre IM identifi-ziert werden, sodass die Gesamttrennzeiten erheblich minimiert werden konnten. Die Anwend-barkeit des ESI IM-Spektrometers zur Überwachung chemischer Synthesen wurde anhand einer dreistufigen Reaktion demonstriert. Es konnten die wichtigsten Edukte, Zwischenprodukte und Produkte aller Stufen identifiziert werden. Eine quantitative Auswertung war sowohl über eine kurze HPLC-Vortrennung als auch durch die Entwicklung eines eigenen Kalibrierverfahrens, welches die Ladungskonkurrenz bei ESI berücksichtigt, ohne HPLC möglich. Im zweiten Teil der Arbeit werden zwei Weiterentwicklungen des Spektrometers präsentiert. Eine Möglichkeit ist die Reduzierung des Drucks in den intermediären Bereich (300 - 1000 mbar) mit dem Ziel der Verringerung der benötigten Spannungen. Mithilfe von Streulichtbildern und Strom-Spannungs-Kurven wurden für geringe Drücke eine verminderte Freisetzung der Analyt-Ionen aus den Tropfen festgestellt. Die Verluste konnten jedoch über höhere elektrische Feldstärken ausgeglichen werden, sodass gleiche Nachweisgrenzen bei 500 mbar und bei 1 bar erreicht wurden. Die zweite Weiterentwicklung ist ein neuartiges Ionentors mit Pulsschaltung, welches eine Verdopplung der Auflösung auf bis zu R > 100 bei gleicher Sensitivität ermöglichte. Eine denkbare Anwendung im Bereich der Peptidanalytik wurde mit beachtlichen Auflösungen der Peptide von R = 90 gezeigt. N2 - Electrospray ionization (ESI) is one of the most widespread ionization techniques for liquid samples in mass and ion mobility (IM) spectrometry. Due to its gentle ionization, ESI is often used for sensitive, complex molecules in biology and medicine. However, it is also applicable to a wide range of substance classes. IM spectrometry was originally developed for the detection of gaseous samples, which are mainly ionized by radioactive sources. It is the only analytical method in which isomers can be separated in real time and directly identified by their characteristic IM. ESI was introduced to IM spectrometry by the Hill Group in the 90s. So far, the combination was only used by a limited number of groups and therefore there is still a large development potential. A highly promising field of application is highperformance liquid chromatography (HPLC) for multidimensional separations. At present, HPLC is the standard method for the separation of complex samples in routine analysis. However, HPLC separations are often time-consuming and the use of different solvents, high flow rates, buffers, as well as solvent gradients impose high demands on the detectors. ESI IM spectrometry was already used as an HPLC detector in a number of studies. However, these studies were restricted to splitting or low flow rates of the mobile phase. In this cumulative thesis, an ESI IM spectrometer was developed as an HPLC detector for the flow rate range of 200-1500 μl/min for the first time. Based on five publications, (1) the suitability of the spectrometer as an HPLC detector was comprehensively characterized, (2) selected complex separations are presented, and (3) the application to the reaction monitoring as well as (4, 5) possible further developments are shown. With the in-house developed ESI IM spectrometer, typical HPLC conditions such as water contents in the mobile phase of up to 90%, buffer concentrations of up to 10 mM, as well as detection limits of up to 50 nM, were achieved successfully. Furthermore, on the basis of a complex separation (24 pesticides/18 amino acids), it could be demonstrated that HPLC and IM spectrometry possess a high degree of orthogonality. An effective peak capacity of 240 was thus realized. Substances coeulating on the HPLC column could be separated in the drift time and were identified by their IM. Thus, the overall separation times could be significantly reduced. The applicability of the ESI IM spectrometer for the monitoring of chemical syntheses was demonstrated for a three-stage reaction. The main starting materials, intermediates and products of all stages could be identified. A quantitative evaluation was possible both by means of a short HPLC pre-separation as well as by a newly developed calibration procedure, which takes charge competition during ESI into account, without HPLC. In the second part of the thesis, two further developments of the spectrometer are presented. One possibility is a reduction of the pressure to the intermediate range (300 - 1000 mbar) with the aim of reducing the required voltages. With the help of scattered light images and current-voltage curves, a reduced release of analyte ions from the droplets was determined at low pressures. However, these losses could be compensated for by higher electric field strengths. Therefore, the same detection limits were achieved at 500 mbar and at 1 bar. The second development is a novel ion gate with pulse switching, which allows a doubling of the resolution up to R > 100 with equal sensitivity. A possible application in the field of peptide analysis was demonstrated, achieving a considerable resolutions of R = 90 for the peptides. KW - HPLC KW - HPLC KW - Ionenmobilitätsspektrometrie KW - Elektrosprayionisation KW - ion mobility spectrometry KW - electrospray ionization (ESI) Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-407452 ER - TY - JOUR A1 - Züge, Carolin A1 - Möller, Ingrid A1 - Meixner, Sabine A1 - Scheithauer, Herbert T1 - Exzessive Mediennutzung und gewalthaltige Medien Y1 - 2008 SN - 978-3-17- 019507-3 ER - TY - JOUR A1 - Zückert, Hartmut T1 - Bemerkungen zur Untertanenbelastung beim barocken Schloß- und Klosterbau Y1 - 1997 SN - 0940-4007 ER - TY - JOUR A1 - Zückert, Hartmut T1 - Vielfalt der Lebensverhältnisse in unmittelbarer Nachbarschaft : die "Gleichzeitigkeit des Ungleichzeitigen" in brandenburgischen Dörfern Y1 - 1997 ER - TY - JOUR A1 - Zückert, Hartmut T1 - Memmingens Bedeutung im 18. Jahrhundert Y1 - 1997 SN - 3-8062-1315-1 ER - TY - JOUR A1 - Zöller, Gert A1 - Ullah, Shahid A1 - Bindi, Dino A1 - Parolai, Stefano A1 - Mikhailova, Natalya T1 - The largest expected earthquake magnitudes in Central Asia BT - statistical inference from an earthquake catalogue with uncertain magnitudes JF - Seismicity, fault rupture and earthquake hazards in slowly deforming regions N2 - The knowledge of the largest expected earthquake magnitude in a region is one of the key issues in probabilistic seismic hazard calculations and the estimation of worst-case scenarios. Earthquake catalogues are the most informative source of information for the inference of earthquake magnitudes. We analysed the earthquake catalogue for Central Asia with respect to the largest expected magnitudes m(T) in a pre-defined time horizon T-f using a recently developed statistical methodology, extended by the explicit probabilistic consideration of magnitude errors. For this aim, we assumed broad error distributions for historical events, whereas the magnitudes of recently recorded instrumental earthquakes had smaller errors. The results indicate high probabilities for the occurrence of large events (M >= 8), even in short time intervals of a few decades. The expected magnitudes relative to the assumed maximum possible magnitude are generally higher for intermediate-depth earthquakes (51-300 km) than for shallow events (0-50 km). For long future time horizons, for example, a few hundred years, earthquakes with M >= 8.5 have to be taken into account, although, apart from the 1889 Chilik earthquake, it is probable that no such event occurred during the observation period of the catalogue. Y1 - 2017 SN - 978-1-86239-745-3 SN - 978-1-86239-964-8 U6 - https://doi.org/10.1144/SP432.3 SN - 0305-8719 VL - 432 SP - 29 EP - 40 PB - The Geological Society CY - London ER - TY - JOUR A1 - Zöller, Gert A1 - Holschneider, Matthias A1 - Hainzl, Sebastian A1 - Zhuang, Jiancang T1 - The largest expected earthquake magnitudes in Japan: The statistical perspective JF - Bulletin of the Seismological Society of America N2 - Earthquake catalogs are probably the most informative data source about spatiotemporal seismicity evolution. The catalog quality in one of the most active seismogenic zones in the world, Japan, is excellent, although changes in quality arising, for example, from an evolving network are clearly present. Here, we seek the best estimate for the largest expected earthquake in a given future time interval from a combination of historic and instrumental earthquake catalogs. We extend the technique introduced by Zoller et al. (2013) to estimate the maximum magnitude in a time window of length T-f for earthquake catalogs with varying level of completeness. In particular, we consider the case in which two types of catalogs are available: a historic catalog and an instrumental catalog. This leads to competing interests with respect to the estimation of the two parameters from the Gutenberg-Richter law, the b-value and the event rate lambda above a given lower-magnitude threshold (the a-value). The b-value is estimated most precisely from the frequently occurring small earthquakes; however, the tendency of small events to cluster in aftershocks, swarms, etc. violates the assumption of a Poisson process that is used for the estimation of lambda. We suggest addressing conflict by estimating b solely from instrumental seismicity and using large magnitude events from historic catalogs for the earthquake rate estimation. Applying the method to Japan, there is a probability of about 20% that the maximum expected magnitude during any future time interval of length T-f = 30 years is m >= 9.0. Studies of different subregions in Japan indicates high probabilities for M 8 earthquakes along the Tohoku arc and relatively low probabilities in the Tokai, Tonankai, and Nankai region. Finally, for scenarios related to long-time horizons and high-confidence levels, the maximum expected magnitude will be around 10. Y1 - 2014 U6 - https://doi.org/10.1785/0120130103 SN - 0037-1106 SN - 1943-3573 VL - 104 IS - 2 SP - 769 EP - 779 PB - Seismological Society of America CY - Albany ER - TY - JOUR A1 - Zöller, Gert A1 - Holschneider, Matthias A1 - Hainzl, Sebastian T1 - The Maximum Earthquake Magnitude in a Time Horizon: Theory and Case Studies JF - Bulletin of the Seismological Society of America N2 - We show how the maximum magnitude within a predefined future time horizon may be estimated from an earthquake catalog within the context of Gutenberg-Richter statistics. The aim is to carry out a rigorous uncertainty assessment, and calculate precise confidence intervals based on an imposed level of confidence a. In detail, we present a model for the estimation of the maximum magnitude to occur in a time interval T-f in the future, given a complete earthquake catalog for a time period T in the past and, if available, paleoseismic events. For this goal, we solely assume that earthquakes follow a stationary Poisson process in time with unknown productivity Lambda and obey the Gutenberg-Richter law in magnitude domain with unknown b-value. The random variables. and b are estimated by means of Bayes theorem with noninformative prior distributions. Results based on synthetic catalogs and on retrospective calculations of historic catalogs from the highly active area of Japan and the low-seismicity, but high-risk region lower Rhine embayment (LRE) in Germany indicate that the estimated magnitudes are close to the true values. Finally, we discuss whether the techniques can be extended to meet the safety requirements for critical facilities such as nuclear power plants. For this aim, the maximum magnitude for all times has to be considered. In agreement with earlier work, we find that this parameter is not a useful quantity from the viewpoint of statistical inference. Y1 - 2013 U6 - https://doi.org/10.1785/0120120013 SN - 0037-1106 VL - 103 IS - 2A SP - 860 EP - 875 PB - Seismological Society of America CY - Albany ER - TY - GEN A1 - Zöller, Gert A1 - Holschneider, Matthias T1 - Reply to “Comment on ‘The Maximum Possible and the Maximum Expected Earthquake Magnitude for Production‐Induced Earthquakes at the Gas Field in Groningen, The Netherlands’ by Gert Zöller and Matthias Holschneider” by Mathias Raschke T2 - Bulletin of the Seismological Society of America Y1 - 2018 U6 - https://doi.org/10.1785/0120170131 SN - 0037-1106 SN - 1943-3573 VL - 108 IS - 2 SP - 1029 EP - 1030 PB - Seismological Society of America CY - Albany ER - TY - JOUR A1 - Zöller, Gert A1 - Holschneider, Matthias T1 - Induced seismicity: What is the size of the largest expected earthquake? JF - The bulletin of the Seismological Society of America N2 - The injection of fluids is a well-known origin for the triggering of earthquake sequences. The growing number of projects related to enhanced geothermal systems, fracking, and others has led to the question, which maximum earthquake magnitude can be expected as a consequence of fluid injection? This question is addressed from the perspective of statistical analysis. Using basic empirical laws of earthquake statistics, we estimate the magnitude M-T of the maximum expected earthquake in a predefined future time window T-f. A case study of the fluid injection site at Paradox Valley, Colorado, demonstrates that the magnitude m 4.3 of the largest observed earthquake on 27 May 2000 lies