TY - JOUR A1 - Sass, Stephan A1 - Stöcklein, Walter F. M. A1 - Klevesath, Anja A1 - Hurpin, Jeanne A1 - Menger, Marcus A1 - Hille, Carsten T1 - Binding affinity data of DNA aptamers for therapeutic anthracyclines from microscale thermophoresis and surface plasmon resonance spectroscopy JF - The analyst : the analytical journal of the Royal Society of Chemistry N2 - Anthracyclines like daunorubicin (DRN) and doxorubicin (DOX) play an undisputed key role in cancer treatment, but their chronic administration can cause severe side effects. For precise anthracycline analytical systems, aptamers are preferable recognition elements. Here, we describe the detailed characterisation of a single-stranded DNA aptamer DRN-10 and its truncated versions for DOX and DRN detection. Binding affinities were determined from surface plasmon resonance (SPR) and microscale thermophoresis (MST) and combined with conformational data from circular dichroism (CD). Both aptamers displayed similar nanomolar binding affinities to DRN and DOX, even though their rate constants differed as shown by SPR recordings. SPR kinetic data unravelled a two-state reaction model including a 1 : 1 binding and a subsequent conformational change of the binding complex. This model was supported by CD spectra. In addition, the dissociation constants determined with MST were always lower than that from SPR, and especially for the truncated aptamer they differed by two orders of magnitude. This most probably reflects the methodological difference, namely labelling for MST vs. immobilisation for SPR. From CD recordings, we suggested a specific G-quadruplex as structural basis for anthracycline binding. We concluded that the aptamer DRN-10 is a promising recognition element for anthracycline detection systems and further selected aptamers can be also characterised with the combined methodological approach presented here. Y1 - 2019 U6 - https://doi.org/10.1039/c9an01247h SN - 0003-2654 SN - 1364-5528 VL - 144 IS - 20 SP - 6064 EP - 6073 PB - Royal Society of Chemistry CY - Cambridge ER - TY - JOUR A1 - Sarhan, Radwan Mohamed A1 - Koopman, Wouter-Willem Adriaan A1 - Schuetz, Roman A1 - Schmid, Thomas A1 - Liebig, Ferenc A1 - Koetz, Joachim A1 - Bargheer, Matias T1 - The importance of plasmonic heating for the plasmondriven photodimerization of 4-nitrothiophenol JF - Scientific Reports N2 - Metal nanoparticles form potent nanoreactors, driven by the optical generation of energetic electrons and nanoscale heat. The relative influence of these two factors on nanoscale chemistry is strongly debated. This article discusses the temperature dependence of the dimerization of 4-nitrothiophenol (4-NTP) into 4,4′-dimercaptoazobenzene (DMAB) adsorbed on gold nanoflowers by Surface-Enhanced Raman Scattering (SERS). Raman thermometry shows a significant optical heating of the particles. The ratio of the Stokes and the anti-Stokes Raman signal moreover demonstrates that the molecular temperature during the reaction rises beyond the average crystal lattice temperature of the plasmonic particles. The product bands have an even higher temperature than reactant bands, which suggests that the reaction proceeds preferentially at thermal hot spots. In addition, kinetic measurements of the reaction during external heating of the reaction environment yield a considerable rise of the reaction rate with temperature. Despite this significant heating effects, a comparison of SERS spectra recorded after heating the sample by an external heater to spectra recorded after prolonged illumination shows that the reaction is strictly photo-driven. While in both cases the temperature increase is comparable, the dimerization occurs only in the presence of light. Intensity dependent measurements at fixed temperatures confirm this finding. KW - enhanced raman-scattering KW - charge-transfer KW - metal KW - nanoparticles KW - catalysis KW - AU KW - 4-nitrobenzenethiol KW - aminothiophenol KW - photocatalysis KW - wavelength Y1 - 2019 U6 - https://doi.org/10.1038/s41598-019-38627-2 SN - 2045-2322 VL - 9 PB - Macmillan Publishers Limited CY - London ER - TY - JOUR A1 - Sarhan, Radwan Mohamed A1 - Koopman, Wouter-Willem Adriaan A1 - Pudell, Jan-Etienne A1 - Stete, Felix A1 - Rössle, Matthias A1 - Herzog, Marc A1 - Schmitt, Clemens Nikolaus Zeno A1 - Liebig, Ferenc A1 - Koetz, Joachim A1 - Bargheer, Matias T1 - Scaling up nanoplasmon catalysis BT - the role of heat dissipation JF - The journal of physical chemistry : C, Nanomaterials and interfaces N2 - Nanoscale heating by optical excitation of plasmonic nanoparticles offers a new perspective of controlling chemical reactions, where heat is not spatially uniform as in conventional macroscopic heating but strong temperature gradients exist around microscopic hot spots. In nanoplasmonics, metal particles act as a nanosource of light, heat, and energetic electrons driven by resonant excitation of their localized surface plasmon resonance. As an example of the coupling reaction of 4-nitrothiophenol into 4,4′-dimercaptoazobenzene, we show that besides the nanoscopic heat distribution at hot spots, the microscopic distribution of heat dictated by the spot size of the light focus also plays a crucial role in the design of plasmonic nanoreactors. Small sizes of laser spots enable high intensities to drive plasmon-assisted catalysis. This facilitates the observation of such reactions by surface-enhanced Raman scattering, but it challenges attempts to scale nanoplasmonic chemistry up to large areas, where the excess heat must be dissipated by one-dimensional heat transport. KW - Gold KW - Raman spectroscopy KW - Silicon KW - Irradiation KW - Lasers Y1 - 2019 U6 - https://doi.org/10.1021/acs.jpcc.8b12574 SN - 1932-7447 VL - 123 IS - 14 SP - 9352 EP - 9357 PB - American Chemical Society CY - Washington ER - TY - JOUR A1 - Sarhan, Radwan Mohamed A1 - El-Nagar, Gumaa A. A1 - Abouserie, Ahed A1 - Roth, Christina T1 - Silver-Iron Hierarchical Microflowers for Highly Efficient H2O2 Nonenzymatic Amperometric Detection JF - ACS sustainable chemistry & engineering N2 - This study addresses the fabrication of monodispersed iron-doped silver meso-hierarchical flower-like structures via a facile chemical procedure. The morphology of the obtained silver particles has been tuned by changing the concentration of the structure-directing agent (malonic acid). Ball-shaped silver particles were formed in the absence of malonic acid (MA), while silver particles with craspedia-globosa, chrysanthemum, and dahlia flower-like structures were obtained in the presence of 0.2, 0.5, and 1 mM malonic acid, respectively. The doping of these dahlia flower-like structures with trace amounts of iron (<= 5% Fe weight percent) led to the formation of globe-amaranth iron-doped microflowers (AgFeamaranth). The as-prepared AgFeamaranth exhibited better performance as a nonenzymatic H2O2 sensor compared to undoped silver particles as demonstrated by their higher catalytic activity and stability together with superior sensitivity (1350 mu M-1 cm(-2), 61 times higher) and lower detection limit (0.1 mu M). These enhancements are attributed to the AgFe unique flower-like structures and to the fact that the iron dopants provide a higher number of electroactive sites and reduce the charge transfer resistance of H2O2 reduction. Additionally, the good stability of AgFe is believed to originate from the faster detachment rate of the in situ-formed gas bubbles from their surfaces compared to undoped silver structures. KW - Nonenzymatic KW - H2O2 KW - Electrosensing KW - Nanostructures KW - Iron/silver microflowers Y1 - 2019 U6 - https://doi.org/10.1021/acssuschemeng.8b06182 SN - 2168-0485 VL - 7 IS - 4 SP - 4335 EP - 4342 PB - American Chemical Society CY - Washington ER - TY - JOUR A1 - Saretia, Shivam A1 - Machatschek, Rainhard Gabriel A1 - Schulz, Burkhard A1 - Lendlein, Andreas T1 - Reversible 2D networks of oligo(epsilon-caprolactone) at the air-water interface JF - Biomedical Materials N2 - Hydroxyl terminated oligo(epsilon-caprolactone) (OCL) monolayers were reversibly cross-linked forming two dimensional networks (2D) at the air-water interface. The equilibrium reaction with glyoxal as the cross-linker is pH-sensitive. Pronounced contraction in the area of the prepared 2DOCL films in dependence of surface pressure and time revealed the process of the reaction. Cross-linking inhibited crystallization and retarded enzymatic degradation of the OCLfilm. Altering the subphase pH led to a cleavage of the covalent acetal cross-links. The reversibility of the covalent acetal cross-links was proved by observing an identical isotherm as non-cross-linked sample. Besides as model systems, these customizable reversible OCL2D networks are intended for use as pHresponsive drug delivery systems or functionalized cell culture substrates. KW - poly(epsilon-caprolactone) KW - langmuir monolayer KW - two dimensional network KW - crystallization KW - cross-linking Y1 - 2019 U6 - https://doi.org/10.1088/1748-605X/ab0cef SN - 1748-6041 SN - 1748-605X VL - 14 IS - 3 PB - IOP Publ. Ltd. CY - Bristol ER - TY - JOUR A1 - Sardarian, Ali Reza A1 - Inaloo, Iman Dindarloo A1 - Modarresi-Alam, Ali Reza A1 - Kleinpeter, Erich A1 - Schilde, Uwe T1 - Metal-Free Regioselective Monocyanation of Hydroxy-, Alkoxy-, and Benzyloxyarenes by Potassium Thiocyanate and Silica Sulfuric Acid as a Cyanating Agent JF - The journal of organic chemistry N2 - A novel and efficient metal- and solvent-free regioselective para-C-H cyanation of hydroxy-, alkoxy-, and benzyloxyarene derivatives has been introduced, using nontoxic potassium thiocyanate as a cyanating reagent in the presence of silica sulfuric acid (SSA). The desired products are obtained in good to high yields without any toxic byproducts. Y1 - 2019 U6 - https://doi.org/10.1021/acs.joc.8b02191 SN - 0022-3263 VL - 84 IS - 4 SP - 1748 EP - 1756 PB - American Chemical Society CY - Washington ER - TY - JOUR A1 - Sander, Andreas Alexander Christoph A1 - Vink, Jorick S. A1 - Hamann, Wolf-Rainer T1 - Driving classical Wolf-Rayet winds BT - a Gamma- and Z-dependent mass-loss JF - Monthly notices of the Royal Astronomical Society N2 - Classical Wolf-Rayet (cWR) stars are at a crucial evolutionary stage for constraining the fates of massive stars. The feedback of these hot, hydrogen-depleted stars dominates their surrounding by tremendous injections of ionizing radiation and kinetic energy. The strength of a Wolf-Rayet (WR) wind decides the eventual mass of its remnant, likely a massive black hole. However, despite their major influence and importance for gravitational wave detection statistics, WR winds are particularly poorly understood. In this paper, we introduce the first set of hydrodynamically consistent stellar atmosphere models for cWR stars of both the carbon (C) and the nitrogen (N) sequence, i.e. WC and WN stars, as a function of stellar luminosity-to-mass ratio (or Eddington Gamma) and metallicity. We demonstrate the inapplicability of the CAK wind theory for cWR stars and confirm earlier findings that their winds are launched at the (hot) iron (Fe) opacity peak. For log Z/Z(circle dot) > -2, Fe is also the main accelerator throughout the wind. Contrasting previous claims of a sharp lower mass-loss limit forWR stars, we obtain a smooth transition to optically thin winds. Furthermore, we find a strong dependence of the mass-loss rates on Eddington Gamma, both at solar and subsolar metallicity. Increases inWCcarbon and oxygen abundances turn out to slightly reduce the predicted mass-loss rates. Calculations at subsolar metallicities indicate that below the metallicity of the Small Magellanic Cloud, WR mass-loss rates decrease much faster than previously assumed, potentially allowing for high black hole masses even in the local Universe. KW - stars: atmospheres KW - stars: early-type KW - stars: fundamental parameters KW - stars: mass-loss KW - stars: winds, outflows KW - stars: Wolf-Rayet Y1 - 2019 U6 - https://doi.org/10.1093/mnras/stz3064 SN - 0035-8711 SN - 1365-2966 VL - 491 IS - 3 SP - 4406 EP - 4425 PB - Oxford Univ. Press CY - Oxford ER - TY - JOUR A1 - Sander, Andreas Alexander Christoph A1 - Hamann, Wolf-Rainer A1 - Todt, Helge Tobias A1 - Hainich, Rainer A1 - Shenar, Tomer A1 - Ramachandran, Varsha A1 - Oskinova, Lida T1 - The Galactic WC and WO stars BT - The impact of revised distances from Gaia DR2 and their role as massive black hole progenitors JF - Astronomy and astrophysics : an international weekly journal N2 - Wolf-Rayet stars of the carbon sequence (WC stars) are an important cornerstone in the late evolution of massive stars before their core collapse. As core-helium burning, hydrogen-free objects with huge mass-loss, they are likely the last observable stage before collapse and thus promising progenitor candidates for type Ib/c supernovae. Their strong mass-loss furthermore provides challenges and constraints to the theory of radiatively driven winds. Thus, the determination of the WC star parameters is of major importance for several astrophysical fields. With Gaia DR2, for the first time parallaxes for a large sample of Galactic WC stars are available, removing major uncertainties inherent to earlier studies. In this work, we re-examine a previously studied sample of WC stars to derive key properties of the Galactic WC population. All quantities depending on the distance are updated, while the underlying spectral analyzes remain untouched. Contrasting earlier assumptions, our study yields that WC stars of the same subtype can significantly vary in absolute magnitude. With Gaia DR2, the picture of the Galactic WC population becomes more complex: We obtain luminosities ranging from log L/L-circle dot = 4.9-6.0 with one outlier (WR 119) having log L/L-circle dot = 4.7. This indicates that the WC stars are likely formed from a broader initial mass range than previously assumed. We obtain mass-loss rates ranging between log(M) over dot = -5.1 and -4.1, with (M) over dot proportional to L-0.68 and a linear scaling of the modified wind momentum with luminosity. We discuss the implications for stellar evolution, including unsolved issues regarding the need of envelope inflation to address the WR radius problem, and the open questions in regard to the connection of WR stars with Gamma-ray bursts. WC and WO stars are progenitors of massive black holes, collapsing either silently or in a supernova that most-likely has to be preceded by a WO stage. KW - stars: evolution KW - stars: mass-loss KW - stars: Wolf-Rayet KW - stars: massive KW - stars: distances KW - Galaxy: stellar content Y1 - 2019 U6 - https://doi.org/10.1051/0004-6361/201833712 SN - 1432-0746 VL - 621 PB - EDP Sciences CY - Les Ulis ER - TY - JOUR A1 - Sanchez, S. A1 - Wicht, J. A1 - Baerenzung, Julien A1 - Holschneider, Matthias T1 - Sequential assimilation of geomagnetic observations BT - perspectives for the reconstruction and prediction of core dynamics JF - Geophysical journal international N2 - High-precision observations of the present-day geomagnetic field by ground-based observatories and satellites provide unprecedented conditions for unveiling the dynamics of the Earth’s core. Combining geomagnetic observations with dynamo simulations in a data assimilation (DA) framework allows the reconstruction of past and present states of the internal core dynamics. The essential information that couples the internal state to the observations is provided by the statistical correlations from a numerical dynamo model in the form of a model covariance matrix. Here we test a sequential DA framework, working through a succession of forecast and analysis steps, that extracts the correlations from an ensemble of dynamo models. The primary correlations couple variables of the same azimuthal wave number, reflecting the predominant axial symmetry of the magnetic field. Synthetic tests show that the scheme becomes unstable when confronted with high-precision geomagnetic observations. Our study has identified spurious secondary correlations as the origin of the problem. Keeping only the primary correlations by localizing the covariance matrix with respect to the azimuthal wave number suffices to stabilize the assimilation. While the first analysis step is fundamental in constraining the large-scale interior state, further assimilation steps refine the smaller and more dynamical scales. This refinement turns out to be critical for long-term geomagnetic predictions. Increasing the assimilation steps from one to 18 roughly doubles the prediction horizon for the dipole from about  tree to six centuries, and from 30 to about  60 yr for smaller observable scales. This improvement is also reflected on the predictability of surface intensity features such as the South Atlantic Anomaly. Intensity prediction errors are decreased roughly by a half when assimilating long observation sequences. KW - Magnetic field variations through time KW - Core dynamics KW - Dynamo: theories and simulations KW - Inverse theory KW - Probabilistic forecasting Y1 - 2019 U6 - https://doi.org/10.1093/gji/ggz090 SN - 0956-540X SN - 1365-246X VL - 217 IS - 2 SP - 1434 EP - 1450 PB - Oxford Univ. Press CY - Oxford ER - TY - JOUR A1 - Sammoud, Senda A1 - Negra, Yassine A1 - Chaabene, Helmi A1 - Bouguezzi, Raja A1 - Moran, Jason A1 - Granacher, Urs T1 - The Effects of Plyometric Jump Training on Jumping and Swimming Performances in Prepubertal Male Swimmers JF - Journal of sports science & medicine N2 - Swimming performance can be improved not only by in-water sport-specific training but also by means of dry land-training (e.g., plyometric jump training [PJT]). This study examined the effects of an 8-week PJT on proxies of muscle power and swimming performance in prepubertal male swimmers. Participants were randomly allocated to a PJT group (PJT; n = 14; age: 10.3 +/- 0.4 years, maturity-offset = -3 +/- 0.3) or a control group (CG; n = 12; age: 10.5 +/- 0.4 years, maturity-offset = -2.8 +/- 0.3). Swimmers in PJT and CG performed 6 training sessions per week. Each training session lasted between 80 and 90 minutes. Over the 8 weeks in-season training period, PJT performed two PJT sessions per week, each lasting between 25 to 30 minutes (similar to 1 hour per week) in replacement of sport-specific swimming drills. During that time, CG followed their regular sport-specific swimming training (e.g., coordination, breathing, improving swimming strokes). Overall training volume was similar between groups. Pre- and post-training, tests were conducted to assess proxies of muscle power (countermovement-jump [CMJ]), standing-long-jump [SLJ]) and sport-specific swimming performances (15-, 25-, and 50-m front-crawl, 25-m kick without push [25-m kick WP], and 25-m front-crawl WP). No training or test-related injuries were detected over the course of the study. Between-group analyses derived from magnitude-based inferences showed trivial-to-large effects in favour of PJT for all tests (ES = 0.28 to 1.43). Within-group analyses for the PJT showed small performance improvements for CMJ (effect-size [ES] = 0.53), 