very well within the expectation from past seismicity without adjusting any parameters. Vice versa, for a given maximum tolerable earthquake at an injection site, we can constrain the corresponding amount of injected fluids that must not be exceeded within predefined confidence bounds. Y1 - 2014 U6 - https://doi.org/10.1785/0120140195 SN - 0037-1106 SN - 1943-3573 VL - 104 IS - 6 SP - 3153 EP - 3158 PB - Seismological Society of America CY - Albany ER - TY - JOUR A1 - Zöller, Gert A1 - Holschneider, Matthias T1 - The Maximum Possible and the Maximum Expected Earthquake Magnitude for Production-Induced Earthquakes at the Gas Field in Groningen, The Netherlands JF - Bulletin of the Seismological Society of America N2 - The Groningen gas field serves as a natural laboratory for production-induced earthquakes, because no earthquakes were observed before the beginning of gas production. Increasing gas production rates resulted in growing earthquake activity and eventually in the occurrence of the 2012M(w) 3.6 Huizinge earthquake. At least since this event, a detailed seismic hazard and risk assessment including estimation of the maximum earthquake magnitude is considered to be necessary to decide on the future gas production. In this short note, we first apply state-of-the-art methods of mathematical statistics to derive confidence intervals for the maximum possible earthquake magnitude m(max). Second, we calculate the maximum expected magnitude M-T in the time between 2016 and 2024 for three assumed gas-production scenarios. Using broadly accepted physical assumptions and 90% confidence level, we suggest a value of m(max) 4.4, whereas M-T varies between 3.9 and 4.3, depending on the production scenario. Y1 - 2016 U6 - https://doi.org/10.1785/0120160220 SN - 0037-1106 SN - 1943-3573 VL - 106 SP - 2917 EP - 2921 PB - Seismological Society of America CY - Albany ER - TY - JOUR A1 - Zöller, Gert A1 - Holschneider, Matthias T1 - The Earthquake History in a Fault Zone Tells Us Almost Nothing about m(max) JF - Seismological research letters N2 - In the present study, we summarize and evaluate the endeavors from recent years to estimate the maximum possible earthquake magnitude m(max) from observed data. In particular, we use basic and physically motivated assumptions to identify best cases and worst cases in terms of lowest and highest degree of uncertainty of m(max). In a general framework, we demonstrate that earthquake data and earthquake proxy data recorded in a fault zone provide almost no information about m(max) unless reliable and homogeneous data of a long time interval, including several earthquakes with magnitude close to m(max), are available. Even if detailed earthquake information from some centuries including historic and paleoearthquakes are given, only very few, namely the largest events, will contribute at all to the estimation of m(max), and this results in unacceptably high uncertainties. As a consequence, estimators of m(max) in a fault zone, which are based solely on earthquake-related information from this region, have to be dismissed. Y1 - 2016 U6 - https://doi.org/10.1785/0220150176 SN - 0895-0695 SN - 1938-2057 VL - 87 SP - 132 EP - 137 PB - Seismological Society of America CY - Albany ER - TY - JOUR A1 - Zöller, Gert A1 - Hainzl, Sebastian A1 - Tilmann, Frederik A1 - Woith, Heiko A1 - Dahm, Torsten T1 - Comment on: Wikelski, Martin; Müller, Uschi; Scocco, Paola; Catorci, Andrea; Desinov, Lev V.; Belyaev, Mikhail Y.; Keim, Daniel A.; Pohlmeier, Winfried; Fechteler, Gerhard; Mai, Martin P. : Potential short-term earthquake forecasting by farm animal monitoring. - Ethology. - 126 (2020), 9. - S. 931 - 941. -ISSN 0179-1613. - eISSN 1439-0310. - doi 10.1111/eth.13078 JF - Ethology N2 - Based on an analysis of continuous monitoring of farm animal behavior in the region of the 2016 M6.6 Norcia earthquake in Italy, Wikelski et al., 2020; (Seismol Res Lett, 89, 2020, 1238) conclude that animal activity can be anticipated with subsequent seismic activity and that this finding might help to design a "short-term earthquake forecasting method." We show that this result is based on an incomplete analysis and misleading interpretations. Applying state-of-the-art methods of statistics, we demonstrate that the proposed anticipatory patterns cannot be distinguished from random patterns, and consequently, the observed anomalies in animal activity do not have any forecasting power. KW - animal behavior KW - earthquake precursor KW - error diagram KW - prediction KW - randomness KW - statistics Y1 - 2020 U6 - https://doi.org/10.1111/eth.13105 SN - 0179-1613 SN - 1439-0310 VL - 127 IS - 3 SP - 302 EP - 306 PB - Wiley CY - Hoboken ER - TY - JOUR A1 - Zöller, Gert A1 - Hainzl, Sebastian A1 - Kurths, Jürgen T1 - Observation of growing correlation length as an indicator for critical point behavior prior to large earthquakes Y1 - 2001 ER - TY - JOUR A1 - Zöller, Gert A1 - Hainzl, Sebastian A1 - Holschneider, Matthias T1 - Recurrence of Large Earthquakes : bayesian inference from catalogs in the presence of magnitude uncertainties N2 - We present a Bayesian method that allows continuous updating the aperiodicity of the recurrence time distribution of large earthquakes based on a catalog with magnitudes above a completeness threshold. The approach uses a recently proposed renewal model for seismicity and allows the inclusion of magnitude uncertainties in a straightforward manner. Errors accounting for grouped magnitudes and random errors are studied and discussed. The results indicate that a stable and realistic value of the aperiodicity can be predicted in an early state of seismicity evolution, even though only a small number of large earthquakes has occurred to date. Furthermore, we demonstrate that magnitude uncertainties can drastically influence the results and can therefore not be neglected. We show how to correct for the bias caused by magnitude errors. For the region of Parkfield we find that the aperiodicity, or the coefficient of variation, is clearly higher than in studies which are solely based on the large earthquakes. Y1 - 2010 UR - http://www.springerlink.com/content/101201 U6 - https://doi.org/10.1007/s00024-010-0078-0 SN - 0033-4553 ER - TY - JOUR A1 - Zöller, Gert A1 - Ben-Zion, Yehuda T1 - Large earthquake hazard of the San Jacinto fault zone, CA, from long record of simulated seismicity assimilating the available instrumental and paleoseismic data JF - Pure and applied geophysics N2 - We investigate spatio-temporal properties of earthquake patterns in the San Jacinto fault zone (SJFZ), California, between Cajon Pass and the Superstition Hill Fault, using a long record of simulated seismicity constrained by available seismological and geological data. The model provides an effective realization of a large segmented strike-slip fault zone in a 3D elastic half-space, with heterogeneous distribution of static friction chosen to represent several clear step-overs at the surface. The simulated synthetic catalog reproduces well the basic statistical features of the instrumental seismicity recorded at the SJFZ area since 1981. The model also produces events larger than those included in the short instrumental record, consistent with paleo-earthquakes documented at sites along the SJFZ for the last 1,400 years. The general agreement between the synthetic and observed data allows us to address with the long-simulated seismicity questions related to large earthquakes and expected seismic hazard. The interaction between m a parts per thousand yen 7 events on different sections of the SJFZ is found to be close to random. The hazard associated with m a parts per thousand yen 7 events on the SJFZ increases significantly if the long record of simulated seismicity is taken into account. The model simulations indicate that the recent increased number of observed intermediate SJFZ earthquakes is a robust statistical feature heralding the occurrence of m a parts per thousand yen 7 earthquakes. The hypocenters of the m a parts per thousand yen 5 events in the simulation results move progressively towards the hypocenter of the upcoming m a parts per thousand yen 7 earthquake. KW - Earthquake dynamics KW - Earthquake interaction KW - forecasting KW - prediction KW - Statistical seismology KW - Seismicity and tectonics Y1 - 2014 U6 - https://doi.org/10.1007/s00024-014-0783-1 SN - 0033-4553 SN - 1420-9136 VL - 171 IS - 11 SP - 2955 EP - 2965 PB - Springer CY - Basel ER - TY - GEN A1 - Zöller, Gert T1 - Comment on "Estimation of Earthquake Hazard Parameters from Incomplete Data Files. Part III. Incorporation of Uncertainty of Earthquake-Occurrence Model" by Andrzej Kijko, Ansie Smit, and Markvard A. Sellevoll T2 - Bulletin of the Seismological Society of America N2 - Kijko et al. (2016) present various methods to estimate parameters that are relevant for probabilistic seismic-hazard assessment. One of these parameters, although not the most influential, is the maximum possible earthquake magnitude m(max). I show that the proposed estimation of m(max) is based on an erroneous equation related to a misuse of the estimator in Cooke (1979) and leads to unstable results. So far, reported finite estimations of m(max) arise from data selection, because the estimator in Kijko et al. (2016) diverges with finite probability. This finding is independent of the assumed distribution of earthquake magnitudes. For the specific choice of the doubly truncated Gutenberg-Richter distribution, I illustrate the problems by deriving explicit equations. Finally, I conclude that point estimators are generally not a suitable approach to constrain m(max). Y1 - 2017 U6 - https://doi.org/10.1785/0120160193 SN - 0037-1106 SN - 1943-3573 VL - 107 SP - 1975 EP - 1978 PB - Seismological Society of America CY - Albany ER - TY - JOUR A1 - Zöller, Gert T1 - A note on the estimation of the maximum possible earthquake magnitude based on extreme value theory for the Groningen Gas Field JF - The bulletin of the Seismological Society of America : BSSA N2 - Extreme value statistics is a popular and frequently used tool to model the occurrence of large earthquakes. The problem of poor statistics arising from rare events is addressed by taking advantage of the validity of general statistical properties in asymptotic regimes. In this note, I argue that the use of extreme value statistics for the purpose of practically modeling the tail of the frequency-magnitude distribution of earthquakes can produce biased and thus misleading results because it is unknown to what degree the tail of the true distribution is sampled by data. Using synthetic data allows to quantify this bias in detail. The implicit assumption that the true M-max is close to the maximum observed magnitude M-max,M-observed restricts the class of the potential models a priori to those with M-max = M-max,M-observed + Delta M with an increment Delta M approximate to 0.5... 1.2. This corresponds to the simple heuristic method suggested by Wheeler (2009) and labeled :M-max equals M-obs plus an increment." The incomplete consideration of the entire model family for the frequency-magnitude distribution neglects, however, the scenario of a large so far unobserved earthquake. Y1 - 2022 U6 - https://doi.org/10.1785/0120210307 SN - 0037-1106 SN - 1943-3573 VL - 112 IS - 4 SP - 1825 EP - 1831 PB - Seismological Society of America CY - El Cerito, Calif. ER - TY - THES A1 - Zöller, Gert T1 - Critical states of seismicity : modeling and data analysis T1 - Kritische Zustände seismischer Dynamik : Modellierung und Datenanalyse N2 - The occurrence of earthquakes is characterized by a high degree of spatiotemporal complexity. Although numerous patterns, e.g. fore- and aftershock sequences, are well-known, the underlying mechanisms are not observable and thus not understood. Because the recurrence times of large earthquakes are usually decades or centuries, the number of such events in corresponding data sets is too small to draw conclusions with reasonable statistical significance. Therefore, the present study combines both, numerical modeling and analysis of real data in order to unveil the relationships between physical mechanisms and observational quantities. The key hypothesis is the validity of the so-called "critical point concept" for earthquakes, which assumes large earthquakes to occur as phase transitions in a spatially extended many-particle system, similar to percolation models. New concepts are developed to detect critical states in simulated and in natural data sets. The results indicate that important features of seismicity like the frequency-size distribution and the temporal clustering of earthquakes depend on frictional and structural fault parameters. In particular, the degree of quenched spatial disorder (the "roughness") of a fault zone determines whether large earthquakes occur quasiperiodically or more clustered. This illustrates the power of numerical models in order to identify regions in parameter space, which are relevant for natural seismicity. The critical point concept is verified for both, synthetic and natural seismicity, in terms of a critical state which precedes a large earthquake: a gradual roughening of the (unobservable) stress field leads to a scale-free (observable) frequency-size