25-m kick WP (ES = 0.25), and 50-m front crawl (ES = 0.56) tests. Moderate performance improvements were observed for the SLJ, 25-m front-crawl WP, 15-m and 25-m front-crawl tests (ES = 0.95, 0.60, 0.99, and 0.85, respectively). For CG, the within-group results showed trivial performance declines for the CMJ (ES=-0.13) and the 50-m front-crawl test (ES = -0.04). In addition, trivial-to-small performance improvements were observed for the SLJ (ES = 0.09), 25-m kick WP (ES = 0.02), 25-m front-crawl WP (ES = 0.19), 25-m front-crawl (ES = 0.2), (SLJ [ES = 0.09, and 15-m front crawl (ES = 0.36). Short-term in-season PJT, integrated into the regular swimming training, was more effective than regular swimming training alone in improving jump and sport-specific swimming performances in prepubertal male swimmers. KW - Stretch-shortening cycle KW - young athletes KW - rate of force development KW - sport-specific performance Y1 - 2019 SN - 1303-2968 VL - 18 IS - 4 SP - 805 EP - 811 PB - Department of Sports Medicine, Medical Faculty of Uludag University CY - Bursa ER - TY - JOUR A1 - Salzwedel, Annett A1 - Wegscheider, Karl A1 - Schulz-Behrendt, Claudia A1 - Dörr, Gesine A1 - Reibis, Rona Katharina A1 - Völler, Heinz T1 - No impact of an extensive social intervention program on return to work and quality of life after acute cardiac event: a cluster-randomized trial in patients with negative occupational prognosis JF - International archives of occupational and environmental health N2 - Objectives To examine the effectiveness of extensive social therapy intervention during inpatient multi-component cardiac rehabilitation (CR) on return to work and quality of life in patients with low probability of work resumption after an acute cardiac event. Methods Patients after acute cardiac event with negative subjective expectations about return to work or unemployment (n = 354) were included and randomized in clusters of 3-6 study participants. Clusters were randomized for social counseling and therapy led by a social worker, six sessions of 60 min each in 3 weeks, or control group (usual care: individual counseling meeting by request). The return to work (RTW) status and change in quality of life (QoL, short form 12: Physical and Mental Component Summary PCS and MCS) 12 months after discharge from inpatient CR were outcome measures. Results The regression model for RTW showed no impact of the intervention (OR 1.1, 95% CI 0.6-2.1, P = 0.79; n = 263). Predictors were unemployment prior to CR as well as higher anxiety values at discharge from CR. Likewise, QoL was not improved by social therapy (linear mixed model: Delta PCS 0.3, 95% CI - 1.9 to 2.5; P = 0.77; n = 177; Delta MCS 0.7, 95% CI - 1.9 to 3.3; P = 0.58; n = 215). Conclusions In comparison to usual care, an intensive program of social support for patients during inpatient cardiac rehabilitation after an acute cardiac event had no additional impact on either the rate of resuming work or quality of life. KW - Social work KW - Cardiac rehabilitation KW - Return to work KW - Quality of life KW - Acute coronary syndrome KW - RCT Y1 - 2019 U6 - https://doi.org/10.1007/s00420-019-01450-3 SN - 0340-0131 SN - 1432-1246 VL - 92 IS - 8 SP - 1109 EP - 1120 PB - Springer CY - New York ER - TY - GEN A1 - Salzwedel, Annett A1 - Völler, Heinz A1 - Reibis, Rona Katharina T1 - Vocational reintegration in coronary heart disease patients - the holistic approach of the WHO biopsychosocial concept T2 - European journal of preventive cardiology : the official ESC journal for primary & secondary cardiovascular prevention, rehabilitation and sports cardiology Y1 - 2019 U6 - https://doi.org/10.1177/2047487319850699 SN - 2047-4873 SN - 2047-4881 VL - 26 IS - 13 SP - 1383 EP - 1385 PB - Sage Publ. CY - London ER - TY - JOUR A1 - Salzwedel, Annett A1 - Reibis, Rona Katharina A1 - Heidler, Maria-Dorothea A1 - Wegscheider, Karl A1 - Völler, Heinz T1 - Determinants of Return to Work After Multicomponent Cardiac Rehabilitation JF - Archives of Physical Medicine and Rehabilitation N2 - Objectives: To explore predictors of return to work in patients after acute coronary syndrome and coronary artery bypass grafting, taking into account cognitive performance, depression, physical capacity, and self-assessment of the occupational prognosis. Design: Observational, prospective, bicentric. Setting: Postacute 3-week inpatient cardiac rehabilitation (CR). Participants: Patients (N=401) <65 years of age (mean 54.5 +/- 6.3y), 80% men. Interventions: Not applicable. Main Outcome Measures: Status of return to work (RTW) 6 months after discharge from CR. Results: The regression model for RTW showed negative associations for depression (odds ratio 0.52 per SD, 95% confidence interval 0.36-0.76, P=.001), age (odds ratio 0.72, 95% confidence interval 0.52-1.00, P=.047), and in particular for a negative subjective occupational prognosis (expected incapacity for work odds ratio 0.19, 95% confidence interval 0.06-0.59, P=.004; unemployment odds ratio 0.08, 95% confidence interval 0.01-0.72, P=.024; retirement odds ratio 0.07, 95% confidence interval 0.01-0.067, P=.021). Positive predictors were employment before the cardiac event (odds ratio 9.66, 95% confidence interval 3.10-30.12, P<.001), capacity to work (fit vs unfit) at discharge from CR (odds ratio 3.15, 95% confidence interval 1.35-7.35, P=.008), and maximum exercise capacity (odds ratio 1.49, 95% confidence interval 1.06-2.11, P=.022). Cognitive performance had no effect. KW - Acute coronary syndrome KW - Cardiac rehabilitation KW - Coronary artery bypass grafting KW - Motivation KW - Rehabilitation KW - Return to work Y1 - 2019 U6 - https://doi.org/10.1016/j.apmr.2019.04.003 SN - 0003-9993 SN - 1532-821X VL - 100 IS - 12 SP - 2399 EP - 2402 PB - Elsevier CY - Philadelphia ER - TY - JOUR A1 - Salzwedel, Annett A1 - Reibis, Rona Katharina A1 - Hadzic, Miralem A1 - Buhlert, Hermann A1 - Völler, Heinz T1 - Patients’ expectations of returning to work, co-morbid disorders and work capacity at discharge from cardiac rehabilitation JF - Vascular Health and Risk Management N2 - Objective: We aimed to characterize patients after an acute cardiac event regarding their negative expectations around returning to work and the impact on work capacity upon discharge from cardiac rehabilitation (CR). Methods: We analyzed routine data of 884 patients (52±7 years, 76% men) who attended 3 weeks of inpatient CR after an acute coronary syndrome (ACS) or cardiac surgery between October 2013 and March 2015. The primary outcome was their status determining their capacity to work (fit vs unfit) at discharge from CR. Further, sociodemographic data (eg, age, sex, and education level), diagnoses, functional data (eg, exercise stress test and 6-min walking test [6MWT]), the Hospital Anxiety and Depression Scale (HADS) and self-assessment of the occupational prognosis (negative expectations and/or unemployment, Würzburger screening) at admission to CR were considered. Results: A negative occupational prognosis was detected in 384 patients (43%). Out of these, 368 (96%) expected not to return to work after CR and/or were unemployed before CR at 29% (n=113). Affected patients showed a reduced exercise capacity (bicycle stress test: 100 W vs 118 W, P<0.01; 6MWT: 380 m vs 421 m, P<0.01) and were more likely to receive a depression diagnosis (12% vs 3%, P<0.01), as well as higher levels on the HADS. At discharge from CR, 21% of this group (n=81) were fit for work (vs 35% of patients with a normal occupational prognosis (n=175, P<0.01)). Sick leave before the cardiac event (OR 0.4, 95% CI 0.2–0.6, P<0.01), negative occupational expectations (OR 0.4, 95% CI 0.3–0.7, P<0.01) and depression (OR 0.3, 95% CI 0.1–0.8, P=0.01) reduced the likelihood of achieving work capacity upon discharge. In contrast, higher exercise capacity was positively associated. Conclusion: Patients with a negative occupational prognosis often revealed a reduced physical performance and suffered from a high psychosocial burden. In addition, patients’ occupational expectations were a predictor of work capacity at discharge from CR. Affected patients should be identified at admission to allow for targeted psychosocial care. KW - cardiac rehabilitation KW - return to work KW - work capacity KW - negative expectation KW - occupational prognosis Y1 - 2019 U6 - https://doi.org/10.2147/VHRM.S216039 SN - 1176-6344 SN - 1178-2048 VL - 15 SP - 301 EP - 308 PB - Dove Medical Press CY - Albany, Auckland ER - TY - JOUR A1 - Saltikoff, Elena A1 - Friedrich, Katja A1 - Soderholm, Joshua A1 - Lengfeld, Katharina A1 - Nelson, Brian A1 - Becker, Andreas A1 - Hollmann, Rainer A1 - Urban, Bernard A1 - Heistermann, Maik A1 - Tassone, Caterina T1 - An Overview of Using Weather Radar for Climatological Studies: Successes, Challenges, and Potential JF - Bulletin of the American Meteorological Society N2 - Weather radars have been widely used to detect and quantify precipitation and nowcast severe weather for more than 50 years. Operational weather radars generate huge three-dimensional datasets that can accumulate to terabytes per day. So it is essential to review what can be done with existing vast amounts of data, and how we should manage the present datasets for the future climatologists. All weather radars provide the reflectivity factor, and this is the main parameter to be archived. Saving reflectivity as volumetric data in the original spherical coordinates allows for studies of the three-dimensional structure of precipitation, which can be applied to understand a number of processes, for example, analyzing hail or thunderstorm modes. Doppler velocity and polarimetric moments also have numerous applications for climate studies, for example, quality improvement of reflectivity and rain rate retrievals, and for interrogating microphysical and dynamical processes. However, observational data alone are not useful if they are not accompanied by sufficient metadata. Since the lifetime of a radar ranges between 10 and 20 years, instruments are typically replaced or upgraded during climatologically relevant time periods. As a result, present metadata often do not apply to past data. This paper outlines the work of the Radar Task Team set by the Atmospheric Observation Panel for Climate (AOPC) and summarizes results from a recent survey on the existence and availability of long time series. We also provide recommendations for archiving current and future data and examples of climatological studies in which radar data have already been used. Y1 - 2019 U6 - https://doi.org/10.1175/BAMS-D-18-0166.1 SN - 0003-0007 SN - 1520-0477 VL - 100 IS - 9 SP - 1739 EP - 1751 PB - American Meteorological Soc. CY - Boston ER - TY - JOUR A1 - Salamat, Mona A1 - Zöller, Gert A1 - Amini, Morteza T1 - Prediction of the Maximum Expected Earthquake Magnitude in Iran: BT - from a Catalog with Varying Magnitude of Completeness and Uncertain Magnitudes JF - Pure and applied geophysics N2 - This paper concerns the problem of predicting the maximum expected earthquake magnitude μ in a future time interval Tf given a catalog covering a time period T in the past. Different studies show the divergence of the confidence interval of the maximum possible earthquake magnitude m_{ max } for high levels of confidence (Salamat et al. 2017). Therefore, m_{ max } should be better replaced by μ (Holschneider et al. 2011). In a previous study (Salamat et al. 2018), μ is estimated for an instrumental earthquake catalog of Iran from 1900 onwards with a constant level of completeness ( {m0 = 5.5} ). In the current study, the Bayesian methodology developed by Zöller et al. (2014, 2015) is applied for the purpose of predicting μ based on the catalog consisting of both historical and instrumental parts. The catalog is first subdivided into six subcatalogs corresponding to six seismotectonic zones, and each of those zone catalogs is subsequently subdivided according to changes in completeness level and magnitude uncertainty. For this, broad and small error distributions are considered for historical and instrumental earthquakes, respectively. We assume that earthquakes follow a Poisson process in time and Gutenberg-Richter law in the magnitude domain with a priori unknown a and b values which are first estimated by Bayes' theorem and subsequently used to estimate μ. Imposing different values of m_{ max } for different seismotectonic zones namely Alborz, Azerbaijan, Central Iran, Zagros, Kopet Dagh and Makran, the results show considerable probabilities for the occurrence of earthquakes with Mw ≥ 7.5 in short Tf , whereas for long Tf, μ is almost equal to m_{ max } KW - Maximum expected earthquake magnitude KW - completeness levels KW - magnitude errors KW - Bayesian method KW - Iran Y1 - 2019 U6 - https://doi.org/10.1007/s00024-019-02141-3 SN - 0033-4553 SN - 1420-9136 VL - 176 IS - 8 SP - 3425 EP - 3438 PB - Springer CY - Basel ER - TY - JOUR A1 - Sairam, Nivedita A1 - Schröter, Kai A1 - Lüdtke, Stefan A1 - Merz, Bruno A1 - Kreibich, Heidi T1 - Quantifying Flood Vulnerability Reduction via Private Precaution JF - Earth future N2 - Private precaution is an important component in contemporary flood risk management and climate adaptation. However, quantitative knowledge about vulnerability reduction via private precautionary measures is scarce and their effects are hardly considered in loss modeling and risk assessments. However, this is a prerequisite to enable temporally dynamic flood damage and risk modeling, and thus the evaluation of risk management and adaptation strategies. To quantify the average reduction in vulnerability of residential buildings via private precaution empirical vulnerability data (n = 948) is used. Households with and without precautionary measures undertaken before the flood event are classified into treatment and nontreatment groups and matched. Postmatching regression is used to quantify the treatment effect. Additionally, we test state-of-the-art flood loss models regarding their capability to capture this difference in vulnerability. The estimated average treatment effect of implementing private precaution is between 11 and 15 thousand EUR per household, confirming the significant effectiveness of private precautionary measures in reducing flood vulnerability. From all tested flood loss models, the expert Bayesian network-based model BN-FLEMOps and the rule-based loss model FLEMOps perform best in capturing the difference in vulnerability due to private precaution. Thus, the use of such loss models is suggested for flood risk assessments to effectively support evaluations and decision making for adaptable flood risk management. KW - flood loss KW - average treatment effect KW - matching methods KW - loss models KW - risk analysis KW - adaptation Y1 - 2019 U6 - https://doi.org/10.1029/2018EF000994 SN - 2328-4277 VL - 7 IS - 3 SP - 235 EP - 249 PB - American Geophysical Union CY - Washington ER - TY - JOUR A1 - Sairam, Nivedita A1 - Schroeter, Kai A1 - Rözer, Viktor A1 - Merz, Bruno A1 - Kreibich, Heidi T1 - Hierarchical Bayesian Approach for Modeling Spatiotemporal Variability in Flood Damage Processes JF - Water resources research N2 - Flood damage processes are complex and vary between events and regions. State-of-the-art flood loss models are often developed on the basis of empirical damage data from specific case studies and do not perform well when spatially and temporally transferred. This is due to the fact that such localized models often cover only a small set of possible damage processes from one event and a region. On the other hand, a single generalized model covering multiple events and different regions ignores the variability in damage processes across regions and events due to variables that are not explicitly accounted for individual households. We implement a hierarchical Bayesian approach to parameterize widely used depth-damage functions resulting in a hierarchical (multilevel) Bayesian model (HBM) for flood loss estimation that accounts for spatiotemporal heterogeneity in damage processes. We test and prove the hypothesis that, in transfer scenarios, HBMs are superior compared to generalized and localized regression models. In order to improve loss predictions for regions and events for which no empirical damage data are available, we use variables pertaining to specific region- and event-characteristics representing commonly available expert knowledge as group-level predictors within the HBM. KW - flood risk KW - flood loss model transfer KW - multilevel probabilistic flood loss model Y1 - 2019 U6 - https://doi.org/10.1029/2019WR025068 SN - 0043-1397 SN - 1944-7973 VL - 55 IS - 10 SP - 8223 EP - 8237 PB - American Geophysical Union CY - Washington ER - TY - JOUR A1 - Saidi, Karim A1 - Zouhal, Hassane A1 - Rhibi, Fatma A1 - Tijani, Jed M. A1 - Boullosa, Daniel A1 - Chebbi, Amel A1 - Hackney, Anthony C. A1 - Granacher, Urs A1 - Bideau, Benoit A1 - Ben Abderrahman, Abderraouf T1 - Effects of a six-week period of congested match play on plasma volume variations, hematological parameters, training workload and physical fitness in elite soccer players JF - PLOS ONE N2 - Objectives The aims of this study were to investigate the effects of a six-week in-season period of soccer training and games (congested period) on plasma volume variations (PV), hematological parameters, and physical fitness in elite players. In addition, we analyzed relationships between training load, hematological parameters and players’ physical fitness. Methods Eighteen elite players were evaluated before (T1) and after (T2) a six-week in-season period interspersed with 10 soccer matches. At T1 and T2, players performed the Yo-Yo intermittent recovery test level 1 (YYIR1), the repeated shuttle sprint ability test (RSSA), the countermovement jump test (CMJ), and the squat jump test (SJ). In addition, PV and hematological parameters (erythrocytes [M/mm3], hematocrit [%], hemoglobin [g/dl], mean corpuscular volume [fl], mean corpuscular hemoglobin content [pg], and mean hemoglobin concentration [%]) were assessed. Daily ratings of perceived exertion (RPE) were monitored in order to quantify the internal training load. Results From T1 to T2, significant performance declines were found for the YYIR1 (p<0.001, effect size [ES] = 0.5), RSSA (p<0.01, ES = 0.6) and SJ tests (p< 0.046, ES = 0.7). However, no significant changes were found for the CMJ (p = 0.86, ES = 0.1). Post-exercise, RSSA blood lactate (p<0.012, ES = 0.2) and PV (p<0.01, ES = 0.7) increased significantly from T1 to T2. A significant decrease was found from T1 to T2 for the erythrocyte value (p<0.002, ES = 0.5) and the hemoglobin concentration (p<0.018, ES = 0.8). The hematocrit percentage rate was also significantly lower (p<0.001, ES = 0.6) at T2. The mean corpuscular volume, mean corpuscular hemoglobin content and the mean hemoglobin content values were not statistically different from T1 to T2. No significant relationships were detected between training load parameters and percentage changes of hematological parameters. However, a significant relationship was observed between training load and changes in RSSA performance (r = -0.60; p<0.003). Conclusions An intensive period of “congested match play” over 6 weeks significantly compromised players’ physical fitness. These changes were not related to hematological parameters, even though significant alterations were detected for selected measures. KW - body density KW - performance KW - exercise KW - blood KW - hematocrit KW - responses KW - physiology KW - schedule KW - recovery KW - fatigue Y1 - 2019 U6 - https://doi.org/10.1371/journal.pone.0219692 SN - 1932-6203 VL - 14 IS - 7 PB - Public Library of Science CY - San Francisco ER - TY - JOUR A1 - Saha, Sourav A1 - Owen, Lewis A. A1 - Orr, Elizabeth N. A1 - Caffee, Marc W. T1 - High-frequency Holocene glacier fluctuations in the Himalayan-Tibetan orogen JF - Quaternary science reviews : the international multidisciplinary research and review journal N2 - Holocene glacial chronostratigraphies in glaciated valleys spread throughout the Himalayan-Tibetan orogen, including the Himalaya, Tibet, Pamir, and Tian Shan, are developed using a landsystems approach, detailed geomorphic mapping, and new and published Be-10 surface exposure dating. New studies in the Kulti valley of Lahul and the Parkachik valley of the Nun Kun massif of the Himalaya of northern India define three glacier advances at similar to 14.7, 12.2, 0.5 ka, in addition to one historically dated late 19th Century advance in the Kulti valley, and one Late Holocene advance at similar to 0.2 ka in the Parkachik valley. Three major climatic groups (subdivided into five climatic zones) are defined across the orogen using Cluster Analysis (CA) and Principal Component Analysis (PCA) to identify glaciated regions with comparable climatic characteristics to evaluate the timing, and extent of Holocene glacier advances across these regions. Our regional analyses across the Himalayan-Tibetan orogen suggest at least one Lateglacial (similar to 15.3-11.8 ka) and five Himalayan-Tibetan Holocene glacial stages (HTHS) at similar to 11.5-9.5, similar to 8.8-7.7, similar to 7.0-3.2, similar to 2.3-1.0, and <1 ka. The extent (amplitude) of glacier advances in 77 glaciated valleys is reconstructed and defined using equilibrium-line altitudes (ELAs). Modern glacier hypsometries are also assessed to help explain the intra-regional variations in glacier amplitudes during each regional glacier advance. A linear inverse glacier flow model is used to decipher the net changes in temperature (Delta T) between periods of reconstructed regional glacier advances in 66 glaciated valleys across different climatic regions throughout the orogen. The Be-10, ELAs, and Delta T data suggest enhanced monsoonal and increased precipitation during the Early Holocene, followed by relative cooling and increased aridity during the Mid- and Late Holocene that influenced glaciation. The sublimation-dominated cold-based glaciers in the northern regions of Himalayan-Tibetan orogen are more affected during these shifts in climate than the temperate glaciers in the south. (C) 2019 Elsevier Ltd. All rights reserved. KW - Holocene KW - Glaciation Central Asia KW - Cosmogenic isotopes KW - Paleoclimate modeling KW - Equilibrium-line altitudes Y1 - 2019 U6 - https://doi.org/10.1016/j.quascirev.2019.07.021 SN - 0277-3791 VL - 220 SP - 372 EP - 400 PB - Elsevier CY - Oxford ER - TY - JOUR A1 - Saha, Sourav A1 - Owen, Lewis A. A1 - Orr, Elizabeth N. A1 - Caffee, Marc W. T1 - Cosmogenic Be-10 and equilibrium-line altitude dataset of Holocene glacier advances in the Himalayan-Tibetan orogen JF - Data in brief N2 - A comprehensive analysis of the variable temporal and spatial responses of tropical-subtropical high-altitude glaciers to climate change is critical for successful model predictions and environmental risk assessment in the Himalayan-Tibetan orogen. High-frequency Holocene glacier chronostratigraphies are therefore reconstructed in 79 glaciated valleys across the orogen using 519 published and 16 new terrestrial cosmogenic 10Be exposure age dataset. Published 10Be ages are compiled only for moraine boulders (excluding bedrock ages). These ages are recalculated using the latest ICE-D production rate calibration database and the scaling scheme models. Outliers for the individual moraine are detected using the Chauvenet's criterion. In addition, past equilibrium-line altitudes (ELAs) are determined using the area-altitude (AA), area accumulation ratio (AAR), and toe-headwall accumulation ratio (THAR) methods for each glacier advance. The modern maximum elevations of lateral moraines (MELM) are also used to estimate modern ELAs and as an independent check on mean ELAs derived using the above three methods. These data may serve as an essential archive for future studies focusing on the cryospheric and environmental changes in the Himalayan-Tibetan orogen. A more comprehensive analysis of the published and new 10Be ages and ELA results and a list of references are presented in Saha et al. (2019, High-frequency Holocene glacier fluctuations in the Himalayan-Tibetan orogen. Quaternary Science Reviews, 220, 372–400). KW - Cosmogenic nuclides KW - Equilibrium-line altitudes KW - Holocene KW - Central asia KW - Glaciation Y1 - 2019 U6 - https://doi.org/10.1016/j.dib.2019.104412 SN - 2352-3409 VL - 26 PB - Elsevier CY - Amsterdam ER - TY - JOUR A1 - Sagu Tchewonpi, Sorel A1 - Huschek, Gerd A1 - Bönick, Josephine A1 - Homann, Thomas A1 - Rawel, Harshadrai Manilal T1 - A New Approach of Extraction of α-Amylase/trypsin Inhibitors from Wheat (Triticum aestivum L.), Based on Optimization Using Plackett–Burman and Box–Behnken Designs JF - molecules N2 - Wheat is one of the most consumed foods in the world and unfortunately causes allergic reactions which have important health effects. The α-amylase/trypsin inhibitors (ATIs) have been identified as potentially allergen components of wheat. Due to a lack of data on optimization of ATI extraction, a new wheat ATIs extraction approach combining solvent extraction and selective precipitation is proposed in this work. Two types of wheat cultivars (Triticum aestivum L.), Julius and Ponticus were used and parameters such as solvent type, extraction time, temperature, stirring speed, salt type, salt concentration, buffer pH and centrifugation speed were analyzed using the Plackett-Burman design. Salt concentration, extraction time and pH appeared to have significant effects on the recovery of ATIs (p < 0.01). In both wheat cultivars, Julius and Ponticus, ammonium sulfate substantially reduced protein concentration and inhibition of amylase activity (IAA) compared to sodium chloride. The optimal conditions with desirability levels of 0.94 and 0.91 according to the Doehlert design were: salt concentrations of 1.67 and 1.22 M, extraction times of 53 and 118 min, and pHs of 7.1 and 7.9 for Julius and Ponticus, respectively. The corresponding responses were: protein concentrations of 0.31 and 0.35 mg and IAAs of 91.6 and 83.3%. Electrophoresis and MALDI-TOF/MS analysis showed that the extracted ATIs masses were between 10 and 20 kDa. Based on the initial LC-MS/MS analysis, up to 10 individual ATIs were identified in the extracted proteins under the optimal conditions. The positive implication of the present study lies in the quick assessment of their content in different varieties especially while considering their allergenic potential. KW - wheat KW - α-amylase/trypsin inhibitors KW - extraction KW - Plackett–Burman design KW - Doehlert design KW - SDS-PAGE KW - MALDI-TOF/MS KW - LC-MS/MS Y1 - 2019 U6 - https://doi.org/10.3390/molecules24193589 SN - 1420-3049 VL - 24 IS - 19 PB - MDPI CY - Basel ER - TY - JOUR A1 - Rühl, Martin A1 - Pietzner, Verena A1 - Vilcinskas, Andreas A1 - Zorn, Holger T1 - Insects and molds as bio-resources: food biotechnology JF - Chemie in unserer Zeit N2 - Microorganisms are used for the production of foodstuffs since thousands of years. By now, these biotechnological processes are not restricted to some of the known microorganisms. The possibility to produce enzymes independently from their host organisms extended their range of application. Since then, exploration of new bioresources leads to novel enzymes and peptides applicable for a diverse set of food production processes: peptidases of grain pest beetles are able to hydrolyse gluten and antimicrobial active peptides of insects maybe of use for preservation of food. Examples of our own work depict strategies to identify novel biocatalysts for food biotechnology. N2 - Mikroorganismen werden seit Jahrtausenden zur Herstellung von Lebensmitteln genutzt. Mittlerweile sind diese biotechnologischen Verfahren nicht mehr auf die Verwendung einiger Organismen beschränkt. Die Möglichkeit, Enzyme unabhängig von ihrem Wirtsorganismus zu produzieren, erweiterte den Einsatzbereich dieser technischen Hilfsmittel ungemein. Seither werden vermehrt neue Bioressourcen erschlossen, um neuartige Enzyme und Peptide für die Lebensmittelproduktion verfügbar zu machen: Peptidasen aus Getreideschädlingen vermögen Gluten zu hydrolysieren und antimikrobiell wirksame Peptide aus Insekten könnten zur Haltbarmachung von Lebensmitteln eingesetzt werden. Aber wie findet man solche Katalysatoren? Beispiele aus eigenen Arbeiten zeigen es. T2 - Insekten und Schimmelpilze als Bioressource KW - Gelbe Biotechnologie KW - Insekten KW - Ascomyceten KW - antimikrobielle Peptide Y1 - 2019 U6 - https://doi.org/10.1002/ciuz.201900833 SN - 0009-2851 SN - 1521-3781 VL - 53 IS - 5 SP - 342 EP - 348 PB - Wiley-VCH CY - Weinheim ER - TY - JOUR A1 - Rüdiger, Günther A1 - Schultz, M. T1 - Non-diffusive angular momentum transport in rotating z-pinches JF - Journal of plasma physics N2 - The stability of conducting Taylor-Couette flows under the presence of toroidal magnetic background fields is considered. For strong enough magnetic amplitudes such magnetohydrodynamic flows are unstable against non-axisymmetric perturbations which may also transport angular momentum. In accordance with the often used diffusion approximation, one expects the angular momentum transport to be vanishing for rigid rotation. In the sense of a non-diffusive Lambda effect, however, even for rigidly rotating z-pinches, an axisymmetric angular momentum flux appears which is directed outward (inward) for large (small) magnetic Mach numbers. The internal rotation in a magnetized rotating tank can thus never be uniform. Those particular rotation laws are used to estimate the value of the instability-induced eddy viscosity for which the non-diffusive Lambda effect and the diffusive shear-induced transport compensate each other. The results provide the Shakura & Sunyaev viscosity ansatz leading to numerical values linearly growing with the applied magnetic field. KW - plasma instabilities KW - astrophysical plasmas Y1 - 2019 U6 - https://doi.org/10.1017/S0022377819000606 SN - 0022-3778 SN - 1469-7807 VL - 85 IS - 6 PB - Cambridge Univ. Press CY - New York ER - TY - JOUR A1 - Rüdiger, Günther A1 - Küker, Manfred A1 - Kapyla, P. J. A1 - Strassmeier, Klaus G. T1 - Antisolar differential rotation of slowly rotating cool stars JF - Astronomy and astrophysics : an international weekly journal N2 - Rotating stellar convection transports angular momentum towards the equator, generating the characteristic equatorial acceleration of the solar rotation while the radial flux of angular momentum is always inwards. New numerical box simulations for the meridional cross-correlation < u(theta)u(phi)>, however, reveal the angular momentum transport towards the poles for slow rotation and towards the equator for fast rotation. The explanation is that for slow rotation a negative radial gradient of the angular velocity always appears, which in combination with a so-far neglected rotation-induced off-diagonal eddy viscosity term nu(perpendicular to) provides "antisolar rotation" laws with a decelerated equator Similarly, the simulations provided positive values for the rotation-induced correlation < u(r)u(theta)>, which is relevant for the resulting latitudinal temperature profiles (cool or warm poles) for slow rotation and negative values for fast rotation. Observations of the differential rotation of slowly rotating stars will therefore lead to a better understanding of the actual stress-strain relation, the heat transport, and the underlying model of the rotating convection. KW - stars: solar-type KW - convection KW - stars: rotation KW - turbulence Y1 - 2019 U6 - https://doi.org/10.1051/0004-6361/201935280 SN - 1432-0746 VL - 630 PB - EDP Sciences CY - Les Ulis ER - TY - JOUR A1 - Rözer, Viktor A1 - Kreibich, Heidi A1 - Schröter, Kai A1 - Müller, Meike A1 - Sairam, Nivedita A1 - Doss-Gollin, James A1 - Lall, Upmanu A1 - Merz, Bruno T1 - Probabilistic Models Significantly Reduce Uncertainty in Hurricane Harvey Pluvial Flood Loss Estimates JF - Earths future N2 - Pluvial flood risk is mostly excluded in urban flood risk assessment. However, the risk of pluvial flooding is a growing challenge with a projected increase of extreme rainstorms compounding with an ongoing global urbanization. Considered as a flood type with minimal impacts when rainfall rates exceed the capacity of urban drainage systems, the aftermath of rainfall-triggered flooding during Hurricane Harvey and other events show the urgent need to assess the risk of pluvial flooding. Due to the local extent and small-scale variations, the quantification of pluvial flood risk requires risk assessments on high spatial resolutions. While flood hazard and exposure information is becoming increasingly accurate, the estimation of losses is still a poorly understood component of pluvial flood risk quantification. We use a new probabilistic multivariable modeling approach to estimate pluvial flood losses of individual buildings, explicitly accounting for the associated uncertainties. Except for the water depth as the common most important predictor, we identified the drivers for having loss or not and for the degree of loss to be different. Applying this approach to estimate and validate building structure losses during Hurricane Harvey using a property level data set, we find that the reliability and dispersion of predictive loss distributions vary widely depending on the model and aggregation level of property level loss estimates. Our results show that the use of multivariable zero-inflated beta models reduce the 90% prediction intervalsfor Hurricane Harvey building structure loss estimates on average by 78% (totalling U.S.$3.8 billion) compared to commonly used models. KW - pluvial flooding KW - loss modeling KW - urban flooding KW - probabilistic KW - Hurricane Harvey KW - climate change adaptation Y1 - 2019 U6 - https://doi.org/10.1029/2018EF001074 SN - 2328-4277 VL - 7 IS - 4 SP - 384 EP - 394 PB - American Geophysical Union CY - Washington ER - TY - GEN A1 - Röder, Katrin A1 - Vogt-William, Christine T1 - Shame and shamelessness in Anglophone literature and media T2 - European journal of English studies : official journal of the European Society for the Study of English (ESSE) Y1 - 2019 U6 - https://doi.org/10.1080/13825577.2019.1655242 SN - 1382-5577 SN - 1744-4233 VL - 23 IS - 3 SP - 239 EP - 248 PB - Routledge, Taylor & Francis Group CY - Abingdon ER - TY - JOUR A1 - Rödel, Claudia Jasmin A1 - Otten, Cecile A1 - Donat, Stefan A1 - Lourenço, Marta Sofia Rocha A1 - Fischer, Dorothea A1 - Kuropka, Benno A1 - Paolini, Alessio A1 - Freund, Christian A1 - Abdelilah-Seyfried, Salim T1 - Blood Flow Suppresses Vascular Anomalies in a Zebrafish Model of Cerebral Cavernous Malformations JF - Circulation Research N2 - RATIONALE: Pathological biomechanical signaling induces vascular anomalies including cerebral cavernous malformations (CCM), which are caused by a clonal loss of CCM1/KRIT1 (Krev interaction trapped protein 1), CCM2/MGC4607, or CCM3/PDCD10. Why patients typically experience lesions only in lowly perfused venous capillaries of the cerebrovasculature is completely unknown. OBJECTIVE: In contrast, animal models with a complete loss of CCM proteins lack a functional heart and blood flow and exhibit vascular anomalies within major blood vessels as well. This finding raises the possibility that hemodynamics may play a role in the context of this vascular pathology. METHODS AND RESULTS: Here, we used a genetic approach to restore cardiac function and blood flow in a zebrafish model of CCM1. We find that blood flow prevents cardiovascular anomalies including a hyperplastic expansion within a large Ccm1-deficient vascular bed, the lateral dorsal aorta. CONCLUSIONS: This study identifies blood flow as an important physiological factor that is protective in the cause of this devastating vascular pathology. KW - animal models KW - cerebral cavernous malformations KW - endothelial cell KW - hemodynamics KW - zebrafish Y1 - 2019 U6 - https://doi.org/10.1161/CIRCRESAHA.119.315076 SN - 0009-7330 SN - 1524-4571 VL - 125 IS - 10 SP - E43 EP - E54 PB - Lippincott Williams & Wilkins CY - Philadelphia ER - TY - JOUR A1 - Ryser, Remo A1 - Häussler, Johanna A1 - Stark, Markus A1 - Brose, Ulrich A1 - Rall, Björn C. A1 - Guill, Christian T1 - The biggest losers: habitat isolation deconsructs complex food webs from top to bottom JF - Proceedings of the Royal Society of London : B, Biological sciences N2 - Habitat fragmentation threatens global biodiversity. To date, there is only limited understanding of how the different aspects of habitat fragmentation (habitat loss, number of fragments and isolation) affect species diversity within complex ecological networks such as food webs. Here, we present a dynamic and spatially explicit food web model which integrates complex food web dynamics at the local scale and species-specific dispersal dynamics at the landscape scale, allowing us to study the interplay of local and spatial processes in metacommunities. We here explore how the number of habitat patches, i.e. the number of fragments, and an increase of habitat isolation affect the species diversity patterns of complex food webs (alpha-,beta-,gamma-, diversities). We specifically test whether there is a trophic dependency in the effect of these two factors on species diversity. In our model, habitat isolation is the main driver causing species loss and diversity decline. Our results emphasize that large-bodied consumer species at high trophic positions go extinct faster than smaller species at lower trophic levels, despite being superior dispersers that connect fragmented landscapes better. We attribute the loss of top species to a combined effect of higher biomass loss during dispersal with increasing habitat isolation in general, and the associated energy limitation in highly fragmented landscapes, preventing higher trophic levels to persist. To maintain trophic-complex and species-rich communities calls for effective conservation planning which considers the interdependence of trophic and spatial dynamics as well as the spatial context of a landscape and its energy availability. KW - food webs KW - allometry KW - bioenergetic model KW - metacommunity dynamics KW - dispersal mortality KW - landscape structure Y1 - 2019 U6 - https://doi.org/10.1098/rspb.2019.1177 SN - 0962-8452 SN - 1471-2954 VL - 286 IS - 1908 PB - Royal Society CY - London ER - TY - JOUR A1 - Ruzanska, Ulrike Alexandra A1 - Warschburger, Petra T1 - Intuitive eating mediates the relationship between self-regulation and BMI BT - Results from a cross-sectional study in a community sample JF - Eating behaviors N2 - Self-regulation is a dispositional skill of regulating attention and emotion to attain a certain goal. Poor self-regulation is associated with a higher body mass index (BMI) and is a risk factor for the development of obesity. Intuitive eating, an adaptive eating style characterized by eating in response to internal cues of hunger and satiety, is associated with a lower BMI. Using cross-sectional data, this study examined whether intuitive eating mediates the relationship between self-regulation and BMI in a community sample of adults. Participants (N = 530) completed the Self-Regulation Scale, the Intuitive Eating Scale-2 with its facets Unconditional Permission to Eat (UPE), Eating for Physical Rather Than Emotional Reasons (EPR), Reliance on Hunger and Satiety Cues (RHSC) and Body-Food Choice Congruence (B-FCC). They also self-reported their height and weight. Using percentile bootstrap resampling procedures, the simple mediation analysis showed an indirect relationship between self-regulation and BMI through intuitive eating. The multiple mediation analysis revealed that EPR and B-FCC, but not UPE and RHSC, mediated the relationship between self-regulation and BMI. Intuitive eating seems to play an important intermediating role in the relationship between self-regulation and BMI. Regarding weight management interventions, it could be useful to promote intuitive eating, especially for individuals with low self-regulation. Prospective studies are needed to explore the causal and temporal relationships among self-regulation, intuitive eating and BMI. KW - Intuitive eating KW - Self-regulation KW - Body mass index (BMI) KW - Mediation analysis Y1 - 2019 U6 - https://doi.org/10.1016/j.eatbeh.2019.02.004 SN - 1471-0153 SN - 1873-7358 VL - 33 SP - 23 EP - 29 PB - Elsevier CY - Amsterdam ER - TY - THES A1 - Ruzanska, Ulrike Alexandra T1 - Intuitives Essverhalten im Kontext der Gesundheitspsychologie BT - Zusammenhänge mit (mal-)adaptiven Verhaltensweisen, Gewichtsstatus und Ernährung Y1 - 2019 ER - TY - JOUR A1 - Ruszkiewicz, Joanna A. A1 - de Macedo, Gabriel Teixeira A1 - Miranda-Vizuete, Antonio A1 - Bowman, Aaron B. A1 - Bornhorst, Julia A1 - Schwerdtle, Tanja A1 - Antunes Soares, Felix A. A1 - Aschner, Michael T1 - Sex-Specific response of caenorhabditis elegans to Methylmercury Toxicity JF - Neurotoxicity Research N2 - Methylmercury (MeHg), an abundant environmental pollutant, has long been known to adversely affect neurodevelopment in both animals and humans. Several reports from epidemiological studies, as well as experimental data indicate sex-specific susceptibility to this neurotoxicant; however, the molecular bases of this process are still not clear. In the present study, we used Caenorhabditis elegans (C. elegans), to investigate sex differences in response to MeHg toxicity during development. Worms at different developmental stage (L1, L4, and adult) were treated with MeHg for 1h. Lethality assays revealed that male worms exhibited significantly higher resistance to MeHg than hermaphrodites, when at L4 stage or adults. However, the number of worms with degenerated neurons was unaffected by MeHg, both in males and hermaphrodites. Lower susceptibility of males was not related to changes in mercury (Hg) accumulation, which was analogous for both wild-type (wt) and male-rich him-8 strain. Total glutathione (GSH) levels decreased upon MeHg in him-8, but not in wt. Moreover, the sex-dependent response of the cytoplasmic thioredoxin system was observedmales exhibited significantly higher expression of thioredoxin TRX-1, and thioredoxin reductase TRXR-1 expression was downregulated upon MeHg treatment only in hermaphrodites. These outcomes indicate that the redox status is an important contributor to sex-specific sensitivity to MeHg in C. elegans. KW - Methylmercury KW - Sex KW - Male KW - C KW - elegans KW - Antioxidant KW - Thioredoxin Y1 - 2019 U6 - https://doi.org/10.1007/s12640-018-9949-4 SN - 1029-8428 SN - 1476-3524 VL - 35 IS - 1 SP - 208 EP - 216 PB - Springer CY - New York ER - TY - JOUR A1 - Runge, Alexandra A1 - Grosse, Guido T1 - Comparing Spectral Characteristics of Landsat-8 and Sentinel-2 Same-Day Data for Arctic-Boreal Regions JF - Remote Sensing N2 - The Arctic-Boreal regions experience strong changes of air temperature and precipitation regimes, which affect the thermal state of the permafrost. This results in widespread permafrost-thaw disturbances, some unfolding slowly and over long periods, others occurring rapidly and abruptly. Despite optical remote sensing offering a variety of techniques to assess and monitor landscape changes, a persistent cloud cover decreases the amount of usable images considerably. However, combining data from multiple platforms promises to increase the number of images drastically. We therefore assess the comparability of Landsat-8 and Sentinel-2 imagery and the possibility to use both Landsat and Sentinel-2 images together in time series analyses, achieving a temporally-dense data coverage in Arctic-Boreal regions. We determined overlapping same-day acquisitions of Landsat-8 and Sentinel-2 images for three representative study sites in Eastern Siberia. We then compared the Landsat-8 and Sentinel-2 pixel-pairs, downscaled to 60 m, of corresponding bands and derived the ordinary least squares regression for every band combination. The acquired coefficients were used for spectral bandpass adjustment between the two sensors. The spectral band comparisons showed an overall good fit between Landsat-8 and Sentinel-2 images already. The ordinary least squares regression analyses underline the generally good spectral fit with intercept values between 0.0031 and 0.056 and slope values between 0.531 and 0.877. A spectral comparison after spectral bandpass adjustment of Sentinel-2 values to Landsat-8 shows a nearly perfect alignment between the same-day images. The spectral band adjustment succeeds in adjusting Sentinel-2 spectral values to Landsat-8 very well in Eastern Siberian Arctic-Boreal landscapes. After spectral adjustment, Landsat and Sentinel-2 data can be used to create temporally-dense time series and be applied to assess permafrost landscape changes in Eastern Siberia. Remaining differences between the sensors can be attributed to several factors including heterogeneous terrain, poor cloud and cloud shadow masking, and mixed pixels. KW - spectral adjustment KW - northern high latitudes KW - permafrost KW - time series KW - optical data KW - surface reflectance KW - correlation KW - permafrost disturbances KW - land cover change Y1 - 2019 U6 - https://doi.org/10.3390/rs11141730 SN - 2072-4292 VL - 11 PB - MDPI CY - Basel ER - TY - JOUR A1 - Rund, Katharina M. A1 - Heylmann, Daniel A1 - Seiwert, Nina A1 - Wecklein, Sabine A1 - Oger, Camille A1 - Galano, Jean-Marie A1 - Durand, Thierry A1 - Chen, Rongjun A1 - Güler, Faikah A1 - Fahrer, Jörg A1 - Bornhorst, Julia A1 - Schebb, Nils Helge T1 - Formation of trans-epoxy fatty acids correlates with formation of isoprostanes and could serve as biomarker of oxidative stress JF - Prostaglandins & Other Lipid Mediators N2 - In mammals, epoxy-polyunsaturated fatty acids (epoxy-PUFA) are enzymatically formed from naturally occurring all-cis PUFA by cytochrome P450 monooxygenases leading to the generation of cis-epoxy-PUFA (mixture of R,S- and S,R-enantiomers). In addition, also non-enzymatic chemical peroxidation gives rise to epoxy-PUFA leading to both, cis- and trans-epoxy-PUFA (mixture of R,R- and S,S-enantiomers). Here, we investigated for the first time trans-epoxy-PUFA and the trans/cis-epoxy-PUFA ratio as potential new biomarker of lipid peroxidation. Their formation was analyzed in correlation with the formation of isoprostanes (IsoP), which are commonly used as biomarkers of oxidative stress. Five oxidative stress models were investigated including incubations of three human cell lines as well as the in vivo model Caenorhabditis elegans with tert-butyl hydroperoxide (t-BOOH) and analysis of murine kidney tissue after renal ischemia reperfusion injury (IRI). A comprehensive set of IsoP and epoxy-PUFA derived from biologically relevant PUFA (ARA, EPA and DHA) was simultaneously quantified by LC-ESI(-)-MS/MS. Following renal IRI only a moderate increase in the kidney levels of IsoP and no relevant change in the trans/cis-epoxy-PUFA ratio was observed. In all investigated cell lines (HCT-116, HepG2 and Caki-2) as well as C. elegans a dose dependent increase of both, IsoP and the trans/cis-epoxy-PUFA ratio in response to the applied t-BOOH was observed. The different cell lines showed a distinct time dependent pattern consistent for both classes of autoxidatively formed oxylipins. Clear and highly significant correlations of the trans/cisepoxy-PUFA ratios with the IsoP levels were found in all investigated cell lines and C. elegans. Based on this, we suggest the trans/cis-epoxy-PUFA ratio as potential new biomarker of oxidative stress, which warrants further investigation. KW - Isoprostane KW - Trans-epoxy-fatty acid KW - Oxidative stress KW - Biomarker KW - Oxylipin KW - Eicosanoid Y1 - 2019 U6 - https://doi.org/10.1016/j.prostaglandins.2019.04.004 SN - 1098-8823 SN - 2212-196X VL - 144 PB - Elsevier CY - New York ER - TY - THES A1 - Ruiz Rodriguez, Janete Lorena T1 - Osmotic pressure effects on collagen mimetic peptides N2 - Collagen is the most abundant protein in mammals. In many tissues, collagen molecules assemble to form a hierarchical structure. In the smallest supramolecular unit, named fibril, each molecule is displaced in the axial direction with respect to its neighbors. This staggering creates a periodic gap and overlap regions, where the gap regions exhibit 20% less density. These fibril-forming collagens play an essential role in the strength of connective tissues. Despite much effort, directed at understanding collagen function and regulation, the influence of the chemical environment on the local structural and mechanical properties remains poorly understood. Recent studies, aimed at elucidating the effect of osmotic pressure, showed that collagen contracts upon water removal. This observation highlights the importance of water for the stabilization and mechanics of the collagen molecule. Using collagen mimetic peptides (CMPs), which fold into triple helical structures reminiscent of natural collagen, the primary goal of this work was to investigate the effect of the osmotic pressure on specific collagen-mimetic sequences. CMPs were used as the model system as they provide sequence control, which is essential for discriminating local from global structural changes and for relating the observed effects to existing knowledge about the full-length collagen molecule. Of specific interest was the structure of individual collagen triple helices as well as their organization into self-assembled higher order structures. These key structural features were monitored with infrared spectroscopy (IR) and synchrotron X-ray scattering, while varying the osmotic pressure. For controlling the osmotic pressure, CMP powder samples were incubated in air of defined relative humidity, ranging from dry conditions to highly “humid”. In addition, to obtain more biologically relevant conditions, the CMPs were measured in ultrapure water and in solutions containing small molecule osmolytes. Using the sequences (Pro-Pro-Gly)10, (Pro-Hyp-Gly)10 and (Hyp-Hyp-Gly)10, it was shown that CMPs with different degrees of proline hydroxylation (Hyp = hydroxyproline) exhibit a sequence-specific response to osmotic pressure. IR spectroscopy revealed that osmotic pressure changes affect the strength of the triple helix stabilizing, interchain hydrogen bond and that the extent of this change depends on the degree of hydroxylation. X-ray scattering experiments further showed that changes in osmotic pressure affect both the molecular length as well as the higher order organization of CMPs. Starting from a pseudo-hexagonal packing in the dry state, all three CMPs showed isotropic swelling when increasing the water content to approximately 1.2 water molecules per amino acid, again to different extents depending on the degree of hydroxylation. When increasing the water content further, this pseudo-hexagonal arrangement breaks down. In the fully hydrated state, each CMP is characterized by its own specific and more complex packing geometry. While these changes in the lateral packing arrangement suggest swelling upon hydration, an overall decrease of the molecular length (i.e. contraction) was observed in the axial direction. Also for this structural feature, a strong dependency on the specific amino acid sequence was found. Interestingly, the observed contraction is the opposite of what has been reported for natural collagen. As (Pro-Pro-Gly)n, (Pro-Hyp-Gly)n and (Hyp-Hyp-Gly)n repeat units are found in collagen with a relatively high abundance, this suggests that other collagen sequence fragments need to respond to hydration in the opposite way to obtain a net elongation of the full-length collagen molecule. To test this hypothesis, sequences predicted to be sensitive to osmotic pressure were considered. One such sequence, consisting of two repeat units (Ala-Arg-Gly-Ser-Asp-Gly), was inserted as a guest into a (Pro-Pro-Gly) host. When compared to the canonical CMP sequences investigated earlier, the lateral helix packing follows a similar trend with increasing hydration; however, the host-guest CMP axially elongates with increasing water content. This behavior is more similar to what has been found for natural collagen and suggests that different sequences do determine the molecular length of collagen sequences differently. Interestingly, the canonical sequences are more abundant in the overlap region while the guest sequence is found in the gap region. This allows to speculate that sequences in the gap and overlap regions possess a specifically fine-tuned local response to osmotic pressure changes. Clearly, more experiments with additional sequences are needed to confirm this. In conclusion, the results obtained in this work indicate a highly sequence specific interaction between collagen and water. Osmotic pressure-induced conformational changes mostly originate from local geometries and bonding patterns and affect both the structure of individual triple helices as well as higher order assemblies. One key remaining question is how these conformational changes affect the local mechanical properties of the collagen molecule. As a first step, the stiffness (persistence length) of full-length collagen was determined using atomic force microscopy. In the future, experimental strategies need to be developed that allow for investigating the mechanical properties of specific collagen sequences, e.g. performing single-molecule force spectroscopy of CMPs. Y1 - 2019 ER - TY - JOUR A1 - Ruberg, Tobias A1 - Rothweiler, Monika A1 - Veríssimo, João Marques A1 - Clahsen, Harald T1 - Childhood bilingualism and Specific Language Impairment BT - A study of the CP-domain in German SLI JF - Bilingualism: Language and Cognition N2 - This study addresses the question of whether and how growing up with more than one language shapes a child's language impairment. Our focus is on Specific Language Impairment (SLI) in bilingual (Turkish-German) children. We specifically investigated a range of phenomena related to the so-called CP (Complementizer Phrase) in German, the hierarchically highest layer of syntactic clause structure, which has been argued to be particularly affected in children with SLI. Spontaneous speech data were examined from bilingual children with SLI in comparison to two comparison groups: (i) typically-developing bilingual children, (ii) monolingual children with SLI. We found that despite persistent difficulty with subject-verb agreement, the two groups of children with SLI did not show any impairment of the CP-domain. We conclude that while subject-verb agreement is a suitable linguistic marker of SLI in German-speaking children, for both monolingual and bilingual ones, 'vulnerability of the CP-domain' is not. KW - developmental language impairment KW - specific language impairment KW - child second language acquisition KW - syntax KW - agreement Y1 - 2019 U6 - https://doi.org/10.1017/S1366728919000580 SN - 1366-7289 SN - 1469-1841 VL - 23 IS - 3 SP - 668 EP - 680 PB - Cambridge Univ. Press CY - Cambridge ER - TY - JOUR A1 - Rubach, Charlott A1 - Lazarides, Rebecca A1 - Lohse-Bossenz, Hendrik T1 - Engagement der Klassenlehrkräfte in der Zusammenarbeit mit Eltern und Motivation Lernender in der Sekundarstufe T1 - Class teacher's engagement in parent-teacher partnership and student's motivation in secondary schools JF - Journal for educational research online N2 - Die gelingende Zusammenarbeit von Eltern und Lehrkräften gilt als eine wichtige Voraussetzung für den schulischen Bildungserfolg Lernender und wirkt sich zudem positiv auf die Beziehung von Lehrkräften und Lernenden aus. Der vorliegende Beitrag untersucht, inwiefern das Engagement von Klassenlehrkräften in der Zusammenarbeit mit Eltern, operationalisiert über angebotene formelle und informelle Kontakte, sowie die von Lernenden wahrgenommene Lehrer-Schüler-Beziehung mit der intrinsischen Motivation Lernender in Zusammenhang stehen. Ausgewertet wurden Daten von 881 Schülerinnen und Schülern aus 39 neunten und zehnten Klassen aus 13 Schulen der Sekundarstufe (Gymnasien und Integrierte Sekundarschulen). Manifestlatente Mehrebenenmodelle zeigen signi¿ kant positive Zusammenhänge zwischen der von Lehrkräften angebotenen Vielfalt formeller Kontakte und der intrinsischen Motivation der Lernenden auf Klassenebene. Auf Individualebene zeigen sich signi¿ kante positive Zusammenhänge zwischen der von Lernenden berichteten Lehrer-Schüler-Beziehung und der intrinsischen Motivation. N2 - Parent-teacher partnerships are important prerequisites for successful school-re-lated learning processes of students and is positive related to the relationship be-tween teachers and students. This two-wave longitudinal study examines the re-lationship between parental work of class teachers, measured by their formal and informal communication practices, the teacher-student relationship, and the students’ intrinsic motivation. The analyses are based on questionnaire data from N = 881 students of 39 classrooms (9th and 10th grade) at German sec-ondary schools (two school types: Gymnasium and Integrated Secondary School). Manifest-latent multilevel analyses show a signi¿ cant and positive relationship between formal communication practices and students’ intrinsic motivation at the class level. At the individual