distribution. Furthermore, the growth of the spatial correlation length and the acceleration of the seismic energy release prior to large events is found. The predictive power of these precursors is, however, limited. Instead of forecasting time, location, and magnitude of individual events, a contribution to a broad multiparameter approach is encouraging. N2 - Das Auftreten von Erdbeben zeichnet sich durch eine hohe raumzeitliche Komplexität aus. Obwohl zahlreiche Muster, wie Vor- und Nachbeben bekannt sind, weiß man wenig über die zugrundeliegenden Mechanismen, da diese sich direkter Beobachtung entziehen. Die Zeit zwischen zwei starken Erdbeben in einer seismisch aktiven Region beträgt Jahrzehnte bis Jahrhunderte. Folglich ist die Anzahl solcher Ereignisse in einem Datensatz gering und es ist kaum möglich, allein aus Beobachtungsdaten statistisch signifikante Aussagen über deren Eigenschaften abzuleiten. Die vorliegende Arbeit nutzt daher numerische Modellierungen einer Verwerfungszone in Verbindung mit Datenanalyse, um die Beziehung zwischen physikalischen Mechanismen und beobachteter Seismizität zu studieren. Die zentrale Hypothese ist die Gültigkeit des sogenannten "kritischen Punkt Konzeptes" für Seismizität, d.h. starke Erdbeben werden als Phasenübergänge in einem räumlich ausgedehnten Vielteilchensystem betrachtet, ähnlich wie in Modellen aus der statistischen Physik (z.B. Perkolationsmodelle). Es werden praktische Konzepte entwickelt, die es ermöglichen, kritische Zustände in simulierten und in beobachteten Daten sichtbar zu machen. Die Resultate zeigen, dass wesentliche Eigenschaften von Seismizität, etwa die Magnitudenverteilung und das raumzeitliche Clustern von Erdbeben, durch Reibungs- und Bruchparameter bestimmt werden. Insbesondere der Grad räumlicher Unordnung (die "Rauhheit") einer Verwerfungszone hat Einfluss darauf, ob starke Erdbeben quasiperiodisch oder eher zufällig auftreten. Dieser Befund zeigt auf, wie numerische Modelle genutzt werden können, um den Parameterraum für reale Verwerfungen einzugrenzen. Das kritische Punkt Konzept kann in synthetischer und in beobachteter Seismizität verifiziert werden. Dies artikuliert sich auch in Vorläuferphänomenen vor großen Erdbeben: Die Aufrauhung des (unbeobachtbaren) Spannungsfeldes führt zu einer Skalenfreiheit der (beobachtbaren) Größenverteilung; die räumliche Korrelationslänge wächst und die seismische Energiefreisetzung wird beschleunigt. Ein starkes Erdbeben kann in einem zusammenhängenden Bruch oder in einem unterbrochenen Bruch (Vorbeben und Hauptbeben) stattfinden. Die beobachtbaren Vorläufer besitzen eine begrenzte Prognosekraft für die Auftretenswahrscheinlichkeit starker Erdbeben - eine präzise Vorhersage von Ort, Zeit, und Stärke eines nahenden Erdbebens ist allerdings nicht möglich. Die genannten Parameter erscheinen eher vielversprechend als Beitrag zu einem umfassenden Multiparameteransatz für eine verbesserte zeitabhängige Gefährdungsabschätzung. KW - Seismizität KW - Erdbebenvorhersage KW - statistische Physik KW - mathematische Modellierung KW - Datenanalyse KW - seismicity KW - earthquake prediction KW - statistical physics KW - mathematical modeling KW - data analysis Y1 - 2005 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-7427 ER - TY - THES A1 - Zöller, Gert T1 - Analyse raumzeitlicher Muster in Erdbebendaten N2 - Die vorliegende Arbeit beschäftigt sich mit der Charakterisierung von Seismizität anhand von Erdbebenkatalogen. Es werden neue Verfahren der Datenanalyse entwickelt, die Aufschluss darüber geben sollen, ob der seismischen Dynamik ein stochastischer oder ein deterministischer Prozess zugrunde liegt und was daraus für die Vorhersagbarkeit starker Erdbeben folgt. Es wird gezeigt, dass seismisch aktive Regionen häufig durch nichtlinearen Determinismus gekennzeichent sind. Dies schließt zumindest die Möglichkeit einer Kurzzeitvorhersage ein. Das Auftreten seismischer Ruhe wird häufig als Vorläuferphaenomen für starke Erdbeben gedeutet. Es wird eine neue Methode präsentiert, die eine systematische raumzeitliche Kartierung seismischer Ruhephasen ermöglicht. Die statistische Signifikanz wird mit Hilfe des Konzeptes der Ersatzdaten bestimmt. Als Resultat erhält man deutliche Korrelationen zwischen seismischen Ruheperioden und starken Erdbeben. Gleichwohl ist die Signifikanz dafür nicht hoch genug, um eine Vorhersage im Sinne einer Aussage über den Ort, die Zeit und die Stärke eines zu erwartenden Hauptbebens zu ermöglichen. KW - Erdbeben KW - nichtlineare Dynamik Y1 - 1999 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-0000122 ER - TY - JOUR A1 - Zöller, Gert T1 - A statistical model for earthquake recurrence based on the assimilation of paleoseismicity, historic seismicity, and instrumental seismicity JF - Journal of geophysical research : Solid earth N2 - Paleoearthquakes and historic earthquakes are the most important source of information for the estimation of long-term earthquake recurrence intervals in fault zones, because corresponding sequences cover more than one seismic cycle. However, these events are often rare, dating uncertainties are enormous, and missing or misinterpreted events lead to additional problems. In the present study, I assume that the time to the next major earthquake depends on the rate of small and intermediate events between the large ones in terms of a clock change model. Mathematically, this leads to a Brownian passage time distribution for recurrence intervals. I take advantage of an earlier finding that under certain assumptions the aperiodicity of this distribution can be related to the Gutenberg-Richter b value, which can be estimated easily from instrumental seismicity in the region under consideration. In this way, both parameters of the Brownian passage time distribution can be attributed with accessible seismological quantities. This allows to reduce the uncertainties in the estimation of the mean recurrence interval, especially for short paleoearthquake sequences and high dating errors. Using a Bayesian framework for parameter estimation results in a statistical model for earthquake recurrence intervals that assimilates in a simple way paleoearthquake sequences and instrumental data. I present illustrative case studies from Southern California and compare the method with the commonly used approach of exponentially distributed recurrence times based on a stationary Poisson process. KW - statistical seismology KW - paleoearthquakes KW - stochastic models KW - seismic hazard Y1 - 2018 U6 - https://doi.org/10.1029/2017JB015099 SN - 2169-9313 SN - 2169-9356 VL - 123 IS - 6 SP - 4906 EP - 4921 PB - American Geophysical Union CY - Washington ER - TY - JOUR A1 - Zöller, Gert T1 - Convergence of the frequency-magnitude distribution of global earthquakes - maybe in 200 years JF - Geophysical research letters N2 - I study the ability to estimate the tail of the frequency-magnitude distribution of global earthquakes. While power-law scaling for small earthquakes is accepted by support of data, the tail remains speculative. In a recent study, Bell et al. (2013) claim that the frequency-magnitude distribution of global earthquakes converges to a tapered Pareto distribution. I show that this finding results from data fitting errors, namely from the biased maximum likelihood estimation of the corner magnitude theta in strongly undersampled models. In particular, the estimation of theta depends solely on the few largest events in the catalog. Taking this into account, I compare various state-of-the-art models for the global frequency-magnitude distribution. After discarding undersampled models, the remaining ones, including the unbounded Gutenberg-Richter distribution, perform all equally well and are, therefore, indistinguishable. Convergence to a specific distribution, if it ever takes place, requires about 200 years homogeneous recording of global seismicity, at least. KW - statistical seismology Y1 - 2013 U6 - https://doi.org/10.1002/grl.50779 SN - 0094-8276 SN - 1944-8007 VL - 40 IS - 15 SP - 3873 EP - 3877 PB - American Geophysical Union CY - Washington ER - TY - THES A1 - Zölch, Martina T1 - Aktivitäten der Handlungsverschränkung : Theorie und Praxis der Werkstattsteuerung in der gruppenorientierten Fertigung Y1 - 1997 ER - TY - GEN A1 - Zór, K. A1 - Heiskanen, A. A1 - Caviglia, Claudia A1 - Vergani, M. A1 - Landini, E. A1 - Shah, F. A1 - Carminati, Marco A1 - Martínez-Serrano, A. A1 - Ramos Moreno, T. A1 - Kokaia, M. A1 - Benayahu, Dafna A1 - Keresztes, Zs. A1 - Papkovsky, D. A1 - Wollenberger, Ursula A1 - Svendsen, W. E. A1 - Dimaki, M. A1 - Ferrari, G. A1 - Raiteri, R. A1 - Sampietro, M. A1 - Dufva, M. A1 - Emnéus, J. T1 - A compact multifunctional microfluidic platform for exploring cellular dynamics in real-time using electrochemical detection N2 - Downscaling of microfluidic cell culture and detection devices for electrochemical monitoring has mostly focused on miniaturization of the microfluidic chips which are often designed for specific applications and therefore lack functional flexibility. We present a compact microfluidic cell culture and electrochemical analysis platform with in-built fluid handling and detection, enabling complete cell based assays comprising on-line electrode cleaning, sterilization, surface functionalization, cell seeding, cultivation and electrochemical real-time monitoring of cellular dynamics. To demonstrate the versatility and multifunctionality of the platform, we explored amperometric monitoring of intracellular redox activity in yeast (Saccharomyces cerevisiae) and detection of exocytotically released dopamine from rat pheochromocytoma cells (PC12). Electrochemical impedance spectroscopy was used in both applications for monitoring cell sedimentation and adhesion as well as proliferation in the case of PC12 cells. The influence of flow rate on the signal amplitude in the detection of redox metabolism as well as the effect of mechanical stimulation on dopamine release were demonstrated using the programmable fluid handling capability. The here presented platform is aimed at applications utilizing cell based assays, ranging from e.g. monitoring of drug effects in pharmacological studies, characterization of neural stem cell differentiation, and screening of genetically modified microorganisms to environmental monitoring. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 289 Y1 - 2014 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-99492 ER - TY - JOUR A1 - Zähle, Henryk T1 - Space-time regularity of catalytic super-Brownian motion N2 - The paper studies catalytic super-Brownian motion on the real line, where the branching rate is controlled by a catalyst. D. A. Dawson, K. Fleischmann and S. Roelly showed, for a broad class of catalysts, that, as for constant branching, the processes are absolutely continuous measures. This paper considers a class of catalysts, called moderate, which must satisfy a uniform boundedness condition and a condition controlling the degree of singularity---essentially that the mass of catalyst in small balls should (uniformly) be of order r^a, where a>0. The main result of this paper shows that for this class of catalysts there is a continuous density field for the process. Moreover the density is the unique solution (in law) of an appropriate SPDE. Y1 - 2005 UR - http://www.interscience.wiley.com/jpages/0025-584X/ ER - TY - JOUR A1 - Zähle, Henryk T1 - Heat equation with strongly inhomogeneous noise N2 - The author considers the heat equation in dimension one with singular drift and inhomogeneous space-time white noise. In particular, the quadratic variation measure of the white noise is not required to be absolutely continuous w.r.t. the Lebesgue measure, neither in space nor in time. Under some assumptions the author gives statements on strong and weak existence as well as strong and weak uniqueness of continuous solutions. Y1 - 2004 UR - http://www.sciencedirect.com/science/journal/03044149 ER - TY - JOUR A1 - Zykov, Vladimir A1 - Bordyugov, Grigory A1 - Lentz, Hartmut A1 - Engel, Harald T1 - Hysteresis phenomenon in the dynamics of spiral waves rotating around a hole N2 - Hysteresis in the pinning-depinning transitions of spiral waves rotating around a hole in a circular shaped two- dimensional excitable medium is studied both by use of the continuation software AUTO and by direct numerical integration of the reaction-diffusion equations for the FitzHugh-Nagumo model. In order to clarify the role of different factors in this phenomenon, a kinematical description is applied. It is found that the hysteresis phenomenon computed for the reaction-diffusion model can be reproduced qualitatively only when a nonlinear eikonal equation (i.e. velocity- curvature relationship) is assumed. However, to obtain quantitative agreement, the dispersion relation has to be taken into account. Y1 - 2010 UR - http://www.sciencedirect.com/science/journal/01672789 U6 - https://doi.org/10.1016/j.physd.2009.07.018 SN - 0167-2789 ER - TY - JOUR A1 - Zwieback, Simon A1 - Kokelj, Steven V. A1 - Günther, Frank A1 - Boike, Julia A1 - Grosse, Guido A1 - Hajnsek, Irena T1 - Sub-seasonal thaw slump mass wasting is not consistently energy limited at the landscape scale JF - The Cryosphere : TC ; an interactive open access journal of the European Geosciences Union N2 - Predicting future thaw slump activity requires a sound understanding of the atmospheric drivers and geomorphic controls on mass wasting across a range of timescales. On sub-seasonal timescales, sparse measurements indicate that mass wasting at active slumps is often limited by the energy available for melting ground ice, but other factors such as rainfall or the formation of an insulating veneer may also be relevant. To study the sub-seasonal drivers, we derive topographic changes from single-pass radar interferometric data acquired by the TanDEM-X satellites. The estimated elevation changes at 12m resolution complement the commonly observed planimetric retreat rates by providing information on volume losses. Their high vertical precision (around 30 cm), frequent observations (11 days) and large coverage (5000 km(2)) allow us to track mass wasting as drivers such as the available energy change during the summer of 2015 in two study regions. We find that thaw slumps in the Tuktoyaktuk coastlands, Canada, are not energy limited in June, as they undergo limited mass wasting (height loss of around 0 cm day 1) despite the ample available energy, suggesting the widespread presence of early season insulating snow or debris veneer. Later in summer, height losses generally increase (around 3 cm day 1), but they do so in distinct ways. For many slumps, mass wasting tracks the available energy, a temporal pattern that is also observed at coastal yedoma cliffs on the Bykovsky Peninsula, Russia. However, the other two common temporal trajectories are asynchronous with the available energy, as they track strong precipitation events or show a sudden speed-up in late August respectively. The observed temporal patterns are poorly related to slump characteristics like the headwall height. The contrasting temporal behaviour of nearby thaw slumps highlights the importance of complex local and temporally varying controls on mass wasting. Y1 - 2018 U6 - https://doi.org/10.5194/tc-12-549-2018 SN - 1994-0416 SN - 1994-0424 VL - 12 IS - 2 SP - 549 EP - 564 PB - Copernicus CY - Göttingen ER - TY - GEN A1 - Zwieback, Simon A1 - Kokelj, Steven V. A1 - Günther, Frank A1 - Boike, Julia A1 - Grosse, Guido A1 - Hajnsek, Irena T1 - Sub-seasonal thaw slump mass wasting is not consistently energy limited at the landscape scale T2 - Postprints der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe N2 - Predicting future thaw slump activity requires a sound understanding of the atmospheric drivers and geomorphic controls on mass wasting across a range of timescales. On sub-seasonal timescales, sparse measurements indicate that mass wasting at active slumps is often limited by the energy available for melting ground ice, but other factors such as rainfall or the formation of an insulating veneer may also be relevant. To study the sub-seasonal drivers, we derive topographic changes from single-pass radar interferometric data acquired by the TanDEM-X satellites. The estimated elevation changes at 12m resolution complement the commonly observed planimetric retreat rates by providing information on volume losses. Their high vertical precision (around 30 cm), frequent observations (11 days) and large coverage (5000 km(2)) allow us to track mass wasting as drivers such as the available energy change during the summer of 2015 in two study regions. We find that thaw slumps in the Tuktoyaktuk coastlands, Canada, are not energy limited in June, as they undergo limited mass wasting (height loss of around 0 cm day 1) despite the ample available energy, suggesting the widespread presence of early season insulating snow or debris veneer. Later in summer, height losses generally increase (around 3 cm day 1), but they do so in distinct ways. For many slumps, mass wasting tracks the available energy, a temporal pattern that is also observed at coastal yedoma cliffs on the Bykovsky Peninsula, Russia. However, the other two common temporal trajectories are asynchronous with the available energy, as they track strong precipitation events or show a sudden speed-up in late August respectively. The observed temporal patterns are poorly related to slump characteristics like the headwall height. The contrasting temporal behaviour of nearby thaw slumps highlights the importance of complex local and temporally varying controls on mass wasting. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 926 KW - ground-ice KW - Tandem-X KW - Northeast Siberia KW - thermal regime KW - Peel Plateau KW - permafrost KW - erosion KW - Island KW - delta KW - yedoma Y1 - 2020 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-445688 SN - 1866-8372 IS - 926 SP - 549 EP - 564 ER - TY - JOUR A1 - Zwickel, Theresa A1 - Kahl, Sandra M. A1 - Rychlik, Michael A1 - Müller, Marina E. H. T1 - Chemotaxonomy of Mycotoxigenic Small-Spored Alternaria Fungi BT - Do Multitoxin Mixtures Act as an Indicator for Species Differentiation? JF - Frontiers in microbiology N2 - Necrotrophic as well as saprophytic small-spored Altemaria (A.) species are annually responsible for major losses of agricultural products, such as cereal crops, associated with the contamination of food and feedstuff with potential health-endangering Altemaria toxins. Knowledge of the metabolic capabilities of different species-groups to form mycotoxins is of importance for a reliable risk assessment. 93 Altemaria strains belonging to the four species groups Alternaria tenuissima, A. arborescens, A. altemata, and A. infectoria were isolated from winter wheat kernels harvested from fields in Germany and Russia and incubated under equal conditions. Chemical analysis by means of an HPLC-MS/MS multi-Alternaria-toxin-method showed that 95% of all strains were able to form at least one of the targeted 17 non-host specific Altemaria toxins. Simultaneous production of up to 15 (modified) Altemaria toxins by members of the A. tenuissima, A. arborescens, A. altemata species-groups and up to seven toxins by A. infectoria strains was demonstrated. Overall tenuazonic acid was the most extensively formed mycotoxin followed by alternariol and alternariol mono methylether, whereas altertoxin I was the most frequently detected toxin. Sulfoconjugated modifications of alternariol, alternariol mono methylether, altenuisol and altenuene were frequently determined. Unknown perylene quinone derivatives were additionally detected. Strains of the species-group A. infectoria could be segregated from strains of the other three species-groups due to significantly lower toxin levels and the specific production of infectopyrone. Apart from infectopyrone, alterperylenol was also frequently produced by 95% of the A. infectoria strains. Neither by the concentration nor by the composition of the targeted Altemaria toxins a differentiation between the species-groups A. altemata, A. tenuissima and A. arborescens was possible. KW - small-spored Alternaria fungi KW - Alternaria species-groups KW - Alternaria mycotoxins KW - chemotaxonomy KW - secondary metabolite profiling KW - LC-MS/MS KW - wheat KW - perylene quinone derivatives Y1 - 2018 U6 - https://doi.org/10.3389/fmicb.2018.01368 SN - 1664-302X VL - 9 PB - Frontiers Research Foundation CY - Lausanne ER - TY - GEN A1 - Zwickel, Theresa A1 - Kahl, Sandra M. A1 - Rychlik, Michael A1 - Müller, Marina E. H. T1 - Chemotaxonomy of mycotoxigenic small-spored Alternaria fungi BT - do multitoxin mixtures act as an indicator for species differentiation? T2 - Postprints der Universität Potsdam Mathematisch-Naturwissenschaftliche Reihe N2 - Necrotrophic as well as saprophytic small-spored Altemaria (A.) species are annually responsible for major losses of agricultural products, such as cereal crops, associated with the contamination of food and feedstuff with potential health-endangering Altemaria toxins. Knowledge of the metabolic capabilities of different species-groups to form mycotoxins is of importance for a reliable risk assessment. 93 Altemaria strains belonging to the four species groups Alternaria tenuissima, A. arborescens, A. altemata, and A. infectoria were isolated from winter wheat kernels harvested from fields in Germany and Russia and incubated under equal conditions. Chemical analysis by means of an HPLC-MS/MS multi-Alternaria-toxin-method showed that 95% of all strains were able to form at least one of the targeted 17 non-host specific Altemaria toxins. Simultaneous production of up to 15 (modified) Altemaria toxins by members of the A. tenuissima, A. arborescens, A. altemata species-groups and up to seven toxins by A. infectoria strains was demonstrated. Overall tenuazonic acid was the most extensively formed mycotoxin followed by alternariol and alternariol mono methylether, whereas altertoxin I was the most frequently detected toxin. Sulfoconjugated modifications of alternariol, alternariol mono methylether, altenuisol and altenuene were frequently determined. Unknown perylene quinone derivatives were additionally detected. Strains of the species-group A. infectoria could be segregated from strains of the other three species-groups due to significantly lower toxin levels and the specific production of infectopyrone. Apart from infectopyrone, alterperylenol was also frequently produced by 95% of the A. infectoria strains. Neither by the concentration nor by the composition of the targeted Altemaria toxins a differentiation between the species-groups A. altemata, A. tenuissima and A. arborescens was possible. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 696 KW - small-spored Alternaria fungi KW - Alternaria species-groups KW - Alternaria mycotoxins KW - chemotaxonomy KW - secondary metabolite profiling KW - LC-MS/MS KW - wheat KW - perylene quinone derivatives Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-426623 SN - 1866-8372 IS - 696 ER - TY - JOUR A1 - Zwickel, Theresa A1 - Kahl, Sandra M. A1 - Klaffke, Horst A1 - Rychlik, Michael A1 - Müller, Marina E. H. T1 - Spotlight on the Underdogs-An Analysis of Underrepresented Alternaria Mycotoxins Formed Depending on Varying Substrate, Time and Temperature Conditions JF - Toxins N2 - Alternaria (A.) is a genus of widespread fungi capable of producing numerous, possibly health-endangering Alternaria toxins (ATs), which are usually not the focus of attention. The formation of ATs depends on the species and complex interactions of various environmental factors and is not fully understood. In this study the influence of temperature (7 degrees C, 25 degrees C), substrate (rice, wheat kernels) and incubation time (4, 7, and 14 days) on the production of thirteen ATs and three sulfoconjugated ATs by three different Alternaria isolates from the species groups A. tenuissima and A. infectoria was determined. High-performance liquid chromatography coupled with tandem mass spectrometry was used for quantification. Under nearly all conditions, tenuazonic acid was the most extensively produced toxin. At 25 degrees C and with increasing incubation time all toxins were formed in high amounts by the two A. tenuissima strains on both substrates with comparable mycotoxin profiles. However, for some of the toxins, stagnation or a decrease in production was observed from day 7 to 14. As opposed to the A. tenuissima strains, the A. infectoria strain only produced low amounts of ATs, but high concentrations of stemphyltoxin III. The results provide an essential insight into the quantitative in vitro AT formation under different environmental conditions, potentially transferable to different field and storage conditions. KW - Alternaria infectoria KW - A. tenuissima KW - mycotoxin profile KW - wheat KW - rice KW - Alternaria toxin sulfates KW - modified Alternaria toxins KW - altertoxins KW - altenuic acid KW - HPLC-MS/MS Y1 - 2016 U6 - https://doi.org/10.3390/toxins8110344 SN - 2072-6651 VL - 8 SP - 570 EP - 583 PB - MDPI CY - Basel ER - TY - GEN A1 - Zwickel, Theresa A1 - Kahl, Sandra M. A1 - Klaffke, Horst A1 - Rychlik, Michael A1 - Müller, Marina E. H. T1 - Spotlight on the underdogs BT - an analysis of underrepresented alternaria mycotoxins formed depending on varying substrate, time and temperature conditions N2 - Alternaria (A.) is a genus of widespread fungi capable of producing numerous, possibly health-endangering Alternaria toxins (ATs), which are usually not the focus of attention. The formation of ATs depends on the species and complex interactions of various environmental factors and is not fully understood. In this study the influence of temperature (7 °C, 25 °C), substrate (rice, wheat kernels) and incubation time (4, 7, and 14 days) on the production of thirteen ATs and three sulfoconjugated ATs by three different Alternaria isolates from the species groups A. tenuissima and A. infectoria was determined. High-performance liquid chromatography coupled with tandem mass spectrometry was used for quantification. Under nearly all conditions, tenuazonic acid was the most extensively produced toxin. At 25 °C and with increasing incubation time all toxins were formed in high amounts by the two A. tenuissima strains on both substrates with comparable mycotoxin profiles. However, for some of the toxins, stagnation or a decrease in production was observed from day 7 to 14. As opposed to the