level, student-reported teacher-student relationship is signi¿ cantly and positively related to students’ intrinsic motivation. KW - Intrinsic motivation KW - Longitudinal multilevel analysis KW - Parent-teacher partner-ship KW - Teacher-student relationship KW - Intrinsische Motivation KW - ängsschnittliche Mehrebenenanalyse KW - Vielfältige Zusammenarbeit von Eltern und Lehrkräften KW - Lehrer-Schüler-Beziehung Y1 - 2019 U6 - https://doi.org/0111-pedocs-180034 SN - 1866-6671 VL - 11 IS - 2 SP - 61 EP - 85 PB - Waxmann CY - Münster ER - TY - JOUR A1 - Rubach, Charlott A1 - Lazarides, Rebecca T1 - Empirische Arbeit: Bedingungen und Auswirkungen des elterlichen Engagements im häuslichen und schulischen Umfeld BT - Analysen in der Sekundarstufe I JF - Psychologie in Erziehung und Unterricht : Zeitschrift für Forschung und Praxis N2 - Ziel der Studie ist die Untersuchung der individuellen und schulbezogenen Bedingungen der elterlichen häuslichen Unterstützung schulbezogener Lernprozesse von Schülerinnen und Schülern der Sekundarstufe I. Des Weiteren wurde untersucht, inwieweit diese Unterstützung mit der Veränderung der intrinsischen Motivation und des akademischen Selbstkonzeptes der Lernenden einhergeht. Der Beitrag zum Forschungsstand liegt neben der längsschnittlichen Untersuchung in der Analyse möglicher Moderatoren der Zusammenhänge. Für die Analysen wurden Fragebogendaten von n=157 Lernenden (MAlter=14.5) sowie deren Eltern genutzt. Als zentrales Ergebnis zeigt sich, dass Eltern ihre Kinder häuslich unterstützen, wenn Eltern ihr eigenes Schulengagement als nützlich wahrnehmen. Die Unterstützung im häuslichen Umfeld steht in positivem Zusammenhang zur Veränderung der intrinsischen Motivation. Sowohl die von Eltern wahrgenommene Kooperationsbereitschaft der Klassenlehrkraft als auch die Vielfalt des elterlichen Engagements im schulischen Umfeld moderieren den Zusammenhang zwischen häuslicher Unterstützung durch Eltern und dem akademischen Selbstkonzept. Limitationen wie die Verzerrung der Elternstichprobe sowie praktische Implikationen werden diskutiert. KW - Academic self-concept KW - intrinsic motivation KW - home-based parental involvement KW - school based parental involvement Y1 - 2019 U6 - https://doi.org/10.2378/peu2019.art08d SN - 0342-183X VL - 66 IS - 2 SP - 81 EP - 100 PB - Reinhardt CY - München ER - TY - GEN A1 - Rounsevell, Mark D. A. A1 - Metzger, Marc J. A1 - Walz, Ariane T1 - Operationalising ecosystem services in Europe T2 - Regional environmental change Y1 - 2019 U6 - https://doi.org/10.1007/s10113-019-01560-1 SN - 1436-3798 SN - 1436-378X VL - 19 IS - 8 SP - 2143 EP - 2149 PB - Springer CY - Heidelberg ER - TY - GEN A1 - Roumen, Thijs A1 - Shigeyama, Jotaro A1 - Rudolph, Julius Cosmo Romeo A1 - Grzelka, Felix A1 - Baudisch, Patrick T1 - SpringFit BT - Joints and mounts that fabricate on any laser cutter T2 - User Interface Software and Technology N2 - Joints are crucial to laser cutting as they allow making three-dimensional objects; mounts are crucial because they allow embedding technical components, such as motors. Unfortunately, mounts and joints tend to fail when trying to fabricate a model on a different laser cutter or from a different material. The reason for this lies in the way mounts and joints hold objects in place, which is by forcing them into slightly smaller openings. Such "press fit" mechanisms unfortunately are susceptible to the small changes in diameter that occur when switching to a machine that removes more or less material ("kerf"), as well as to changes in stiffness, as they occur when switching to a different material. We present a software tool called springFit that resolves this problem by replacing the problematic press fit-based mounts and joints with what we call cantilever-based mounts and joints. A cantilever spring is simply a long thin piece of material that pushes against the object to be held. Unlike press fits, cantilever springs are robust against variations in kerf and material; they can even handle very high variations, simply by using longer springs. SpringFit converts models in the form of 2D cutting plans by replacing all contained mounts, notch joints, finger joints, and t-joints. In our technical evaluation, we used springFit to convert 14 models downloaded from the web. KW - Laser cutting KW - fabrication KW - portability KW - reuse Y1 - 2019 SN - 978-1-4503-6816-2 U6 - https://doi.org/10.1145/3332165.3347930 SP - 727 EP - 738 PB - Association for Computing Machinery CY - New York ER - TY - JOUR A1 - Rothkegel, Lars Oliver Martin A1 - Schütt, Heiko Herbert A1 - Trukenbrod, Hans Arne A1 - Wichmann, Felix A. A1 - Engbert, Ralf T1 - Searchers adjust their eye-movement dynamics to target characteristics in natural scenes JF - Scientific reports N2 - When searching a target in a natural scene, it has been shown that both the target’s visual properties and similarity to the background influence whether and how fast humans are able to find it. So far, it was unclear whether searchers adjust the dynamics of their eye movements (e.g., fixation durations, saccade amplitudes) to the target they search for. In our experiment, participants searched natural scenes for six artificial targets with different spatial frequency content throughout eight consecutive sessions. High-spatial frequency targets led to smaller saccade amplitudes and shorter fixation durations than low-spatial frequency targets if target identity was known. If a saccade was programmed in the same direction as the previous saccade, fixation durations and successive saccade amplitudes were not influenced by target type. Visual saliency and empirical fixation density at the endpoints of saccades which maintain direction were comparatively low, indicating that these saccades were less selective. Our results suggest that searchers adjust their eye movement dynamics to the search target efficiently, since previous research has shown that low-spatial frequencies are visible farther into the periphery than high-spatial frequencies. We interpret the saccade direction specificity of our effects as an underlying separation into a default scanning mechanism and a selective, target-dependent mechanism. Y1 - 2019 U6 - https://doi.org/10.1038/s41598-018-37548-w SN - 2045-2322 VL - 9 PB - Nature Publ. Group CY - London ER - TY - JOUR A1 - Rothe, Martin A1 - Zhao, Yuhang A1 - Kewes, Günter A1 - Kochovski, Zdravko A1 - Sigle, Wilfried A1 - van Aken, Peter A. A1 - Koch, Christoph A1 - Ballauff, Matthias A1 - Lu, Yan A1 - Benson, Oliver T1 - Silver nanowires with optimized silica coating as versatile plasmonic resonators JF - Scientific reports N2 - Metal nanoparticles are the most frequently used nanostructures in plasmonics. However, besides nanoparticles, metal nanowires feature several advantages for applications. Their elongation offers a larger interaction volume, their resonances can reach higher quality factors, and their mode structure provides better coupling into integrated hybrid dielectric-plasmonic circuits. It is crucial though, to control the distance of the wire to a supporting substrate, to another metal layer or to active materials with sub-nanometer precision. A dielectric coating can be utilized for distance control, but it must not degrade the plasmonic properties. In this paper, we introduce a controlled synthesis and coating approach for silver nanowires to fulfill these demands. We synthesize and characterize silver nanowires of around 70 nm in diameter. These nanowires are coated with nm-sized silica shells using a modified Stober method to achieve a homogeneous and smooth surface quality. We use transmission electron microscopy, dark-field microscopy and electron-energy loss spectroscopy to study morphology and plasmonic resonances of individual nanowires and quantify the influence of the silica coating. Thorough numerical simulations support the experimental findings showing that the coating does not deteriorate the plasmonic properties and thus introduce silver nanowires as usable building blocks for integrated hybrid plasmonic systems. Y1 - 2019 U6 - https://doi.org/10.1038/s41598-019-40380-5 SN - 2045-2322 VL - 9 PB - Nature Publ. Group CY - London ER - TY - JOUR A1 - Rosso, Enrico T1 - Ein „Zusammengehen ohne Zusammenkommen“. Der Entstehungsprozess des intellektuellen Netzwerkes um die Zeitschrift Die Kreatur JF - Naharaim N2 - Eine Gruppe, gar eine innerlich verbundene Gemeinschaft, können Intellektuelle im Normalfall nur bilden, soweit sie von gleichem Denken und Wollen bewegt werden […]. Wo dagegen die von den Intellektuellen vertretenen Ansichten weit divergieren, da kann es nur unter sehr kritischen Umständen geschehen, daß die verschieden gearteten (sozialen, politischen, rechtlichen, kulturellen, religiösen) Standpunkte und Anliegen – auf Zeit – sich zusammenfinden […]. Das polemische Element, das kritischen Intellektuellen ja wesensmäßig zu eigen ist, bringt am ehesten eine gemeinsame Front zwischen ihnen zustande. N2 - This research article aims to deliver an analytical representation of the intellectual environment of the culture journal Die Kreatur (1926-1930), a religious-dialogical quarterly edited by Martin Buber, Joseph Wittig, and Viktor von Weizsacker and enlivened by some of the most prominent figures of German-Jewish interwar culture (among others W. Benjamin, H. S. Bergman, E. Rosenstock-Huessy, F. Rosenzweig, E. Simon, and L. Strauss). Building on a recognition of the problematic relationship between the dialogical model claimed in the programmatic foreword of the journal and the group narratives enacted by its key contributors, the study attempts to outline the formation process of the intellectual plexus of the journal and to provide a differentiated analysis of its singular constituents via a sociologically informed framework. The representation of the intellectual network of Die Kreatur in accordance with the model of a "circle of circles" provides insight into the elusive dialectic of interaction and divergence that determines the relations between the main actors of the journal and thus contributes to unfold the interplay of biographical intersections and conceptual synergies, as well as incongruities, frictions, and contradictory instances that determines its editorial and philosophical profile. T2 - A "Going Together without Coming Together". The Process of Creating the intellectual Network around the magazine Die Kreatur KW - German-Jewish Literature KW - Cultural Journal KW - Buber KW - Martin KW - Rosenzweig KW - Franz KW - Die Kreatur Y1 - 2019 U6 - https://doi.org/10.1515/naha-2019-0006 SN - 1862-9148 SN - 1862-9156 VL - 13 IS - 1-2 SP - 73 EP - 97 PB - De Gruyter CY - Berlin ER - TY - JOUR A1 - Rosso, Enrico T1 - Moskauer Passagen BT - eine konzeptionelle Arbeit am Moskau-Aufsatz im Licht des Verhältnisses Benjamins zum Zeitschriftenprojekt Die Kreatur JF - Material und Begriff ; Arbeitsverfahren und theoretische Beziehungen Walter Benjamins Y1 - 2019 SN - 978-3-86754-322-4 SP - 102 EP - 134 PB - Argument CY - Hamburg ER - TY - JOUR A1 - Rossberg, Axel G. A1 - Gaedke, Ursula A1 - Kratina, Pavel T1 - Dome patterns in pelagic size spectra reveal strong trophic cascades JF - Nature Communications N2 - In ecological communities, especially the pelagic zones of aquatic ecosystems, certain bodysize ranges are often over-represented compared to others. Community size spectra, the distributions of community biomass over the logarithmic body-mass axis, tend to exhibit regularly spaced local maxima, called "domes", separated by steep troughs. Contrasting established theory, we explain these dome patterns as manifestations of top-down trophic cascades along aquatic food chains. Compiling high quality size-spectrum data and comparing these with a size-spectrum model introduced in this study, we test this theory and develop a detailed picture of the mechanisms by which bottom-up and top-down effects interact to generate dome patterns. Results imply that strong top-down trophic cascades are common in freshwater communities, much more than hitherto demonstrated, and may arise in nutrient rich marine systems as well. Transferring insights from the general theory of nonlinear pattern formation to domes patterns, we provide new interpretations of past lake-manipulation experiments. Y1 - 2019 U6 - https://doi.org/10.1038/s41467-019-12289-0 SN - 2041-1723 VL - 10 PB - Nature Publ. Group CY - London ER - TY - JOUR A1 - Rosencrantz, Sophia A1 - Tang, Jo Sing Julia A1 - Schulte-Osseili, Christine A1 - Böker, Alexander A1 - Rosencrantz, Ruben R. T1 - Glycopolymers by RAFT Polymerization as Functional Surfaces for Galectin-3 JF - Macromolecular chemistry and physics N2 - Glycan-protein interactions are essential biological processes with many disease-related modulations and variations. One of the key proteins involved in tumor progression and metastasis is galectin-3 (Gal-3). A lot of effort is put into the development of Gal-3 inhibitors as new therapeutic agents. The avidity of glycan-protein interactions is strongly enhanced by multivalent ligand presentation. Multivalent presentation of glycans can be accomplished by utilizing glycopolymers, which are polymers with pendent glycan groups. For the production of glycopolymers, glycomonomers are synthesized by a regioselective, microwave-assisted approach starting from lactose. The resulting methacrylamide derivatives are polymerized by RAFT and immobilized on gold surfaces using the trithiocarbonate group of the chain transfer agent. Surface plasmon resonance spectroscopy enables the label free kinetic characterization of Gal-3 binding to these multivalent glycopolymers. The measurements indicate oligomerization of Gal-3 upon exposure to multivalent environments and reveal strong specific interaction with the immobilized polymers. KW - galectin-3 KW - glycopolymers KW - multivalency KW - RAFT KW - surface plasmon resonance Y1 - 2019 U6 - https://doi.org/10.1002/macp.201900293 SN - 1022-1352 SN - 1521-3935 VL - 220 IS - 20 PB - Wiley-VCH CY - Weinheim ER - TY - JOUR A1 - Rosenblum, Michael A1 - Pikovskij, Arkadij T1 - Nonlinear phase coupling functions: a numerical study JF - Philosophical Transactions of the Royal Society of London, Series A : Mathematical, Physical and Engineering Sciences N2 - Phase reduction is a general tool widely used to describe forced and interacting self-sustained oscillators. Here, we explore the phase coupling functions beyond the usual first-order approximation in the strength of the force. Taking the periodically forced Stuart-Landau oscillator as the paradigmatic model, we determine and numerically analyse the coupling functions up to the fourth order in the force strength. We show that the found nonlinear phase coupling functions can be used for predicting synchronization regions of the forced oscillator. KW - phase approximation KW - coupling function KW - phase response curve Y1 - 2019 U6 - https://doi.org/10.1098/rsta.2019.0093 SN - 1364-503X SN - 1471-2962 VL - 377 IS - 2160 PB - Royal Society CY - London ER - TY - JOUR A1 - Rosenblum, Michael A1 - Pikovskij, Arkadij T1 - Numerical phase reduction beyond the first order approximation JF - Chaos : an interdisciplinary journal of nonlinear science N2 - We develop a numerical approach to reconstruct the phase dynamics of driven or coupled self-sustained oscillators. Employing a simple algorithm for computation of the phase of a perturbed system, we construct numerically the equation for the evolution of the phase. Our simulations demonstrate that the description of the dynamics solely by phase variables can be valid for rather strong coupling strengths and large deviations from the limit cycle. Coupling functions depend crucially on the coupling and are generally non-decomposable in phase response and forcing terms. We also discuss the limitations of the approach. Published under license by AIP Publishing. Y1 - 2019 U6 - https://doi.org/10.1063/1.5079617 SN - 1054-1500 SN - 1089-7682 VL - 29 IS - 1 PB - American Institute of Physics CY - Melville ER - TY - JOUR A1 - Rosenblum, Michael A1 - Frühwirth, Martha A1 - Moser, Maximilian A1 - Pikovskij, Arkadij T1 - Dynamical disentanglement in an analysis of oscillatory systems: an application to respiratory sinus arrhythmia JF - Philosophical Transactions of the Royal Society of London, Series A : Mathematical, Physical and Engineering Sciences N2 - We develop a technique for the multivariate data analysis of perturbed self-sustained oscillators. The approach is based on the reconstruction of the phase dynamics model from observations and on a subsequent exploration of this model. For the system, driven by several inputs, we suggest a dynamical disentanglement procedure, allowing us to reconstruct the variability of the system's output that is due to a particular observed input, or, alternatively, to reconstruct the variability which is caused by all the inputs except for the observed one. We focus on the application of the method to the vagal component of the heart rate variability caused by a respiratory influence. We develop an algorithm that extracts purely respiratory-related variability, using a respiratory trace and times of R-peaks in the electrocardiogram. The algorithm can be applied to other systems where the observed bivariate data can be represented as a point process and a slow continuous signal, e.g. for the analysis of neuronal spiking. This article is part of the theme issue 'Coupling functions: dynamical interaction mechanisms in the physical, biological and social sciences'. KW - phase dynamics KW - point process KW - vagal sympathetic activity KW - autonomic nervous system Y1 - 2019 U6 - https://doi.org/10.1098/rsta.2019.0045 SN - 1364-503X SN - 1471-2962 VL - 377 IS - 2160 PB - Royal Society CY - London ER - TY - JOUR A1 - Rosenbaum, Benjamin A1 - Raatz, Michael A1 - Weithoff, Guntram A1 - Fussmann, Gregor F. A1 - Gaedke, Ursula T1 - Estimating parameters from multiple time series of population dynamics using bayesian inference JF - Frontiers in ecology and evolution N2 - Empirical time series of interacting entities, e.g., species abundances, are highly useful to study ecological mechanisms. Mathematical models are valuable tools to further elucidate those mechanisms and underlying processes. However, obtaining an agreement between model predictions and experimental observations remains a demanding task. As models always abstract from reality one parameter often summarizes several properties. Parameter measurements are performed in additional experiments independent of the ones delivering the time series. Transferring these parameter values to different settings may result in incorrect parametrizations. On top of that, the properties of organisms and thus the respective parameter values may vary considerably. These issues limit the use of a priori model parametrizations. In this study, we present a method suited for a direct estimation of model parameters and their variability from experimental time series data. We combine numerical simulations of a continuous-time dynamical population model