A. tenuissima strains, the A. infectoria strain only produced low amounts of ATs, but high concentrations of stemphyltoxin III. The results provide an essential insight into the quantitative in vitro AT formation under different environmental conditions, potentially transferable to different field and storage conditions T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 353 KW - Alternaria infectoria KW - A. tenuissima KW - mycotoxin profile KW - wheat KW - rice KW - Alternaria toxin sulfates KW - modified Alternaria toxins KW - altertoxins KW - altenuic acid KW - HPLC-MS/MS Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-400438 ER - TY - GEN A1 - Zwaag, Jelle A1 - Horst, Rob ter A1 - Blaženović, Ivana A1 - Stößel, Daniel A1 - Ratter, Jacqueline A1 - Worseck, Josephine M. A1 - Schauer, Nicolas A1 - Stienstra, Rinke A1 - Netea, Mihai G. A1 - Jahn, Dieter A1 - Pickkers, Peter A1 - Kox, Matthijs T1 - Involvement of lactate and pyruvate in the anti-inflammatory effects exerted by voluntary activation of the sympathetic nervous system T2 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe N2 - We recently demonstrated that the sympathetic nervous system can be voluntarily activated following a training program consisting of cold exposure, breathing exercises, and meditation. This resulted in profound attenuation of the systemic inflammatory response elicited by lipopolysaccharide (LPS) administration. Herein, we assessed whether this training program affects the plasma metabolome and if these changes are linked to the immunomodulatory effects observed. A total of 224 metabolites were identified in plasma obtained from 24 healthy male volunteers at six timepoints, of which 98 were significantly altered following LPS administration. Effects of the training program were most prominent shortly after initiation of the acquired breathing exercises but prior to LPS administration, and point towards increased activation of the Cori cycle. Elevated concentrations of lactate and pyruvate in trained individuals correlated with enhanced levels of anti-inflammatory interleukin (IL)-10. In vitro validation experiments revealed that co-incubation with lactate and pyruvate enhances IL-10 production and attenuates the release of pro-inflammatory IL-1 beta and IL-6 by LPS-stimulated leukocytes. Our results demonstrate that practicing the breathing exercises acquired during the training program results in increased activity of the Cori cycle. Furthermore, this work uncovers an important role of lactate and pyruvate in the anti-inflammatory phenotype observed in trained subjects. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 1413 KW - metabolomics KW - LPS KW - endotoxin KW - pyruvate KW - lactate KW - cytokines KW - inflammation KW - human endotoxemia KW - cori cycle KW - warburg effect Y1 - 2020 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-517784 SN - 1866-8372 IS - 4 ER - TY - JOUR A1 - Zwaag, Jelle A1 - Horst, Rob ter A1 - Blaženović, Ivana A1 - Stößel, Daniel A1 - Ratter, Jacqueline A1 - Worseck, Josephine M. A1 - Schauer, Nicolas A1 - Stienstra, Rinke A1 - Netea, Mihai G. A1 - Jahn, Dieter A1 - Pickkers, Peter A1 - Kox, Matthijs T1 - Involvement of lactate and pyruvate in the anti-inflammatory effects exerted by voluntary activation of the sympathetic nervous system JF - Metabolites N2 - We recently demonstrated that the sympathetic nervous system can be voluntarily activated following a training program consisting of cold exposure, breathing exercises, and meditation. This resulted in profound attenuation of the systemic inflammatory response elicited by lipopolysaccharide (LPS) administration. Herein, we assessed whether this training program affects the plasma metabolome and if these changes are linked to the immunomodulatory effects observed. A total of 224 metabolites were identified in plasma obtained from 24 healthy male volunteers at six timepoints, of which 98 were significantly altered following LPS administration. Effects of the training program were most prominent shortly after initiation of the acquired breathing exercises but prior to LPS administration, and point towards increased activation of the Cori cycle. Elevated concentrations of lactate and pyruvate in trained individuals correlated with enhanced levels of anti-inflammatory interleukin (IL)-10. In vitro validation experiments revealed that co-incubation with lactate and pyruvate enhances IL-10 production and attenuates the release of pro-inflammatory IL-1 beta and IL-6 by LPS-stimulated leukocytes. Our results demonstrate that practicing the breathing exercises acquired during the training program results in increased activity of the Cori cycle. Furthermore, this work uncovers an important role of lactate and pyruvate in the anti-inflammatory phenotype observed in trained subjects. KW - metabolomics KW - LPS KW - endotoxin KW - pyruvate KW - lactate KW - cytokines KW - inflammation KW - human endotoxemia KW - cori cycle KW - warburg effect Y1 - 2020 U6 - https://doi.org/10.3390/metabo10040148 SN - 2218-1989 VL - 10 IS - 4 SP - 1 EP - 18 PB - MDPI CY - Basel ER - TY - JOUR A1 - Zuur, Abraham T. A1 - Lundbye-Jensen, Jesper A1 - Leukel, Christan A1 - Taube, Wolfgang A1 - Grey, Michael J. A1 - Gollhofer, Albert A1 - Nielsen, Jens Bo A1 - Gruber, Markus T1 - Contribution of afferent feedback and descending drive to human hopping N2 - During hopping an early burst can be observed in the EMG from the soleus muscle starting about 45 ms after touch-down. It may be speculated that this early EMG burst is a stretch reflex response superimposed on activity from a supra-spinal origin. We hypothesised that if a stretch reflex indeed contributes to the early EMG burst, then advancing or delaying the touch-down without the subject's knowledge should similarly advance or delay the burst. This was indeed the case when touch-down was advanced or delayed by shifting the height of a programmable platform up or down between two hops and this resulted in a correspondent shift of the early EMG burst. Our second hypothesis was that the motor cortex contributes to the first EMG burst during hopping. If so, inhibition of the motor cortex would reduce the magnitude of the burst. By applying a low-intensity magnetic stimulus it was possible to inhibit the motor cortex and this resulted in a suppression of the early EMG burst. These results suggest that sensory feedback and descending drive from the motor cortex are integrated to drive the motor neuron pool during the early EMG burst in hopping. Thus, simple reflexes work in concert with higher order structures to produce this repetitive movement. Y1 - 2010 UR - http://jp.physoc.org/ U6 - https://doi.org/10.1113/jphysiol.2009.182709 SN - 0022-3751 ER - TY - GEN A1 - Zurnic, Irena A1 - Hütter, Sylvia A1 - Rzeha, Ute A1 - Stanke, Nicole A1 - Reh, Juliane A1 - Müllers, Erik A1 - Hamann, Martin V. A1 - Kern, Tobias A1 - Gerresheim, Gesche K. A1 - Lindel, Fabian A1 - Serrao, Erik A1 - Lesbats, Paul A1 - Engelman, Alan N. A1 - Cherepanov, Peter A1 - Lindemann, Dirk T1 - Interactions of prototype foamy virus capsids with host cell polo-like kinases are important for efficient viral DNA integration T2 - Postprints der Universität Potsdam : Mathematisch Naturwissenschaftliche Reihe N2 - Unlike for other retroviruses, only a few host cell factors that aid the replication of foamy viruses (FVs) via interaction with viral structural components are known. Using a yeast-two-hybrid (Y2H) screen with prototype FV (PFV) Gag protein as bait we identified human polo-like kinase 2 (hPLK2), a member of cell cycle regulatory kinases, as a new interactor of PFV capsids. Further Y2H studies confirmed interaction of PFV Gag with several PLKs of both human and rat origin. A consensus Ser-Thr/Ser-Pro (S-T/S-P) motif in Gag, which is conserved among primate FVs and phosphorylated in PFV virions, was essential for recognition by PLKs. In the case of rat PLK2, functional kinase and polo-box domains were required for interaction with PFV Gag. Fluorescently-tagged PFV Gag, through its chromatin tethering function, selectively relocalized ectopically expressed eGFP-tagged PLK proteins to mitotic chromosomes in a Gag STP motif-dependent manner, confirming a specific and dominant nature of the Gag-PLK interaction in mammalian cells. The functional relevance of the Gag-PLK interaction was examined in the context of replication-competent FVs and single-round PFV vectors. Although STP motif mutated viruses displayed wild type (wt) particle release, RNA packaging and intra-particle reverse transcription, their replication capacity was decreased 3-fold in single-cycle infections, and up to 20-fold in spreading infections over an extended time period. Strikingly similar defects were observed when cells infected with single-round wt Gag PFV vectors were treated with a pan PLK inhibitor. Analysis of entry kinetics of the mutant viruses indicated a post-fusion defect resulting in delayed and reduced integration, which was accompanied with an enhanced preference to integrate into heterochromatin. We conclude that interaction between PFV Gag and cellular PLK proteins is important for early replication steps of PFV within host cells. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 580 KW - core protein KW - HIV-1 infection KW - retroviral integration KW - reverse transcription KW - nuclear-localization KW - box domain KW - in-vivo KW - Gag KW - PLK1 KW - phosphorylation Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-411317 SN - 1866-8372 IS - 580 ER - TY - JOUR A1 - Zurnic, Irena A1 - Hütter, Sylvia A1 - Rzeha, Ute A1 - Stanke, Nicole A1 - Reh, Juliane A1 - Müllers, Erik A1 - Hamann, Martin V. A1 - Kern, Tobias A1 - Gerresheim, Gesche K. A1 - Lindel, Fabian A1 - Serrao, Erik A1 - Lesbats, Paul A1 - Engelman, Alan N. A1 - Cherepanov, Peter A1 - Lindemann, Dirk T1 - Interactions of Prototype Foamy Virus Capsids with Host Cell Polo-Like Kinases Are Important for Efficient Viral DNA Integration JF - PLoS Pathogens N2 - Unlike for other retroviruses, only a few host cell factors that aid the replication of foamy viruses (FVs) via interaction with viral structural components are known. Using a yeast-two-hybrid (Y2H) screen with prototype FV (PFV) Gag protein as bait we identified human polo-like kinase 2 (hPLK2), a member of cell cycle regulatory kinases, as a new interactor of PFV capsids. Further Y2H studies confirmed interaction of PFV Gag with several PLKs of both human and rat origin. A consensus Ser-Thr/Ser-Pro (S-T/S-P) motif in Gag, which is conserved among primate FVs and phosphorylated in PFV virions, was essential for recognition by PLKs. In the case of rat PLK2, functional kinase and polo-box domains were required for interaction with PFV Gag. Fluorescently-tagged PFV Gag, through its chromatin tethering function, selectively relocalized ectopically expressed eGFP-tagged PLK proteins to mitotic chromosomes in a Gag STP motif-dependent manner, confirming a specific and dominant nature of the Gag-PLK interaction in mammalian cells. The functional relevance of the Gag-PLK interaction was examined in the context of replication-competent FVs and single-round PFV vectors. Although STP motif mutated viruses displayed wild type (wt) particle release, RNA packaging and intra-particle reverse transcription, their replication capacity was decreased 3-fold in single-cycle infections, and up to 20-fold in spreading infections over an extended time period. Strikingly similar defects were observed when cells infected with single-round wt Gag PFV vectors were treated with a pan PLK inhibitor. Analysis of entry kinetics of the mutant viruses indicated a post-fusion defect resulting in delayed and reduced integration, which was accompanied with an enhanced preference to integrate into heterochromatin. We conclude that interaction between PFV Gag and cellular PLK proteins is important for early replication steps of PFV within host cells. Y1 - 2016 U6 - https://doi.org/10.1371/journal.ppat.1005860 SN - 1553-7366 SN - 1553-7374 VL - 12 PB - PLoS CY - San Fransisco ER - TY - JOUR A1 - Zurita-Sánchez, Jorge R. A1 - Henkel, Carsten T1 - Lossy electrical transmission lines: Thermal fluctuations and quantization N2 - We present a theoretical framework for the analysis of the statistical properties of thermal fluctuations on a lossy transmission line. A quantization scheme of the electrical signals in the transmission line is formulated. We discuss two applications in detail. Noise spectra at finite temperature for voltage and current are shown to deviate significantly from the Johnson-Nyquist limit, and they depend on the position on the transmission line. We analyze the spontaneous emission, at low temperature, of a Rydberg atom and its resonant enhancement due to vacuum fluctuations in a capacitively coupled transmission line. The theory can also be applied to study the performance of microscale and nanoscale devices, including high-resolution sensors and quantum information processors Y1 - 2006 UR - http://pra.aps.org/pdf/PRA/v73/i6/e063825 U6 - https://doi.org/10.1103/Physreva.73.063825 SN - 1050-2947 ER - TY - JOUR A1 - Zurita-Sanchez, Jorge R. A1 - Henkel, Carsten T1 - Acoustic waves from mechanical impulses due to fluorescence resonant energy (Forster) transfer Blowing a whistle with light JF - epl : a letters journal exploring the frontiers of physics N2 - We present a momentum transfer mechanism mediated by electromagnetic fields that originates in a system of two nearby molecules: one excited (donor D*) and the other in ground state (acceptor A). An intermolecular force related to fluorescence resonant energy or Forster transfer (FRET) arises in the unstable D* A molecular system, which differs from the equilibrium van der Waals interaction. Due to the its finite lifetime, a mechanical impulse is imparted to the relative motion in the system. We analyze the FRET impulse when the molecules are embedded in free space and find that its magnitude can be much greater than the single recoil photon momentum, getting comparable with the thermal momentum (Maxwell-Boltzmann distribution) at room temperature. In addition, we propose that this FRET impulse can be exploited in the generation of acoustic waves inside a film containing layers of donor and acceptor molecules, when a picosecond laser pulse excites the donors. This acoustic transient is distinguishable from that produced by thermal stress due to laser absorption, and may therefore play a role in photoacoustic spectroscopy. The effect can be seen as exciting a vibrating system like a string or organ pipe with light; it may be used as an opto-mechanical transducer. Y1 - 2012 U6 - https://doi.org/10.1209/0295-5075/97/43002 SN - 0295-5075 VL - 97 IS - 4 PB - EDP Sciences CY - Mulhouse ER - TY - JOUR A1 - Zurell, Damaris A1 - von Wehrden, Henrik A1 - Rotics, Shay A1 - Kaatz, Michael A1 - Gross, Helge A1 - Schlag, Lena A1 - Schäfer, Merlin A1 - Sapir, Nir A1 - Turjeman, Sondra A1 - Wikelski, Martin A1 - Nathan, Ran A1 - Jeltsch, Florian T1 - Home range size and resource use of breeding and non-breeding white storks along a land use gradient JF - Frontiers in Ecology and Evolution N2 - Biotelemetry is increasingly used to study animal movement at high spatial and temporal resolution and guide conservation and resource management. Yet, limited sample sizes and variation in space and habitat use across regions and life stages may compromise robustness of behavioral analyses and subsequent conservation plans. Here, we assessed variation in (i) home range sizes, (ii) home range selection, and (iii) fine-scale resource selection of white storks across breeding status and regions and test model transferability. Three study areas were chosen within the Central German breeding grounds ranging from agricultural to fluvial and marshland. We monitored GPS-locations of 62 adult white storks equipped with solar-charged GPS/3D-acceleration (ACC) transmitters in 2013-2014. Home range sizes were estimated using minimum convex polygons. Generalized linear mixed models were used to assess home range selection and fine-scale resource selection by relating the home ranges and foraging sites to Corine habitat variables and normalized difference vegetation index in a presence/pseudo-absence design. We found strong variation in home range sizes across breeding stages with significantly larger home ranges in non-breeding compared to breeding white storks, but no variation between regions. Home range selection models had high explanatory power and well predicted overall density of Central German white stork breeding pairs. Also, they showed good transferability across regions and breeding status although variable importance varied considerably. Fine-scale resource selection models showed low explanatory power. Resource preferences differed both across breeding status and across regions, and model transferability was poor. Our results indicate that habitat selection of wild animals may vary considerably within and between populations, and is highly scale dependent. Thereby, home range scale analyses show higher robustness whereas fine-scale resource selection is not easily predictable and not transferable across life stages and regions. Such variation may compromise management decisions when based on data of limited sample size or limited regional coverage. We thus recommend home range scale analyses and sampling designs that cover diverse regional landscapes and ensure robust estimates of habitat suitability to conserve wild animal populations. KW - 3D-acceleration sensor KW - biotelemetry KW - Ciconia ciconia KW - home range selection KW - resource selection Y1 - 2018 U6 - https://doi.org/10.3389/fevo.2018.00079 SN - 2296-701X VL - 6 PB - Frontiers Research Foundation CY - Lausanne ER - TY - JOUR A1 - Zurell, Damaris A1 - König, Christian A1 - Malchow, Anne-Kathleen A1 - Kapitza, Simon A1 - Bocedi, Greta A1 - Travis, Justin M. J. A1 - Fandos, Guillermo T1 - Spatially explicit models for decision-making in animal conservation and restoration JF - Ecography : pattern and diversity in ecology / Nordic Ecologic Society Oikos N2 - Models are useful tools for understanding and predicting ecological patterns and processes. Under ongoing climate and biodiversity change, they can greatly facilitate decision-making in conservation and restoration and help designing adequate management strategies for an uncertain future. Here, we review the use of spatially explicit models for decision support and to identify key gaps in current modelling in conservation and restoration. Of 650 reviewed publications, 217 publications had a clear management application and were included in our quantitative analyses. Overall, modelling studies were biased towards static models (79%), towards the species and population level (80%) and towards conservation (rather than restoration) applications (71%). Correlative niche models were the most widely used model type. Dynamic models as well as the gene-to-individual level and the community-to-ecosystem level were underrepresented, and explicit cost optimisation approaches were only used in 10% of the studies. We present a new model typology for selecting models for animal conservation and restoration, characterising model types according to organisational levels, biological processes of interest and desired management applications. This typology will help to more closely link models to management goals. Additionally, future efforts need to overcome important challenges related to data integration, model integration and decision-making. We conclude with five key recommendations, suggesting that wider usage of spatially explicit models for decision support can be achieved by 1) developing a toolbox with multiple, easier-to-use methods, 2) improving calibration and validation of dynamic modelling approaches and 3) developing best-practise guidelines for applying these models. Further, more robust decision-making can be achieved by 4) combining multiple modelling approaches to assess uncertainty, and 5) placing models at the core of adaptive management. These efforts must be accompanied by long-term funding for modelling and monitoring, and improved communication between research and practise to ensure optimal conservation and restoration outcomes. KW - adaptive management KW - biodiversity conservation KW - cost optimisation KW - ecosystem restoration KW - global change KW - predictive models Y1 - 2021 U6 - https://doi.org/10.1111/ecog.05787 SN - 1600-0587 IS - 4 SP - 1 EP - 16 PB - Wiley-Blackwell CY - Oxford ER - TY - GEN A1 - Zurell, Damaris A1 - König, Christian A1 - Malchow, Anne-Kathleen A1 - Kapitza, Simon A1 - Bocedi, Greta A1 - Travis, Justin M. J. A1 - Fandos, Guillermo T1 - Spatially explicit models for decision-making in animal conservation and restoration T2 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe N2 - Models are useful tools for understanding and predicting ecological patterns and processes. Under ongoing climate and biodiversity change, they can greatly facilitate decision-making in conservation and restoration and help designing adequate management strategies for an uncertain future. Here, we review the use of spatially explicit models for decision support and to identify key gaps in current modelling in conservation and restoration. Of 650 reviewed publications, 217 publications had a clear management application and were included in our quantitative analyses. Overall, modelling studies were biased towards static models (79%), towards the species and population level (80%) and towards conservation (rather than restoration) applications (71%). Correlative niche models were the most widely used model type. Dynamic models as well as the gene-to-individual level and the community-to-ecosystem level were underrepresented, and explicit cost optimisation approaches were only used in 10% of the studies. We present a new model typology for selecting models for animal conservation and restoration, characterising model types according to organisational levels, biological processes of interest and desired management applications. This typology will help to more closely link models to management goals. Additionally, future efforts need to overcome important challenges related to data integration, model integration and decision-making. We conclude with five key recommendations, suggesting that wider usage of spatially explicit models for decision support can be achieved by 1) developing a toolbox with multiple, easier-to-use methods, 2) improving calibration and validation of dynamic modelling approaches and 3) developing best-practise guidelines for applying these models. Further, more robust decision-making can be achieved by 4) combining multiple modelling approaches to assess uncertainty, and 5) placing models at the core of adaptive management. These efforts must be accompanied by long-term funding for modelling and monitoring, and improved communication between research and practise to ensure optimal conservation and restoration outcomes. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 1243 Y1 - 2022 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-549915 SN - 1866-8372 VL - 2022 SP - 1 EP - 16 PB - Universitätsverlag Potsdam CY - Potsdam ET - 4 ER - TY - JOUR A1 - Zurell, Damaris A1 - Jeltsch, Florian A1 - Dormann, Carsten F. A1 - Schröder-Esselbach, Boris T1 - Static species distribution models in dynamically changing systems : how good can predictions really be? N2 - SDM performance varied for different range dynamics. Prediction accuracies decreased when abrupt range shifts occurred as species were outpaced by the rate of climate change, and increased again when a new equilibrium situation was realised. When ranges contracted, prediction accuracies increased as the absences were predicted well. Far- dispersing species were faster in tracking climate change, and were predicted more accurately by SDMs than short- dispersing species. BRTs mostly outperformed GLMs. The presence of a predator, and the inclusion of its incidence as an environmental predictor, made BRTs and GLMs perform similarly. Results are discussed in light of other studies dealing with effects of ecological traits and processes on SDM performance. Perspectives are given on further advancements of SDMs and for possible interfaces with more mechanistic approaches in order to improve predictions under environmental change. Y1 - 2009 UR - http://www3.interscience.wiley.com/journal/117966123/home?CRETRY=1&SRETRY=0 U6 - https://doi.org/10.1111/j.1600-0587.2009.05810.x SN - 0906-7590 ER - TY - JOUR A1 - Zurell, Damaris A1 - Grimm, Volker A1 - Rossmanith, Eva A1 - Zbinden, Niklaus A1 - Zimmermann, Niklaus E. A1 - Schröder-Esselbach, Boris T1 - Uncertainty in predictions of range dynamics black grouse climbing the Swiss Alps JF - Ecography : pattern and diversity in ecology ; research papers forum N2 - Empirical species distribution models (SDMs) constitute often the tool of choice for the assessment of rapid climate change effects on species vulnerability. Conclusions regarding extinction risks might be misleading, however, because SDMs do not explicitly incorporate dispersal or other demographic processes. Here, we supplement SDMs with a dynamic population model 1) to predict climate-induced range dynamics for black grouse in Switzerland, 2) to compare direct and indirect measures of extinction risks, and 3) to quantify uncertainty in predictions as well as the sources of that uncertainty. To this end, we linked models of habitat suitability to a spatially explicit, individual-based model. In an extensive sensitivity analysis, we quantified uncertainty in various model outputs introduced by different SDM algorithms, by different climate scenarios and by demographic model parameters. Potentially suitable habitats were predicted to shift uphill and eastwards. By the end of the 21st century, abrupt habitat losses were predicted in the western Prealps for some climate scenarios. In contrast, population size and occupied area were primarily controlled by currently negative population growth and gradually declined from the beginning of the century across all climate scenarios and SDM algorithms. However, predictions of population dynamic features were highly variable across simulations. Results indicate that inferring extinction probabilities simply from the quantity of suitable habitat may underestimate extinction risks because this may ignore important interactions between life history traits and available habitat. Also, in dynamic range predictions uncertainty in SDM algorithms and climate scenarios can become secondary to uncertainty in dynamic model components. Our study emphasises the need for principal evaluation tools like sensitivity analysis in order to assess uncertainty and robustness in dynamic range predictions. A more direct benefit of such robustness analysis is an improved mechanistic understanding of dynamic species responses to climate change. Y1 - 2012 U6 - https://doi.org/10.1111/j.1600-0587.2011.07200.x SN - 0906-7590 VL - 35 IS - 7 SP - 590 EP - 603 PB - Wiley-Blackwell CY - Hoboken ER - TY - GEN A1 - Zurell, Damaris A1 - Elith, Jane A1 - Schröder-Esselbach, Boris T1 - Predicting to new environments tools for visualizing model behaviour and impacts on mapped distributions T2 - Diversity & distributions : a journal of biological invasions and biodiversity N2 - Data limitations can lead to unrealistic fits of predictive species distribution models (SDMs) and spurious extrapolation to novel environments. Here, we want to draw attention to novel combinations of environmental predictors that are within the sampled range of individual predictors but are nevertheless outside the sample space. These tend to be overlooked when visualizing model behaviour. They may be a cause of differing model transferability and environmental change predictions between methods, a problem described in some studies but generally not well understood. We here use a simple simulated data example to illustrate the problem and provide new and complementary visualization techniques to explore model behaviour and predictions to novel environments. We then apply these in a more complex real-world example. Our results underscore the necessity of scrutinizing model fits, ecological theory and environmental novelty. KW - Environmental niche KW - extrapolation KW - inflated response curves KW - novel environment KW - sampling space KW - species distribution models Y1 - 2012 U6 - https://doi.org/10.1111/j.1472-4642.2012.00887.x SN - 1366-9516 VL - 18 IS - 6 SP - 628 EP - 634 PB - Wiley-Blackwell CY - Hoboken ER - TY - JOUR A1 - Zurell, Damaris A1 - Eggers, Ute A1 - Kaatz, Michael A1 - Rotics, Shay A1 - Sapir, Nir A1 - Wikelski, Martin A1 - Nathan, Ran A1 - Jeltsch, Florian T1 - Individual-based modelling of resource competition to predict density-dependent population dynamics: a case study with white storks JF - Oikos N2 - Density regulation influences population dynamics through its effects on demographic rates and consequently constitutes a key mechanism explaining the response of organisms to environmental changes. Yet, it is difficult to establish the exact form of density dependence from empirical data. Here, we developed an individual-based model to explore how resource limitation and behavioural processes determine the spatial structure of white stork Ciconia ciconia populations and regulate reproductive rates. We found that the form of density dependence differed considerably between landscapes with the same overall resource availability and between home range selection strategies, highlighting the importance of fine-scale resource distribution in interaction with behaviour. In accordance with theories of density dependence, breeding output generally decreased with density but this effect was highly variable and strongly affected by optimal foraging strategy, resource detection probability and colonial behaviour. Moreover, our results uncovered an overlooked consequence of density dependence by showing that high early nestling mortality in storks, assumed to be the outcome of harsh weather, may actually result from density dependent effects on food provision. Our findings emphasize that accounting for interactive effects of individual behaviour and local environmental factors is crucial for understanding density-dependent processes within spatially structured populations. Enhanced understanding of the ways animal populations are regulated in general, and how habitat conditions and behaviour may dictate spatial population structure and demographic rates is critically needed for predicting the dynamics of populations, communities and ecosystems under changing environmental conditions. Y1 - 2015 U6 - https://doi.org/10.1111/oik.01294 SN - 0030-1299 SN - 1600-0706 VL - 124 IS - 3 SP - 319 EP - 330 PB - Wiley-Blackwell CY - Hoboken ER - TY - JOUR A1 - Zurell, Damaris A1 - Berger, Uta A1 - Cabral, Juliano Sarmento A1 - Jeltsch, Florian A1 - Meynard, Christine N. A1 - Muenkemueller, Tamara A1 - Nehrbass, Nana A1 - Pagel, Jörn A1 - Reineking, Bjoern A1 - Schroeder, Boris A1 - Grimm, Volker T1 - The virtual ecologist approach : simulating data and observers N2 - Ecologists carry a well-stocked toolbox with a great variety of sampling methods, statistical analyses and modelling tools, and new methods are constantly appearing. Evaluation and optimisation of these methods is crucial to guide methodological choices. Simulating error-free data or taking high-quality data to qualify methods is common practice. Here, we emphasise the methodology of the 'virtual ecologist' (VE) approach where simulated data and observer models are used to mimic real species and how they are 'virtually' observed. This virtual data is then subjected to statistical analyses and modelling, and the results are evaluated against the 'true' simulated data. The VE approach is an intuitive and powerful evaluation framework that allows a quality assessment of sampling protocols, analyses and modelling tools. It works under controlled conditions as well as under consideration of confounding factors such as animal movement and biased observer behaviour. In this review, we promote the approach as a rigorous research tool, and demonstrate its capabilities and practical relevance. We explore past uses of VE in different ecological research fields, where it mainly has been used to test and improve sampling regimes as well as for testing and comparing models, for example species distribution models. We discuss its benefits as well as potential limitations, and provide some practical considerations for designing VE studies. Finally, research fields are identified for which the approach could be useful in the future. We conclude that VE could foster the integration of theoretical and empirical work and stimulate work that goes far beyond sampling methods, leading to new questions, theories, and better mechanistic understanding of ecological systems. Y1 - 2010 UR - http://www3.interscience.wiley.com/cgi-bin/issn?DESCRIPTOR=PRINTISSN&VALUE=0030-1299 U6 - https://doi.org/10.1111/j.1600-0706.2009.18284.x SN - 0030-1299 ER - TY - THES A1 - Zurell, Damaris T1 - Integrating dynamic and statistical modelling approaches in order to improve predictions for scenarios of environmental change T1 - Integration dynamischer und statistischer Modellansätze zur Verbesserung von Arealvorhersagen für Szenarien globalen Wandels N2 - Species respond to environmental change by dynamically adjusting their geographical ranges. Robust predictions of these changes are prerequisites to inform dynamic and sustainable conservation strategies. Correlative species distribution models (SDMs) relate species’ occurrence records to prevailing environmental factors to describe the environmental niche. They have been widely applied in global change context as they have comparably low data requirements and allow for rapid assessments of potential future species’ distributions. However, due to their static nature, transient responses to environmental change are essentially ignored in SDMs. Furthermore, neither dispersal nor demographic processes and biotic interactions are explicitly incorporated. Therefore, it has often been suggested to link statistical and mechanistic modelling approaches in order to make more realistic predictions of species’ distributions for scenarios of environmental change. In this thesis, I present two different ways of such linkage. (i) Mechanistic modelling can act as virtual playground for testing statistical models and allows extensive exploration of specific questions. I promote this ‘virtual ecologist’ approach as a powerful evaluation framework for testing sampling protocols, analyses and modelling tools. Also, I employ such an approach to systematically assess the effects of transient dynamics and ecological properties and processes on the prediction accuracy of SDMs for climate change projections. That way, relevant mechanisms are identified that shape the species’ response to altered environmental conditions and which should hence be considered when trying to project species’ distribution through time. (ii) I supplement SDM projections of potential future habitat for black grouse in Switzerland with an individual-based population model. By explicitly considering complex interactions between habitat availability and demographic processes, this allows for a more direct assessment of expected population response to environmental change and associated extinction risks. However, predictions were highly variable across simulations emphasising the need for principal evaluation tools like sensitivity analysis to assess uncertainty and robustness in dynamic range predictions. Furthermore, I identify data coverage of the environmental niche as a likely cause for contrasted range predictions between SDM algorithms. SDMs may fail to make reliable predictions for truncated and edge niches, meaning that portions of the niche are not represented in the data or niche edges coincide with data limits. Overall, my thesis contributes to an improved understanding of uncertainty factors in predictions of range dynamics and presents ways how to deal with these. Finally I provide preliminary guidelines for predictive modelling of dynamic species’ response to environmental change, identify key challenges for future research and discuss emerging developments. N2 - Das Vorkommen von Arten wird zunehmend bedroht durch Klima- und Landnutzungswandel. Robuste Vorhersagen der damit verbundenen Arealveränderungen sind ausschlaggebend für die Erarbeitung dynamischer und nachhaltiger Naturschutzstrategien. Habitateignungsmodelle erstellen statistische Zusammenhänge zwischen dem Vorkommen einer Art und relevanten Umweltvariablen und erlauben zügige Einschätzungen potentieller Arealveränderungen. Dabei werden jedoch transiente Dynamiken weitgehend ignoriert sowie demographische Prozesse und biotische Interaktionen. Daher wurden Vorschläge laut, diese statistischen Modelle mit mechanistischeren Ansätzen zu koppeln. In der vorliegenden Arbeit zeige ich zwei verschiedene Möglichkeiten solcher Kopplung auf. (i) Ich beschreibe den sogenannten ‚Virtuellen Ökologen’-Ansatz als mächtiges Validierungswerkzeug, in dem mechanistische Modelle virtuelle Testflächen bieten zur Erforschung verschiedener Probenahmedesigns oder statistischer Methoden sowie spezifischer Fragestellungen. Auch verwende ich diesen Ansatz, um systematisch zu untersuchen wie sich transiente Dynamiken sowie Arteigenschaften und ökologische Prozesse auf die Vorhersagegüte von Habitateignungsmodellen auswirken. So kann ich entscheidende Prozesse identifizieren welche in zukünftigen Modellen Berücksichtigung finden sollten. (ii) Darauf aufbauend koppele ich Vorhersagen von Habitateignungsmodellen mit einem individuen-basierten Populationsmodell, um die Entwicklung des Schweizer Birkhuhnbestandes unter Klimawandel vorherzusagen. Durch die explizite Berücksichtigung der Wechselwirkungen zwischen Habitat und demographischer Prozesse lassen sich direktere Aussagen über Populationsentwicklung und damit verbundener Extinktionsrisiken treffen. Allerdings führen verschiedene Simulationen auch zu hoher Variabilität zwischen Vorhersagen, was die Bedeutung von Sensitivitätsanalysen unterstreicht, um Unsicherheiten und Robustheit von Vorhersagen einzuschätzen. Außerdem identifiziere ich Restriktionen in der Datenabdeckung des Umweltraumes als möglichen Grund für kontrastierende Vorhersagen verschiedener Habitateignungsmodelle. Wenn die Nische einer Art nicht vollständig durch Daten beschrieben ist, kann dies zu unrealistischen Vorhersagen der Art-Habitat-Beziehung führen. Insgesamt trägt meine Arbeit erheblich bei zu einem besseren Verständnis der Auswirkung verschiedenster Unsicherheitsfaktoren auf Vorhersagen von Arealveränderungen und zeigt Wege auf, mit diesen umzugehen. Abschließend erstelle ich einen vorläufigen Leitfaden für Vorhersagemodelle und identifiziere Kernpunkte für weitere Forschung auf diesem Gebiet. KW - species distribution models KW - dynamic population models KW - climate change KW - prediction KW - uncertainty KW - Habitatmodelle KW - dynamische Populationsmodelle KW - Klimawandel KW - Vorhersage KW - Unsicherheit Y1 - 2011 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-56845 ER - TY - JOUR A1 - Zurek, Peter Paul A1 - Faaß, Marcel T1 - Persönlichkeitspsychologisch fundierte Studienorientierung durch onlinebasierte Self-Assessments JF - Alles auf Anfang! Befunde und Perspektiven zum Studieneingang Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-428529 SN - 978-3-86956-452-4 SN - 2192-1075 SN - 2192-1083 SP - 245 EP - 256 PB - Universitätsverlag Potsdam CY - Potsdam ER - TY - THES A1 - Zur, Avichai T1 - פרדוקס 'הידיעה והבחירה' במשנת