with Bayesian inference, using a hierarchical framework that allows for variability of individual parameters. The method is applied to a comprehensive set of time series from a laboratory predator-prey system that features both steady states and cyclic population dynamics. Our model predictions are able to reproduce both steady states and cyclic dynamics of the data. Additionally to the direct estimates of the parameter values, the Bayesian approach also provides their uncertainties. We found that fitting cyclic population dynamics, which contain more information on the process rates than steady states, yields more precise parameter estimates. We detected significant variability among parameters of different time series and identified the variation in the maximum growth rate of the prey as a source for the transition from steady states to cyclic dynamics. By lending more flexibility to the model, our approach facilitates parametrizations and shows more easily which patterns in time series can be explained also by simple models. Applying Bayesian inference and dynamical population models in conjunction may help to quantify the profound variability in organismal properties in nature. KW - Bayesian inference KW - chemostat experiments KW - ordinary differential equation KW - parameter estimation KW - population dynamics KW - predator prey KW - time series analysis KW - trait variability Y1 - 2019 U6 - https://doi.org/10.3389/fevo.2018.00234 SN - 2296-701X VL - 6 PB - Frontiers Research Foundation CY - Lausanne ER - TY - THES A1 - Rose, Robert T1 - Leading for team-level creativity and innovation BT - a bibliometric and field-based analysis Y1 - 2019 ER - TY - JOUR A1 - Roos, Saskia T1 - The Dirac operator under collapse to a smooth limit space JF - Annals of global analysis and geometry N2 - Let (M-i, g(i))(i is an element of N) be a sequence of spin manifolds with uniform bounded curvature and diameter that converges to a lower-dimensional Riemannian manifold (B, h) in the Gromov-Hausdorff topology. Then, it happens that the spectrum of the Dirac operator converges to the spectrum of a certain first-order elliptic differential operator D-B on B. We give an explicit description of D-B and characterize the special case where D-B equals the Dirac operator on B. KW - Collapse KW - Dirac operator KW - Spin geometry Y1 - 2019 U6 - https://doi.org/10.1007/s10455-019-09691-8 SN - 0232-704X SN - 1572-9060 VL - 57 IS - 1 SP - 121 EP - 151 PB - Springer CY - Dordrecht ER - TY - JOUR A1 - Romero-Mujalli, Daniel A1 - Jeltsch, Florian A1 - Tiedemann, Ralph T1 - Elevated mutation rates are unlikely to evolve in sexual species, not even under rapid environmental change JF - BMC Evolutionary Biology N2 - Background Organisms are expected to respond to changing environmental conditions through local adaptation, range shift or local extinction. The process of local adaptation can occur by genetic changes or phenotypic plasticity, and becomes especially relevant when dispersal abilities or possibilities are somehow constrained. For genetic changes to occur, mutations are the ultimate source of variation and the mutation rate in terms of a mutator locus can be subject to evolutionary change. Recent findings suggest that the evolution of the mutation rate in a sexual species can advance invasion speed and promote adaptation to novel environmental conditions. Following this idea, this work uses an individual-based model approach to investigate if the mutation rate can also evolve in a sexual species experiencing different conditions of directional climate change, under different scenarios of colored stochastic environmental noise, probability of recombination and of beneficial mutations. The color of the noise mimicked investigating the evolutionary dynamics of the mutation rate in different habitats. Results The results suggest that the mutation rate in a sexual species experiencing directional climate change scenarios can evolve and reach relatively high values mainly under conditions of complete linkage of the mutator locus and the adaptation locus. In contrast, when they are unlinked, the mutation rate can slightly increase only under scenarios where at least 50% of arising mutations are beneficial and the rate of environmental change is relatively fast. This result is robust under different scenarios of stochastic environmental noise, which supports the observation of no systematic variation in the mutation rate among organisms experiencing different habitats. Conclusions Given that 50% beneficial mutations may be an unrealistic assumption, and that recombination is ubiquitous in sexual species, the evolution of an elevated mutation rate in a sexual species experiencing directional climate change might be rather unlikely. Furthermore, when the percentage of beneficial mutations and the population size are small, sexual species (especially multicellular ones) producing few offspring may be expected to react to changing environments not by adaptive genetic change, but mainly through plasticity. Without the ability for a plastic response, such species may become – at least locally – extinct. KW - Individual-based models KW - sexual species KW - Beneficial mutations KW - Recombination KW - Directional climate change KW - Mutator locus KW - Mutation rate Y1 - 2019 U6 - https://doi.org/10.1186/s12862-019-1494-0 SN - 1471-2148 VL - 19 PB - BioMed Central CY - London ER - TY - JOUR A1 - Romanowsky, Erik A1 - Handorf, Dörthe A1 - Jaiser, Ralf A1 - Wohltmann, Ingo A1 - Dorn, Wolfgang A1 - Ukita, Jinro A1 - Cohen, Judah A1 - Dethloff, Klaus A1 - Rex, Markus T1 - The role of stratospheric ozone for Arctic-midlatitude linkages JF - Scientific reports N2 - Arctic warming was more pronounced than warming in midlatitudes in the last decades making this region a hotspot of climate change. Associated with this, a rapid decline of sea-ice extent and a decrease of its thickness has been observed. Sea-ice retreat allows for an increased transport of heat and momentum from the ocean up to the tropo- and stratosphere by enhanced upward propagation of planetary-scale atmospheric waves. In the upper atmosphere, these waves deposit the momentum transported, disturbing the stratospheric polar vortex, which can lead to a breakdown of this circulation with the potential to also significantly impact the troposphere in mid- to late-winter and early spring. Therefore, an accurate representation of stratospheric processes in climate models is necessary to improve the understanding of the impact of retreating sea ice on the atmospheric circulation. By modeling the atmospheric response to a prescribed decline in Arctic sea ice, we show that including interactive stratospheric ozone chemistry in atmospheric model calculations leads to an improvement in tropo-stratospheric interactions compared to simulations without interactive chemistry. This suggests that stratospheric ozone chemistry is important for the understanding of sea ice related impacts on atmospheric dynamics. Y1 - 2019 U6 - https://doi.org/10.1038/s41598-019-43823-1 SN - 2045-2322 VL - 9 PB - Nature Publ. Group CY - London ER - TY - JOUR A1 - Roland, Steffen A1 - Kniepert, Juliane A1 - Love, John A. A1 - Negi, Vikas A1 - Liu, Feilong A1 - Bobbert, Peter A1 - Melianas, Armantas A1 - Kemerink, Martijn A1 - Hofacker, Andreas A1 - Neher, Dieter T1 - Equilibrated Charge Carrier Populations Govern Steady-State Nongeminate Recombination in Disordered Organic Solar Cells JF - The journal of physical chemistry letters N2 - We employed bias-assisted charge extraction techniques to investigate the transient and steady-state recombination of photogenerated charge carriers in complete devices of a disordered polymer-fullerene blend. Charge recombination is shown to be dispersive, with a significant slowdown of the recombination rate over time, consistent with the results from kinetic Monte Carlo simulations. Surprisingly, our experiments reveal little to no contributions from early time recombination of nonequilibrated charge carriers to the steady-state recombination properties. We conclude that energetic relaxation of photogenerated carriers outpaces any significant nongeminate recombination under application-relevant illumination conditions. With equilibrated charges dominating the steady-state recombination, quasi-equilibrium concepts appear suited for describing the open-circuit voltage of organic solar cells despite pronounced energetic disorder. Y1 - 2019 U6 - https://doi.org/10.1021/acs.jpclett.9b00516 SN - 1948-7185 VL - 10 IS - 6 SP - 1374 EP - 1381 PB - American Chemical Society CY - Washington ER - TY - JOUR A1 - Rojas-Jimenez, Keilor A1 - Rieck, Angelika A1 - Wurzbacher, Christian A1 - Jürgens, Klaus A1 - Labrenz, Matthias A1 - Grossart, Hans-Peter T1 - A Salinity Threshold Separating Fungal Communities in the Baltic Sea JF - Frontiers in Microbiology N2 - Salinity is a significant factor for structuring microbial communities, but little is known for aquatic fungi, particularly in the pelagic zone of brackish ecosystems. In this study, we explored the diversity and composition of fungal communities following a progressive salinity decline (from 34 to 3 PSU) along three transects of ca. 2000 km in the Baltic Sea, the world’s largest estuary. Based on 18S rRNA gene sequence analysis, we detected clear changes in fungal community composition along the salinity gradient and found significant differences in composition of fungal communities established above and below a critical value of 8 PSU. At salinities below this threshold, fungal communities resembled those from freshwater environments, with a greater abundance of Chytridiomycota, particularly of the orders Rhizophydiales, Lobulomycetales, and Gromochytriales. At salinities above 8 PSU, communities were more similar to those from marine environments and, depending on the season, were dominated by a strain of the LKM11 group (Cryptomycota) or by members of Ascomycota and Basidiomycota. Our results highlight salinity as an important environmental driver also for pelagic fungi, and thus should be taken into account to better understand fungal diversity and ecological function in the aquatic realm. KW - fungal diversity KW - baltic sea KW - salinity gradient KW - brackish waters KW - chytridiomycota KW - cryptomycota Y1 - 2019 U6 - https://doi.org/10.3389/fmicb.2019.00680 SN - 1664-302X VL - 10 PB - Frontiers Media CY - Lausanne ER - TY - JOUR A1 - Rohn, Isabelle A1 - Raschke, Stefanie A1 - Aschner, Michael A1 - Tuck, Simon A1 - Kuehnelt, Doris A1 - Kipp, Anna Patricia A1 - Schwerdtle, Tanja A1 - Bornhorst, Julia T1 - Treatment of caenorhabditis elegans with small selenium species enhances antioxidant defense systems JF - Molecular nutrition & food research : bioactivity, chemistry, immunology, microbiology, safety, technology N2 - ScopeSmall selenium (Se) species play a key role in Se metabolism and act as dietary sources of the essential trace element. However, they are redox-active and trigger pro- and antioxidant responses. As health outcomes are strongly species-dependent, species-specific characteristics of Se compounds are tested in vivo. Methods and resultsIn the model organism Caenorhabditis elegans (C. elegans), immediate and sustained effects of selenite, selenomethionine (SeMet), and Se-methylselenocysteine (MeSeCys) are studied regarding their bioavailability, incorporation into proteins, as well as modulation of the cellular redox status. While all tested Se compounds are bioavailable, only SeMet persistently accumulates and is non-specifically incorporated into proteins. However, the protection toward chemically-induced formation of reactive species is independent of the applied Se compound. Increased thioredoxin reductase (TXNRD) activity and changes in mRNA expression levels of antioxidant proteins indicate the activation of cellular defense mechanisms. However, in txnrd-1 deletion mutants, no protective effects of the Se species are observed anymore, which is also reflected by differential gene expression data. ConclusionSe species protect against chemically-induced reactive species formation. The identified immediate and sustained systemic effects of Se species give rise to speculations on possible benefits facing subsequent periods of inadequate Se intake. KW - antioxidant defense systems KW - caenorhabditis elegans KW - selenium KW - oxidative stress KW - selenoproteins Y1 - 2019 U6 - https://doi.org/10.1002/mnfr.201801304 SN - 1613-4125 SN - 1613-4133 VL - 63 IS - 9 PB - Wiley CY - Hoboken ER - TY - JOUR A1 - Rohn, Isabelle A1 - Kroepfl, Nina A1 - Bornhorst, Julia A1 - Kühnelt, Doris A1 - Schwerdtle, Tanja T1 - Side-directed transfer and presystemic metabolism of selenoneine in a human intestinal barrier model JF - Molecular nutrition & food research : bioactivity, chemistry, immunology, microbiology, safety, technology N2 - Scope: Selenoneine, a recently discovered selenium (Se) species mainly present in marine fish, is the Se analogue of ergothioneine, a sulfur-containing purported antioxidant. Although similar properties have been proposed for selenoneine, data on its relevance to human health are yet scarce. Here, the transfer and presystemic metabolism of selenoneine in an in vitro model of the human intestinal barrier are investigated. Methods and results: Selenoneine and the reference species Se-methylselenocysteine (MeSeCys) and selenite are applied to the Caco-2 intestinal barrier model. Selenoneine is transferred in higher amounts, but with similar kinetics as selenite, while MeSeCys shows the highest permeability. In contrast to the reference species, transfer of selenoneine is directed toward the blood side. Cellular Se contents demonstrate that selenoneine is efficiently taken up by Caco-2 cells. Moreover, HPLC/MS-based Se speciation studies reveal a partial metabolism to Se-methylselenoneine, a metabolite previously detected in human blood and urine. Conclusions: Selenoneine is likely to pass the intestinal barrier via transcellular, carrier-mediated transport, is highly bioavailable to Caco-2 cells and undergoes metabolic transformations. Therefore, further studies are needed to elucidate its possible health effects and to characterize the metabolism of selenoneine in humans. KW - bioavailability KW - Caco-2 intestinal barrier model KW - presystemic metabolism KW - selenoneine KW - Se-methylselenoneine Y1 - 2019 U6 - https://doi.org/10.1002/mnfr.201900080 SN - 1613-4125 SN - 1613-4133 VL - 63 IS - 12 PB - Wiley CY - Hoboken ER - TY - JOUR A1 - Rohn, Isabelle A1 - Kroepfl, Nina A1 - Aschner, Michael A1 - Bornhorst, Julia A1 - Kuehnelt, Doris A1 - Schwerdtle, Tanja T1 - Selenoneine ameliorates peroxide-induced oxidative stress in C. elegans JF - Journal of trace elements in medicine and biology N2 - Scope: Selenoneine (2-selenyl-N-alpha, N-alpha, N-alpha-trimethyl-L-histidine), the selenium (Se) analogue of the ubiquitous thiol compound and putative antioxidant ergothioneine, is the major organic selenium species in several marine fish species. Although its antioxidant efficacy has been proposed, selenoneine has been poorly characterized, preventing conclusions on its possible beneficial health effects. Methods and results: Treatment of Caenorhabditis elegans (C. elegans) with selenoneine for 18 h attenuated the induction of reactive oxygen and nitrogen species (RONS). However, the effect was not immediate, occurring 48 h post-treatment. Total Se and Se speciation analysis revealed that selenoneine was efficiently taken up and present in its original form directly after treatment, with no metabolic transformations observed. 48 h posttreatment, total Se in worms was slightly higher compared to controls and no selenoneine could be detected. Conclusion: The protective effect of selenoneine may not be attributed to the presence of the compound itself, but rather to the activation of molecular mechanisms with consequences at more protracted time points. KW - Selenoneine KW - Caenorhabditis elegans KW - Selenium KW - Oxidative stress Y1 - 2019 U6 - https://doi.org/10.1016/j.jtemb.2019.05.012 SN - 0946-672X VL - 55 SP - 78 EP - 81 PB - Elsevier GMBH CY - München ER - TY - THES A1 - Rohde, Alexander T1 - Public Procurement in the European Union BT - How Contracting Authorities Can Improve Their Procurement Performance in Tenders T2 - Schriften zum europäischen Management N2 - Alexander Rhode investigates performance-oriented measures of Contracting Authorities in public tenders conducted within the EU. He finds that Contracting Authorities can improve their performance and attract more suppliers by publishing (as precise as possible) starting prices in the beginning of a tender. First, he reports that compared with private-sector negotiations, starting prices do not create entry barriers in public procurement. Second, he finds that increased numerical precision of starting prices is linearly correlated with better performance and a higher number of bids. In public procurement, suppliers tend to attribute increased credibility to precise starting prices which reduces their (perceived) entry risks. KW - Public tender KW - Tender KW - Public procurement KW - Contracting Authorities KW - Tender performance KW - Anchor effects KW - Anchoring KW - Starting prices KW - Precision effects KW - Price ranges Y1 - 2019 SN - 978-3-658-28072-7 PB - Springer CY - Berlin ER - TY - JOUR A1 - Rogoza, Radoslaw A1 - Fatfouta, Ramzi T1 - Normal and pathological communal narcissism in relation to personality traits and values JF - Personality and individual differences : an international journal of research into the structure and development of personality, and the causation of individual differences N2 - Communal narcissism can be defined as grandiose self-views in the communal domain. Within the literature, two forms of communal narcissism, normal and pathological, can be distinguished. However, no study to date has investigated their convergence and divergence. Using a large community sample (N = 781), the current study aimed to fill this gap through examination of 1) the distinctiveness of normal and pathological communal narcissism; 2) their relationship to broad personality characteristics; and 3) values. Results suggest that 1) normal and pathological communal narcissism are structurally distinct constructs; 2) the difference in relation to personality characteristics is limited to neuroticism; and 3) they share the values of self-enhancement and self transcendence. KW - Agency KW - Communion KW - Narcissism KW - Personality KW - Values Y1 - 2019 U6 - https://doi.org/10.1016/j.paid.2018.03.039 SN - 0191-8869 VL - 140 SP - 76 EP - 81 PB - Elsevier CY - Oxford ER - TY - JOUR A1 - Rodriguez-Zuluaga, Juan A1 - Stolle, Claudia A1 - Yamazaki, Yosuke A1 - Lühr, H. A1 - Park, J. A1 - Scherliess, L. A1 - Chau, J. L. T1 - On the balance between plasma and magnetic pressure across equatorial plasma depletions JF - Journal of geophysical research : Space physics N2 - In magnetized plasmas such as the ionosphere, electric currents develop in regions of strong density gradients