ר' צדוק הכהן מלובלין T1 - The Paradox of Divine Foreknowledge ('Yediah') and Human Free Will ('Bechira') in the Theosophy of Rabbi Zadok Ha-Kohen of Lublin T1 - Das Paradox des göttlichen Vorwissens ('Yediah') und der menschliche freie Wille ('Bechira') in der Theosophie von Rabbi Zadok Ha-Kohen von Lublin N2 - This research deals with R. Zadok's innovative writings. According to most scholars R. Zadok continues the doctrine of his rabbi R. Mordechai Yosef Leiner of Izbica and introduces existential fatalism: man has the freedom to act against the customary law, according to God's will which is revealed in his heart, even in his passions, which exceed the Halacha; however, man does not determine the will that is revealed in the root of his soul, but only uncovers it. Many expressions, in content and form, of this fatalism can be found in R. Zadok's writings; yet, he also introduces many remarks about human free choice and its creative power to establish and determine man's root and re-establish and influence the Divine worlds and this world. This research focuses on these passages whose centrality has been so far neglected by research. Hence, its renewed understanding of his doctrine. R. Zadok's position can be explained by means of the paradoxical perception, which claims the full strength of the two opposites and even a mutual influence between them, which creates a difficult yet fertile tension: as opposed to the a priori intellectual and formal process of fatalism where Divine Foreknowledge eliminates free choice, R. Zadok introduces fatality which identifies in reality itself the Divine foreknowledge and will that exist in all things. In R. Zadok's fatality, Divine foreknowledge does not eliminate free choice; on the contrary, without Divine foreknowledge, nothing has existence. Therefore, only the existence of Divine foreknowledge within free choice enables its true and indeed free fulfillment. R. Zadok's ontological perception is realized not only in the direct content of his words but also indirectly, in the method of his exegesis and the sense he gives to the concepts he discusses. Therefore the fatality is revealed in other areas in which there is a gap between the absolute dimension ('Yedi'ah') and the contingent dimension ('Bechirah'): the lie, imagination, evil, sin, suffering etc., indeed contingent compared with the absoluteness of truth, good, etc.; however, according to R. Zadok, God wants them as such – that is to say, they have an essential existence and actuality that are not absolute, but rather as such: as contingent, temporary and relative. However, these essential existence and actuality do not confirm them as they are but create a transformation within them. For example, evil does not become absolute good or remains evil but rather turns into 'Very Good' (Tov Me'od) which includes evil and according to Rabbi Zadok is greater than regular good. From this, rises also the opposite influence: that of free choice, or contingent Bechira in general, on Divine Foreknowledge, or absolute Yediah in general. According to R. Zadok, when the contingency and relativity of "Bechirah" received its essential existence and actuality, it has the power so to speak, to add dynamism to the permanent Divine absoluteness of the 'Yedi'ah': the affliction (Nega; נגע) of sin or suffering turns by itself, by interchanging its letters, into pleasure (Oneg; ענג) which is greater than regular delight. Man has the power to influence the upper worlds by decreeing decrees or by canceling Divine decrees; he also has the power to influence the daily novelties of this world, by the novellaes of the Oral Law and the sanctification of the new month which is capable of changing the movement of the zodiac. The human creativity of the novellae of the Oral Law is included in the Divine truth which is hidden in the Written Law and it only reveals and interprets the latter; but on the other hand, according to R. Zadok, the source of the dynamic vital novellaes of the Oral Law is higher than the source of the permanent absoluteness of Written Law and they are those which create and determine the latter. R. Zadok introduces two main concepts for his paradox: On the ontological perception – Yichud Gamur, the Ultimate Unification of God, in which the contingent duality (between God and His creation, and the choice it enables) of the Lower Unification paradoxically exists with the absolute unification and Divine Foreknowledge of the Upper Unification. On the perception of man's existential situation – HaShoresh HaNe'elam, The Hidden Root: unlike Rabbi Mordechai Yosef, his rabbi, rabbi Zadok claims that man determines his destiny by his willful contingent actions – yet, simultaneously, like his rabbi, he also claims that the man's permanent root is determined by God and His Foreknowledge and it is what determines his actions for better or worse. But above these R. Zadok points to an additional Hidden Root which is higher than the permanent one: it is indeed an absolute root (Yediah) yet is determined and established by man's willful actions (Bechira), similar to the Divine creation of 'ex nihilo'. N2 - מחקר זה עוסק במשנתו החדשנית של ר' צדוק הכהן מלובלין. לפי רוב החוקרים, ר' צדוק ממשיך את משנת רבו, ר' מרדכי יוסף ליינער מאיזביצה, ומציג פטליזם אקזיסטנציאליסטי: לאדם יש חופש כנגד החוק המקובל, לפי רצון האל הנגלה בליבו, אפילו בתשוקותיו, החורג מההלכה; ואולם, האדם אינו קובע את הרצון המתגלה בשורש נשמתו, אלא חושפו בלבד. בכתבי ר' צדוק ניתן למצוא ביטויים רבים, בתוכן ובצורה, לפטליזם זה; עם זאת, הוא מציג גם התבטאויות רבות בדבר הבחירה האנושית החופשית וכוחה היצירתי לכונן ולקבוע את שורשו של האדם, ולחדש ולהשפיע על העולמות האלוקיים ועל העולם-הזה. מחקר זה מתמקד בקטעים אלו שמרכזיותם הוזנחה במחקר עד כה, ומכאן הבנתו המחודשת במשנתו. את עמדת ר' צדוק ניתן להסביר באמצעות התפיסה הפרדוקסלית, הטוענת לכוחם המלא של שני הקטבים הסותרים ואף להשפעה הדדית ביניהם, היוצרת מתח קשה אך פורה: בניגוד לתהליך הפורמלי, האניטלקטואלי והאפריורי של הפטליזם, שבו 'הידיעה' האלוהית מבטלת את 'הבחירה' האנושית החופשית, ר' צדוק מציג פטאליות, המזהה המציאות עצמה את הידיעה והרצון האלוהיים המצויים בכל. בפטליות זו הידיעה אינה מבטלת את הבחירה; להיפך: ללא הידיעה האלוקית אין לאף דבר קיום, ולכן רק מציאות הידיעה בבחירה היא המאפשרת את קיומה הממשי. תפיסתו האונטולוגית של ר' צדוק מתקיימת לא רק בתוכן הישיר של דבריו, אלא גם בעקיפין, באופן דרשנותו ובמובן שהוא מעניק למושגים שבהם הוא דן; לכן, הפטליות מתגלה גם בתחומים נוספים, שבהם מצוי פער בין הממד המוחלט וההכרחי ('ידיעה') לממד הקונטינגנטי, הארעי והיחסי ('בחירה'): השקר, הדמיון, הרוע, החטא, הייסורים ועוד, אמנם קונטינגנטיים ויחסיים לעומת מוחלטות האמת, הטוב וכו'; אך לפי ר' צדוק, האל רוצה בהם ככאלה – כלומר יש להם ממשות שאינה מוחלטת, אלא ממשות ככאלה, כקונטינגנטיים. אך ממשות זו אינה מאשרת אותם כפי שהם, אלא יוצרת בהם-עצמם טרנספורמציה. למשל, הרוע אינו הופך לטוב מוחלט או נותר כרוע, אלא הופך ל'טוב מאד' שלפי ר' צדוק גדול מהטוב הרגיל. מכאן עולה גם ההשפעה ההפוכה, זו של הבחירה על הידיעה. לפי ר' צדוק, משקבלה הקונטינגנטיות והיחסיות של 'הבחירה' – שהיא למעשה מהות הבריאה ומהות האדם ומעשיו – את ממשותה, בכוחה אף להוסיף כביכול על המוחלטות האלוקית הקבועה של 'הידיעה': 'נגע' החטא או הייסורים הופך בעצמו, בחילוף אותם אותיות, ל'ענג' הגדול מההנאה הרגילה; בכוח האדם להשפיע על העולמות העליונים בגזירת גזירות ובביטול גזירות אלוקיות; בכוחו אף להשפיע על העולם-הזה, בחידושו היומיומי על-ידי חידושי התושב"ע, ובקידוש החודש המסוגל לשנות את תנועת המזלות השמימיים. מצד אחד, היצירתיות האנושית של חידושי התושב"ע כלולה באמת האלוקית הגנוזה בתושב"כ האלוקית והיא רק חושפת אותה; אך לפי ר"צ, מצד אחר מתברר שמקור חידושי התושב"ע דווקא גבוה ממקור התושב"כ והם אלו היוצרים וקובעים אותה. ר' צדוק מציג שני מושגים מרכזיים לפרדוקס שלו: בממד האונטולוגי – 'הייחוד הגמור' של האל, שבו הדואליות הקונטינגנטית (בין האל לנבראיו, והבחירה שהיא מאפשרת) של 'הייחוד התחתון' מתקיימת פרדוקסלית עם האחדות המוחלטת ו'הידיעה' האלוהית של 'הייחוד העליון'. בממד של מצבו האקזיסטנציאלי של האדם – 'השורש הנעלם': בניגוד לר' מרדכי יוסף רבו, ר' צדוק טוען שהאדם קובע את גורלו על-ידי מעשיו הבחיריים והקונטינגנטיים; ואולם, במקביל, בדומה לרבו, הוא טוען גם שהשורש הקבוע של האדם נקבע על-ידי 'הידיעה' האלוהית והיא זו הקובעת את מעשיו לטוב או למוטב. אך מעל אלו מציג ר' צדוק שורש נוסף, 'נעלם' הגבוה מהשורש הקבוע: הוא אכן שורש מוחלט ('ידיעה'), אך הוא נקבע ומכוּנן על-ידי מעשיו הבחיריים של האדם, בדומה לבריאה האלוהית 'יש מאין'. KW - paradox KW - Paradox KW - free choice/ will KW - freie Wahl KW - divine foreknowledge KW - göttliches Vorwissen KW - hassidism KW - Chassidismus KW - Zadok Hakohen of Lublin KW - Zadok Hakohen von Lublin KW - Friedrich Nietzsche KW - Friedrich Nietzsche KW - Kabbalah KW - Kabbala KW - existentialism KW - Existentialismus KW - Sefirot KW - Sephiroth KW - evil KW - Böse KW - sin KW - Sünde KW - determinism KW - Determinismus KW - fatalism KW - Fatalismus KW - predestination KW - Prädestination KW - contingency KW - Kontingenz KW - Maimonides KW - Maimonides KW - Izbica KW - Izbica KW - Lublin KW - Lublin KW - transcendence KW - Transzendenz KW - Immanenz KW - immanence KW - pantheism KW - Pantheismus KW - panentheism KW - Panentheismus KW - the oral Torah/ Law KW - die mündliche Thora KW - compatibilism KW - Kompatibilismus KW - pessimism KW - Pessimismus KW - קומפטיביליזם KW - קונטינגנטיות KW - דטרמיניזם KW - ידיעה אלוהית מוקדמת KW - רוע KW - אקזיסטנציאליזם KW - פטאליזם KW - רצון/בחירה חופשי/ת KW - פרידריך ניטשה KW - חסידות KW - אימננטיות KW - איזביצה KW - קבלה KW - לובלין KW - הרמב"ם KW - פנתאיזם KW - פרדוקס KW - פסימיזם KW - פרידסטינציה KW - ספירות KW - חטא KW - התורה שבעל-פה KW - טרנסצנדנטיות KW - צדוק הכהן מלובלין KW - פנאנתאיזם Y1 - 2018 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-412201 ER - TY - JOUR A1 - Zuppinger-Dingley, D. A1 - Schmid, Bernhard A1 - Chen, Y. A1 - Brandl, H. A1 - van der Heijden, M. G. A. A1 - Joshi, Jasmin Radha T1 - In their native range, invasive plants are held in check by negative soil-feedbacks JF - Ecosphere : the magazine of the International Ecology University N2 - The ability of some plant species to dominate communities in new biogeographical ranges has been attributed to an innate higher competitive ability and release from co-evolved specialist enemies. Specifically, invasive success in the new range might be explained by release from biotic negative soil-feedbacks, which control potentially dominant species in their native range. To test this hypothesis, we grew individuals from sixteen phylogenetically paired European grassland species that became either invasive or naturalized in new ranges, in either sterilized soil or in sterilized soil with unsterilized soil inoculum from their native home range. We found that although the native members of invasive species generally performed better than those of naturalized species, these native members of invasive species also responded more negatively to native soil inoculum than did the native members of naturalized species. This supports our hypothesis that potentially invasive species in their native range are held in check by negative soil-feedbacks. However, contrary to expectation, negative soil-feedbacks in potentially invasive species were not much increased by interspecific competition. There was no significant variation among families between invasive and naturalized species regarding their feedback response (negative vs. neutral). Therefore, we conclude that the observed negative soil feedbacks in potentially invasive species may be quite widespread in European families of typical grassland species. KW - biotic interactions KW - enemy release KW - invasive species KW - native range KW - naturalized species KW - plant invasions KW - plant-soil feedbacks KW - soil inoculation KW - soil sterilization Y1 - 2011 U6 - https://doi.org/10.1890/ES11-00061.1 SN - 2150-8925 VL - 2 IS - 5 PB - Wiley CY - Washington ER - TY - JOUR A1 - Zupok, Arkadiusz A1 - Iobbi-Nivol, Chantal A1 - Mejean, Vincent A1 - Leimkühler, Silke T1 - The regulation of Moco biosynthesis and molybdoenzyme gene expression by molybdenum and iron in bacteria JF - Metallomics : integrated biometal science N2 - Bacterial molybdoenzymes are key enzymes involved in the global sulphur, nitrogen and carbon cycles. These enzymes require the insertion of the molybdenum cofactor (Moco) into their active sites and are able to catalyse a large range of redox-reactions. Escherichia coli harbours nineteen different molybdoenzymes that require a tight regulation of their synthesis according to substrate availability, oxygen availability and the cellular concentration of molybdenum and iron. The synthesis and assembly of active molybdoenzymes are regulated at the level of transcription of the structural genes and of translation in addition to the genes involved in Moco biosynthesis. The action of global transcriptional regulators like FNR, NarXL/QP, Fur and ArcA and their roles on the expression of these genes is described in detail. In this review we focus on what is known about the molybdenum- and iron-dependent regulation of molybdoenzyme and Moco biosynthesis genes in the model organism E. coli. The gene regulation in E. coli is compared to two other well studied model organisms Rhodobacter capsulatus and Shewanella oneidensis. Y1 - 2019 U6 - https://doi.org/10.1039/c9mt00186g SN - 1756-5901 SN - 1756-591X VL - 11 IS - 10 SP - 1602 EP - 1624 PB - Royal Society of Chemistry CY - Cambridge ER -