to balance the resulting plasma pressure gradients. These currents, usually known as diamagnetic currents decrease the magnetic pressure where the plasma pressure increases, and vice versa. In the low‐latitude ionosphere, equatorial plasma depletions (EPDs) are well known for their steep plasma density gradients and adverse effect on radio wave propagation. In this paper, we use continuous measurements of the magnetic field and electron density from the European Space Agency's Swarm constellation mission to assess the balance between plasma and magnetic pressure across large‐scale EPDs. The analysis is based on the magnetic fluctuations related to diamagnetic currents flowing at the edges of EPDs. This study shows that most of the EPDs detected by Swarm present a decrease of the plasma pressure relative to the ambient plasma. However, EPDs with high plasma pressure are also identified mainly in the vicinity of the South Atlantic magnetic anomaly. From the electron density measurements, we deduce that such an increase in plasma pressure within EPDs might be possible by temperatures inside the EPD as high as twice the temperature of the ambient plasma. Due to the distinct location of the high‐pressure EPDs, we suggest that a possible heating mechanism might be due to precipitation of particle from the radiation belts. This finding corresponds to the first observational evidence of plasma pressure enhancements in regions of depleted plasma density in the ionosphere. KW - equatorial plasma depletions KW - spread F KW - plasma pressure KW - magnetic pressure KW - diamagnetic currents Y1 - 2019 U6 - https://doi.org/10.1029/2019JA026700 SN - 2169-9402 VL - 124 IS - 7 SP - 5936 EP - 5944 PB - American Geophysical Union CY - Washington ER - TY - JOUR A1 - Rodriguez-Zuluaga, Juan A1 - Stolle, Claudia T1 - Interhemispheric field-aligned currents at the edges of equatorial plasma depletions JF - Scientific reports N2 - A comprehensive description of electromagnetic processes related to equatorial plasma depletions (EPDs) is essential for understanding their evolution and day-to-day variability. Recently, field-aligned currents (FACs) flowing at both western and eastern edges of EPDs were observed to be interhemispheric rather than anti-parallel about the dip equator, as suggested by previous theoretical studies. In this paper, we investigate the spatial and temporal variability of the FACs orientation using simultaneous measurements of electron density and magnetic field gathered by ESA’s Swarm constellation mission. By using empirical models, we assess the role of the Pedersen conductance in the preference of the FACs to close either in the northern or southern magnetic hemisphere. Here we show that the closure of the FACs agrees with an electrostatic regime determined by a hemispherical asymmetry of the Pedersen conductance. That is, the EPD-related FACs close at lower altitudes in the hemisphere with the highest conductivity. The evidence of this conclusion stands on the general agreement between the longitudinal and seasonal variability of both the conductivity and the FACs orientation. Y1 - 2019 U6 - https://doi.org/10.1038/s41598-018-37955-z SN - 2045-2322 VL - 9 PB - Nature Publ. Group CY - London ER - TY - GEN A1 - Rodriguez-Sillke, Yasmina A1 - Steinhoff, U. A1 - Bojarski, Christian A1 - Lissner, Donata A1 - Schumann, Michael A1 - Branchi, F. A1 - Siegmund, Britta A1 - Glauben, Rainer T1 - Deep immune profiling of human Peyer´s Patches in patients of inflammatory bowel diseases T2 - European journal of immunology Y1 - 2019 U6 - https://doi.org/10.1002/eji.201970300 SN - 0014-2980 SN - 1521-4141 VL - 49 SP - 203 EP - 204 PB - Wiley CY - Weinheim ER - TY - JOUR A1 - Roder, Giulia A1 - Hudson, Paul A1 - Taroili, Paolo T1 - Flood risk perceptions and the willingness to pay for flood insurance in the Veneto region of Italy JF - International Journal of Disaster Risk Reduction N2 - The floodplain of the Veneto region (north-east Italy) is one of the most inhabited and economically competitive urban landscapes in Europe. Moreover, recent flood events have caused millions of Euros in damage across the region. Due to the combined influence of climate change and socio-economic development, flood impacts are expected to grow. Therefore, it is important for all flood-prone individuals to actively manage and limit flood risk through property-level flood risk management as part of an integrated flood risk management strategy. This is in line with the calls for wider community engagement in risk management in the Sendai Framework for Disaster Risk Reduction and the Sustainable Development Goals. Therefore, an online-survey of Veneto region residents was conducted asking questions regarding flood risk perceptions, preparedness, and preferences towards flood insurance via self-stated willingness to pay (WTP). Our analysis provides an initial indication that while flood risk knowledge is high, it may not be sufficient to encourage proactive risk management. From the WTP values provided people seem reluctant to buy insurance. However, many respondents expressed that a compulsory insurance system may be acceptable. In such a scheme the estimated insurance premium could fall to between (sic)26 and (sic)42 per year, as compared to, potentially, (sic)800 under risk-based premiums, which falls within the majority of WTP estimates provided ((sic)0-(sic)250). Overall, we identify areas of future research that are critical for the better design of risk management policies, supporting the insurance companies in risk management and for recommendations regarding property-level risk management. KW - Flood risk KW - Risk perception KW - Preparedness KW - Willingness to pay KW - Italy Y1 - 2019 U6 - https://doi.org/10.1016/j.ijdrr.2019.101172 SN - 2212-4209 VL - 37 PB - Elsevier CY - Amsterdam ER - TY - JOUR A1 - Roda-Boluda, Duna C. A1 - Whittaker, Alexander C. A1 - Gheorghiu, Delia M. A1 - Rodes, Angel A1 - D'Arcy, Mitch T1 - Be-10 erosion rates controlled by transient response to normal faulting through incision and landsliding JF - Earth & planetary science letters N2 - Quantifying erosion rates, and how they compare to rock uplift rates, is fundamental for understanding landscape response to tectonics and associated sediment fluxes from upland areas. The erosional response to uplift is well-represented by river incision and the associated landslide activity. However, characterising the relationship between these processes remains a major challenge in tectonically active areas, in some cases because landslides can preclude obtaining reliable erosion rates from cosmogenic radionuclide (CRN) concentrations. Here, we quantify the control of tectonics and its coupled geomorphic response on the erosion rates of catchments in southern Italy that are experiencing a transient response to normal faulting. We analyse in-situ Be-10 concentrations for detrital sediment samples, collected along the strike of faults with excellent tectonic constraints and landslide inventories. We demonstrate that Be-10-derived erosion rates are controlled by fault throw rates and the extent of transient incision and associated landsliding in the catchments. We show that the low-relief sub-catchments above knickpoints erode at uniform background rates of similar to 0.10 mm/yr, while downstream of knickpoints, erosion removes similar to 50% of the rock uplifted by the faults, at rates of 0.10-0.64 mm/yr. Despite widespread landsliding, CRN samples provide relatively consistent and accurate erosion rates, most likely because landslides are frequent, small, and shallow, and represent the integrated record of landsliding over several seismic cycles. Consequently, we combine these validated Be-10 erosion rates and data from a geomorphological landslide inventory in a published numerical model, to gain further insight into the long-term landslide rates and sediment mixing, highlighting the potential of CRN data to study landslide dynamics. (C) 2018 Elsevier B.V. All rights reserved. KW - cosmogenic nuclides KW - erosion rates KW - normal faults KW - incision KW - landslides KW - transient response Y1 - 2019 U6 - https://doi.org/10.1016/j.epsl.2018.11.032 SN - 0012-821X SN - 1385-013X VL - 507 SP - 140 EP - 153 PB - Elsevier CY - Amsterdam ER - TY - JOUR A1 - Risse, Sarah A1 - Seelig, Stefan T1 - Stable preview difficulty effects in reading with an improved variant of the boundary paradigm JF - The quarterly journal of experimental psychology N2 - Using gaze-contingent display changes in the boundary paradigm during sentence reading, it has recently been shown that parafoveal word-processing difficulties affect fixations on words to the right of the boundary. Current interpretations of this post-boundary preview difficulty effect range from delayed parafoveal-on-foveal effects in parallel word-processing models to forced fixations in serial word-processing models. However, these findings are based on an experimental design that, while allowing to isolate preview difficulty effects, might have established a bias with respect to asymmetries in parafoveal preview benefit for high-frequent and low-frequent target words. Here, we present a revision of this paradigm varying the preview’s lexical frequency and keeping the target word constant. We found substantial effects of the preview difficulty in fixation durations after the boundary confirming that preview processing affects the oculomotor decisions not only via trans-saccadic integration of preview and target word information. An additional time-course analysis showed that the preview difficulty effect was significant across the full fixation duration distribution on the target word without any evidence on the pretarget word before the boundary. We discuss implications of the accumulating evidence of post-boundary preview difficulty effects for models of eye movement control during reading. KW - Eye tracking KW - reading KW - parafoveal preview benefit KW - delayed parafoveal-on-foveal effects KW - forced fixations Y1 - 2019 U6 - https://doi.org/10.1177/1747021818819990 SN - 1747-0218 SN - 1747-0226 VL - 72 IS - 7 SP - 1632 EP - 1645 PB - Sage Publ. CY - London ER - TY - JOUR A1 - Risch, Julian A1 - Krestel, Ralf T1 - Domain-specific word embeddings for patent classification JF - Data Technologies and Applications N2 - Purpose Patent offices and other stakeholders in the patent domain need to classify patent applications according to a standardized classification scheme. The purpose of this paper is to examine the novelty of an application it can then be compared to previously granted patents in the same class. Automatic classification would be highly beneficial, because of the large volume of patents and the domain-specific knowledge needed to accomplish this costly manual task. However, a challenge for the automation is patent-specific language use, such as special vocabulary and phrases. Design/methodology/approach To account for this language use, the authors present domain-specific pre-trained word embeddings for the patent domain. The authors train the model on a very large data set of more than 5m patents and evaluate it at the task of patent classification. To this end, the authors propose a deep learning approach based on gated recurrent units for automatic patent classification built on the trained word embeddings. Findings Experiments on a standardized evaluation data set show that the approach increases average precision for patent classification by 17 percent compared to state-of-the-art approaches. In this paper, the authors further investigate the model’s strengths and weaknesses. An extensive error analysis reveals that the learned embeddings indeed mirror patent-specific language use. The imbalanced training data and underrepresented classes are the most difficult remaining challenge. Originality/value The proposed approach fulfills the need for domain-specific word embeddings for downstream tasks in the patent domain, such as patent classification or patent analysis. KW - Deep learning KW - Document classification KW - Word embedding KW - Patents Y1 - 2019 U6 - https://doi.org/10.1108/DTA-01-2019-0002 SN - 2514-9288 SN - 2514-9318 VL - 53 IS - 1 SP - 108 EP - 122 PB - Emerald Group Publishing Limited CY - Bingley ER - TY - JOUR A1 - Ripoll, Jean-Francois A1 - Loridan, Vivien A1 - Denton, Michael H. A1 - Cunningham, Gregory A1 - Reeves, G. A1 - Santolik, O. A1 - Fennell, Joseph A1 - Turner, Drew L. A1 - Drozdov, Alexander A1 - Villa, Juan Sebastian Cervantes A1 - Shprits, Yuri Y. A1 - Thaller, Scott A. A1 - Kurth, William S. A1 - Kletzing, Craig A. A1 - Henderson, Michael G. A1 - Ukhorskiy, Aleksandr Y. T1 - Observations and Fokker-Planck Simulations of the L-Shell, Energy, and Times JF - Journal of geophysical research : Space physics N2 - The evolution of the radiation belts in L-shell (L), energy (E), and equatorial pitch angle (alpha(0)) is analyzed during the calm 11-day interval (4-15 March) following the 1 March 2013 storm. Magnetic Electron and Ion Spectrometer (MagEIS) observations from Van Allen Probes are interpreted alongside 1D and 3D Fokker-Planck simulations combined with consistent event-driven scattering modeling from whistler mode hiss waves. Three (L, E, alpha(0)) regions persist through 11 days of hiss wave scattering; the pitch angle-dependent inner belt core (L similar to <2.2 and E < 700 keV), pitch angle homogeneous outer belt low-energy core (L > similar to 5 and E similar to < 100 keV), and a distinct pocket of electrons (L similar to [4.5, 5.5] and E similar to [0.7, 2] MeV). The pitch angle homogeneous outer belt is explained by the diffusion coefficients that are roughly constant for alpha(0) similar to <60 degrees, E > 100 keV, 3.5 < L < L-pp similar to 6. Thus, observed unidirectional flux decays can be used to estimate local pitch angle diffusion rates in that region. Top-hat distributions are computed and observed at L similar to 3-3.5 and E = 100-300 keV. KW - radiation belts KW - wave-particle interactions KW - electron lifetime KW - pitch angle diffusion coefficient KW - hiss waves Y1 - 2018 U6 - https://doi.org/10.1029/2018JA026111 SN - 2169-9380 SN - 2169-9402 VL - 124 IS - 2 SP - 1125 EP - 1142 PB - American Geophysical Union CY - Washington ER - TY - JOUR A1 - Ringeling, Arthur A1 - Reichard, Christoph T1 - Some Reflections on the Development of Educaton for Public Administration in Europe JF - Public Administration in Europe : The Contribution of EGPA Y1 - 2019 SN - 978-3-319-92855-5 SP - 203 EP - 212 PB - Springer CY - Cham ER - TY - JOUR A1 - Ringel, Lisa Maria A1 - Somogyvári, Márk A1 - Jalali, Mohammadreza A1 - Bayer, Peter T1 - Comparison of hydraulic and tracer tomography for discrete fracture network inversion JF - Geosciences N2 - Fractures serve as highly conductive preferential flow paths for fluids in rocks, which are difficult to exactly reconstruct in numerical models. Especially, in low-conductive rocks, fractures are often the only pathways for advection of solutes and heat. The presented study compares the results from hydraulic and tracer tomography applied to invert a theoretical discrete fracture network (DFN) that is based on data from synthetic cross-well testing. For hydraulic tomography, pressure pulses in various injection intervals are induced and the pressure responses in the monitoring intervals of a nearby observation well are recorded. For tracer tomography, a conservative tracer is injected in different well levels and the depth-dependent breakthrough of the tracer is monitored. A recently introduced transdimensional Bayesian inversion procedure is applied for both tomographical methods, which adjusts the fracture positions, orientations, and numbers based on given geometrical fracture statistics. The used Metropolis-Hastings-Green algorithm is refined by the simultaneous estimation of the measurement error’s variance, that is, the measurement noise. Based on the presented application to invert the two-dimensional cross-section between source and the receiver well, the hydraulic tomography reveals itself to be more suitable for reconstructing the original DFN. This is based on a probabilistic representation of the inverted results by means of fracture probabilities. KW - hydraulic tomography KW - tracer tomography KW - DFN KW - Bayesian inversion KW - heterogeneity KW - fracture KW - hydrogeophysics Y1 - 2019 U6 - https://doi.org/10.3390/geosciences9060274 SN - 2076-3263 VL - 9 IS - 6 PB - MDPI CY - Basel ER - TY - JOUR A1 - Rinaldi, G. A1 - Formisano, M. A1 - Kappel, David A1 - Capaccioni, F. A1 - Bockelee-Morvan, D. A1 - Cheng, Y-C A1 - Vincent, J-B A1 - Deshapriya, P. A1 - Arnold, G. A1 - Capria, M. T. A1 - Ciarniello, M. A1 - De Sanctis, M. C. A1 - Doose, L. A1 - Erard, S. A1 - Federico, C. A1 - Filacchione, G. A1 - Fink, U. A1 - Leyrat, C. A1 - Longobardo, A. A1 - Magni, G. A1 - Mighorini, A. A1 - Mottola, S. A1 - Naletto, G. A1 - Raponi, A. A1 - Taylor, F. A1 - Tosi, F. A1 - Tozzi, G. P. A1 - Salatti, M. T1 - Analysis of night-side dust activity on comet 67P observed by VIRTIS-M BT - a new method to constrain the thermal inertia on the surface JF - Astronomy and astrophysics : an international weekly journal N2 - On 2015 July 18, near perihelion at a heliocentric distance of 1.28 au, the Visible InfraRed Thermal Imaging Spectrometer (VIRTIS-M) on board the Rosetta spacecraft had the opportunity of observing dust activity in the inner coma with a view of the night side (shadowed side) of comet 67P/Churyumov-Gerasimenko. At the time of the measurements we present here, we observe a dust plume that originates on the far side of the nucleus. We are able to identify the approximate location of its source at the boundary between the Hapi and Anuket regions, and we find that it has been in darkness for some hours before the observation. Assuming that this time span is equal to the conductive time scale, we obtain a thermal inertia in the range 25-36 W K-1 m(-2) s(-1/2). These thermal inertia values can be used to verify with a 3D finite-element method (REM) numerical code whether the surface and subsurface temperatures agree with the values found in the literature. We explored three different configurations: (1) a layer of water ice mixed with dust beneath a dust mantle of 5 mm with thermal inertia of 36 J m(-2) K-1 S-0.5 ; (2) the same structure, but with thermal inertia of 100 J m(-2) K-1 S-0.5; (3) an ice-dust mixture that is directly exposed. Of these three configurations, the first seems to be the most reasonable, both for the low thermal inertia and for the agreement with the surface and subsurface temperatures that have been found for the comet 67P/Churyumov-Gerasimenko. The spectral properties of the plume show that the visible dust color ranged from 16 +/- 4.8%/100 nm to 13 +/- 2.6%/100 nm, indicating that this plume has no detectable color gradient. The morphology of the plume can be classified as a narrow jet that has an estimated total ejected mass of between 6 and 19 tons when we assume size distribution indices between -2.5 and -3. KW - comets: general KW - comets: individual: 67P/Churyumov-Gerasimenko KW - infrared: planetary systems Y1 - 2019 U6 - https://doi.org/10.1051/0004-6361/201834907 SN - 1432-0746 VL - 630 PB - EDP Sciences CY - Les Ulis ER - TY - JOUR A1 - Riese, Miriam A1 - Thieken, Annegret A1 - Müggenburg, Eva A1 - Bubeck, Philip T1 - Synergies and barriers of the possible integration of heavy rainfall for the implementation of the European Floods Directive JF - Hydrologie und Wasserbewirtschaftung N2 - The heavy rainfall events in recent years have caused great damage, which has increased the public awareness of the topic of heavy rainfall. For this reason, this article discusses how a systematic integration of heavy rainfall within the framework of the European Floods Directive would be possible and reasonable. For this purpose, a matrix covering possible synergies and barriers was created for all steps of the directive, which were then examined in 15 semi-structured interviews with representatives from specialized administration, the private sector and academia. Although there are some synergies, the additional effort required, especially regarding the identification of the risk areas and the higher level of detail required for risk modeling, would be so high that the European Floods Directive cannot be deemed to be an appropriate framework for heavy rainfall risk management. Nevertheless, there is a need for action, e.g. in the field of self-protection, improved risk communication to the population, combined with increased public and interagency cooperation. T2 - Synergien und Hemmnisse einer möglichen Integration von Starkregen in die Bearbeitung der europäischen Hochwasserrisikomanagementrichtlinie KW - Flood KW - heavy rainfall KW - EU Floods Directive KW - Federal Water Act KW - Hochwasser KW - Starkregen KW - Hochwasserrisikomanagementrichtlinie KW - Wasserhaushaltsgesetz Y1 - 2019 U6 - https://doi.org/10.5675/HyWa_2019.4_1 SN - 1439-1783 VL - 63 IS - 4 SP - 193 EP - 202 PB - Bundesanst. für Gewässerkunde CY - Koblenz ER - TY - JOUR A1 - Rienks, Emile D. L. A1 - Wimmer, S. A1 - Sanchez-Barriga, Jaime A1 - Caha, O. A1 - Mandal, Partha Sarathi A1 - Ruzicka, J. A1 - Ney, A. A1 - Steiner, H. A1 - Volobuev, V. V. A1 - Groiss, H. A1 - Albu, M. A1 - Kothleitner, G. A1 - Michalicka, J. A1 - Khan, S. A. A1 - Minar, J. A1 - Ebert, H. A1 - Bauer, G. A1 - Freyse, F. A1 - Varykhalov, Andrei A1 - Rader, Oliver A1 - Springholz, G. T1 - Large magnetic gap at the Dirac point in Bi2Te3/MnBi2Te4 heterostructures JF - Nature : the international weekly journal of science N2 - Magnetically doped topological insulators enable the quantum anomalous Hall effect (QAHE), which provides quantized edge states for lossless charge-transport applications(1-8). The edge states are hosted by a magnetic energy gap at the Dirac point(2), but hitherto all attempts to observe this gap directly have been unsuccessful. Observing the gap is considered to be essential to overcoming the limitations of the QAHE, which so far occurs only at temperatures that are one to two orders of magnitude below the ferromagnetic Curie temperature, T-C (ref. (8)). Here we use low-temperature photoelectron spectroscopy to unambiguously reveal the magnetic gap of Mn-doped Bi2Te3, which displays ferromagnetic out-of-plane spin texture and opens up only below T-C. Surprisingly, our analysis reveals large gap sizes at 1 kelvin of up to 90 millielectronvolts, which is five times larger than theoretically predicted(9). Using multiscale analysis we show that this enhancement is due to a remarkable structure modification induced by Mn doping: instead of a disordered impurity system, a self-organized alternating sequence of MnBi2Te4 septuple and Bi2Te3 quintuple layers is formed. This enhances the wavefunction overlap and size of the magnetic gap(10). Mn-doped Bi2Se3 (ref. (11)) and Mn-doped Sb2Te3 form similar heterostructures, but for Bi2Se3 only a nonmagnetic gap is formed and the magnetization is in the surface plane. This is explained by the smaller spin-orbit interaction by comparison with Mn-doped Bi2Te3. Our findings provide insights that will be crucial in pushing lossless transport in topological insulators towards room-temperature applications. Y1 - 2019 U6 - https://doi.org/10.1038/s41586-019-1826-7 SN - 0028-0836 SN - 1476-4687 VL - 576 IS - 7787 SP - 423 EP - 428 PB - Nature Publ. Group CY - London ER - TY - JOUR A1 - Riemer, Nathanael T1 - Messianische Juden und ihr Beitrag zu deutsch-jüdischen und deutsch-israelischen Begegnungen T1 - Messianic Jews and their Contribution to German-Jewish and German-Israeli Encounters JF - Juden und Nichtjuden nach der Shoah : Begegnungen in Deutschland Y1 - 2019 SN - 978-3-11-057008-3 SN - 978-3-11-056729-8 SN - 978-3-11-073681-6 U6 - https://doi.org/10.1515/9783110570083-013 SP - 167 EP - 194 PB - De Gruyter CY - Berlin ER - TY - JOUR A1 - Riemer, Nastja A1 - Shipman, Michael A1 - Wessig, Pablo A1 - Schmidt, Bernd T1 - Iterative arylation of itaconimides with diazonium salts through electrophilic palladium catalysis BT - divergent beta-H-Elimination pathways in repetitive Matsuda-Heck reactions JF - The journal of organic chemistry N2 - N-Arylitaconimides, accessible from maleic anhydride, anilines, and paraformaldehyde, react with arene diazonium salts in Pd-catalyzed Matsuda-Heck arylation to the pharmacologically relevant E-configured 3-arylmethylidene pyrrolidine-2,5-diones (also known as arylmethylidene succinimides) through exo-selective beta-H-elimination. The coupling proceeds at ambient temperature with the simple and easy-to-handle precatalyst Pd-II-acetate under ligandand base-free conditions. Notable features are high isolated yields, regio- and stereoselectivities, and short reaction times. In a comparative investigation, aryl iodides, bromides, and triflates were shown to be inferior coupling reagents in this reaction. The 3-arylmethylidene pyrrolidine-2,5-diones undergo second Matsuda-Heck coupling, which proceeds via endo-selective beta-H-elimination to give diarylmethyl-substituted maleimides as coupling products. These products can also be accessed in one flask by sequential addition of different arene diazonium salts to the starting itaconimide. The potential of 3-arylmethylidene succinimides as photoswitches was tested. Upon irradiation of the E-isomer at 300 nm, partial isomerization to the Z-isomer (E/Z = 65:35 in the photostationary state) was observed. The isomerization was found to be nearly completely reversible by irradiating the mixture at 400 nm. Y1 - 2019 U6 - https://doi.org/10.1021/acs.joc.9b00627 SN - 0022-3263 VL - 84 IS - 9 SP - 5732 EP - 5746 PB - American Chemical Society CY - Washington ER - TY - JOUR A1 - Riederer, Bernhard Edwin A1 - Verwiebe, Roland A1 - Seewann, Lena T1 - Changing social stratification in Vienna BT - why are migrants declining from the middle of society? JF - Population, Space and Place N2 - The social stratification systems of major cities are transforming all around the globe. International research has been discussing this trend and focus on changing occupational classes. However, the precise effects on urban households, taking social welfare and different family arrangements into account, as well as the precise effects on people with a migration background, remain unclear. Using the example of Vienna, this article examines immigration as a key dimension for social stratification. Although household income structures in Austria have remained comparatively stable over the past two decades, the middle-income share in Vienna (as the sole metropolis in Austria) has dramatically decreased. This predominantly affects people from migrant backgrounds. Using a comprehensive dataset (two waves, N = 16,700 participants, including N = 4,500 migrants), we systematically examine the role of (a) migration-specific and (b) education- and employment-related factors to explain the decline of middle-income migrants. The results of multinomial logistic regression and decomposition analyses suggest that transformations in the labour market is the main driving force. Changing migrant characteristics have counteracted this process. If today's migrants displayed similar showed characteristics (e.g., origin and educational levels) to those prevalent in the past decade, the ethnic stratification disparities would have been even stronger. Y1 - 2019 U6 - https://doi.org/10.1002/psp.2215 SN - 1544-8444 SN - 1544-8452 VL - 25 IS - 2 SP - 1 EP - 11 PB - Wiley-Blackwell CY - New York ER - TY - JOUR A1 - Riedel, Simona A1 - Siemiatkowska, Beata A1 - Watanabe, Mutsumi A1 - Müller, Christina S. A1 - Schünemann, Volker A1 - Hoefgen, Rainer A1 - Leimkühler, Silke T1 - The ABCB7-Like Transporter PexA in Rhodobacter capsulatus Is Involved in the Translocation of Reactive Sulfur Species JF - Frontiers in Microbiology N2 - The mitochondrial ATP-binding cassette (ABC) transporters ABCB7 in humans, Atm1 in yeast and ATM3 in plants, are highly conserved in their overall architecture and particularly in their glutathione binding pocket located within the transmembrane spanning domains. These transporters have attracted interest in the last two decades based on their proposed role in connecting the mitochondrial iron sulfur (Fe–S) cluster assembly with its cytosolic Fe–S cluster assembly (CIA) counterpart. So far, the specific compound that is transported across the membrane remains unknown. In this report we characterized the ABCB7-like transporter Rcc02305 in Rhodobacter capsulatus, which shares 47% amino acid sequence identity with its mitochondrial counterpart. The constructed interposon mutant strain in R. capsulatus displayed increased levels of intracellular reactive oxygen species without a simultaneous accumulation of the cellular iron levels. The inhibition of endogenous glutathione biosynthesis resulted in an increase of total glutathione levels in the mutant strain. Bioinformatic analysis of the amino acid sequence motifs revealed a potential aminotransferase class-V pyridoxal-50-phosphate (PLP) binding site that overlaps with the Walker A motif within the nucleotide binding domains of the transporter. PLP is a well characterized cofactor of L-cysteine desulfurases like IscS and NFS1 which has a role in the formation of a protein-bound persulfide group within these proteins. We therefore suggest renaming the ABCB7-like transporter Rcc02305 in R. capsulatus to PexA for PLP binding exporter. We further suggest that this ABC-transporter in R. capsulatus is involved in the formation and export of polysulfide species to the periplasm. KW - ABCB7 KW - persulfide KW - polysulfide KW - glutathione KW - ABC transporter KW - Walker A motif KW - pyridoxal-50-phosphate Y1 - 2019 U6 - https://doi.org/10.3389/fmicb.2019.00406 SN - 1664-302X VL - 10 PB - Frontiers Media CY - Lausanne ER - TY - THES A1 - Riedel, Simona T1 - Characterization of Mitochondrial ABC Transporter Homologues in Rhodobacter capsulatus T1 - Charakterisierung von Homologen zu mitochondrialen ABC Transportern in Rhodobacter capsulatus N2 - ABC-Transporter (ABC abgeleitet von ATP-Binding Cassette) gehören zur Klasse der Transmembran-Proteine und kommen in allen drei Domänen des Lebens vor. Ihr struktureller Aufbau ist dabei stets ähnlich, wohingegen konservierte Proteinsequenzen selten vorkommen. Die Transporter sind aus zwei lipophilen, membran-durchspannenden Domänen, welche auch TMDs (abgeleitet von Transmembrane spanning Domains) genannt werden, und zwei hydrophilen Domänen, die auch NBDs (abgeleitet von Nucleotide Binding Domains) genannt werden, aufgebaut. Die Vielzahl der durch ABC-Transporter beförderten Moleküle erklärt dabei die enorme Anzahl diverser TMDs. In den Mitochondrien des Menschen findet man vier ABC-Transporter (ABCB6, ABCB7, ABCB8 und ABCB10) mit funktionellen Homologen in Hefen und Pflanzen. In Bakterien hingegen können, mit Ausnahme von Rickettsiae und verwandten Bakterien, keine Homologen zu mitochondrialen ABC-Transportern identifiziert werden. Die transportierten Moleküle sowie die damit verbundenen Funktionen sind im Einzelnen bislang weitgehend unbekannt. ABCB7 und die entsprechenden Homologen in Hefen (Atm1) und in Pflanzen (ATM3) konnten mit der cytosolischen Eisen-Schwefel-Cluster-Biosynthese in Zusammenhang gebracht werden. Eine schwefelhaltige Verbindung der mitochondrialen Matrix wird mit Hilfe dieses Transporters der cytosolischen Eisen-Schwefel-Cluster-Assemblierung zur Verfügung gestellt. Die 2014 publizierten Kristallstrukturen von Atm1 (Hefe) und Atm1 aus Novosphingobium aromaticivorans offenbarten dabei eine hoch konservierte Glutathion-Bindetasche innerhalb der TMDs für ABCB7 Homologe. In der Modellpflanze Arabidopsis thaliana konnte ATM3 zusätzlich mit der Biosynthese des Molybdän-Cofaktors in Verbindung gebracht werden. In der vorliegenden Arbeit wurde das α-Proteobacterium Rhodobacter capsulatus als Modellorganismus genutzt, um mitochondriale ABC-Transporter Homologe zu untersuchen. Das Bakterium enthält zwei ABC-Transporter-Gene, rcc03139 und rcc02305, die mit den humanen mitochondrialen Transportern große Sequenzübereinstimmungen aufweisen (rcc03139: 41 % respektive 38 % Identität mit ABCB8 und ABCB10, rcc02305: 47 % identisch mit ABCB7 und ABCB6). Mit Hilfe erzeugter Interposon-Mutanten (Δrcc02305I und Δrcc03139I) konnte erstmals gezeigt werden, dass bakterielle Transporter funktionell sehr ähnliche Aufgaben wie die mitochondrialen ABC-Transporter übernehmen. Beispielsweise akkumulierten beide Interposon-Mutanten reaktive Sauerstoff-Spezies (ROS) ohne gleichzeitige Akkumulation von Glutathion oder Eisen. Weiterhin konnten wir zeigen, dass, ähnlich wie bereits für ATM3 postuliert, die Biosynthese des Molybdän-Cofaktors in Δrcc02305I verändert ist. Mit Hilfe einer lebensfähigen Doppelmutante, in der beide ABC-Transporter-Gene gleichzeitig deletiert wurden, konnten wir ausschließen, dass die beiden bakteriellen ABC-Transporter grundsätzlich redundante Funktionen haben. Durch die Analyse des Proteoms von Δrcc03139I im Vergleich zu der des Wildtyps, konnte eine extreme Beeinflussung der Tetrapyrrol Biosynthese sowie entsprechender Zielproteine identifiziert werden. Dies konnte zusätzlich durch die Quantifizierung einzelner Zwischenprodukte der Biosynthese bestätigt werden. Im Gegensatz dazu konnte anhand der Analyse des Proteoms in Verbindung mit analytischen Methoden in Δrcc02305I ein Ungleichgewicht in der Schwefelverteilung identifiziert werden. Zusammen mit der Entdeckung einer Pyridoxalphosphat (PLP) Bindestelle in Rcc02305 und anderen ABCB7-artigen Transportern, welche direkt mit dem Walker-A-Motiv der NBD überlappt, ermöglichte dies eine völlig neue Theorie, wie die schwefelhaltige Verbindung transportiert werden kann. Wir gehen davon aus, dass an PLP zunächst ein Persulfid produziert wird, welches unmittelbar mit dem Glutathion der transmembranen Bindetasche zu einem gemischten Polysulfid reagiert. Im Anschluss daran wird die ATP-Bindestelle frei und die Hydrolyse des ATPs löst eine Konformationsänderung aus, welche das gemischte Polysulfid ins Periplasma bzw. in den intermembranen Raum freigibt. N2 - ATP-binding cassette (ABC) transporters are present in all kingdoms of life and enable active transport of various different molecules across biological membranes. They all share an overall architecture of two lipophilic transmembrane spanning domains (TMDs) traversing the membrane and two hydrophilic nucleotide binding domains (NBDs) usually lacking sequence identity. The multiplicity in transported molecules is accompanied by extreme diversity in TMDs. Human mitochondria harbor four ABC transporters, namely ABCB6, ABCB7, ABCB8 and ABCB10 with functional homologues in yeast and plants. Except the ones found in Rickettsiae and related bacteria mitochondrial ABC transporters are absent in bacteria. In addition to converting energy mitochondria are important platforms for biosynthesizing various cofactors as iron sulfur clusters, molybdenum cofactor (Moco) or heme. ABCB7 (Atm1 in yeast) has been shown to connect mitochondrial with cytosolic iron sulfur cluster assembly by exporting a yet unknown sulfur containing molecule. In addition, TMDs of Atm1 display a glutathione binding pocket accessible from the matrix which has been identified in all ABCB7-like transporters and also exists in a bacterial ABC transporter homologue of Atm1 in Novosphingobium aromaticivorans. In addition, ATM3, a plant mitochondrial homologous ABC transporter to human ABCB7, has been associated with biosynthesizing Moco. In this study we used the α-proteobacterium Rhodobacter capsulatus as a model organism to characterize mitochondrial ABC transporter homologues. R. capsulatus contains two homologues to mitochondrial ABC transporters with the corresponding gene loci rcc03139 and rcc02305. They share 38 to 47 % sequence identities to human mitochondrial ABC transporters ABCB8/ABCB10 and ABCB7/ABCB6, respectively. We created interposon mutants lacking either rcc03139 or rcc02305, analyzed the physiological effects on R. capsulatus and compared the findings especially to eukaryotic deletion studies. A viable bacterial double mutant strain lacking both mitochondrial ABC transporters was constructed to investigate possible overlapping functions. Both R. capsulatus single mutants showed a severe accumulation of intracellular reactive oxygen species (ROS) in comparison to ∆nifDK which revealed to be additive in the double mutant. In the proteome of ∆rcc03139I abundancies of tetrapyrrole related proteins were significantly increased in comparison to the proteome of parental strain, which was further validated by reduced amounts of tetrapyrrole intermediates in ∆rcc03139. In contrast, in ∆rcc02305I total glutathione (GSH) was elevated when endogenous GSH biosynthesis was inhibited. In conjunction with proteomic studies we uncovered misbalanced sulfur distribution in ∆rcc02305I. Furthermore, strains lacking Rcc02305 accumulated cyclic pyranopterin monophosphate (cPMP), an intermediate of Moco biosynthesis, as it was already shown for the deletion strain of the eukaryotic counterpart ATM3 in plants. In contrast single mutant strain Δrcc03139I neither accumulated cPMP nor glutathione. Bioinformatic analysis of the amino acid sequence of Rcc02305 revealed a pyridoxal 5´phosphate (PLP) binding site which overlaps with Walker A within the NBDs of Rcc02305 and other ABCB7-like transporters. The PLP cofactor is well studied in C-DES (L-cysteine/cystine lyase from Synechocystis) for persulfide production and in L-cysteine desulfurases such as IscS and NFS1 for its role in formation of protein-bound persulfides. Based on our findings we are able to propose a new modality for the transport of the sulfur containing molecule: first of all, the transporter produces a highly reactive persulfide which is then subsequently trapped by glutathione polysulfide, already bound within the binding pocket in TMDs. Walker A becomes accessible for ATP and after hydrolysis the mixed polysulfide is released. Based on our studies we are convinced that both mitochondrial ABC transporter homologues fulfil distinct roles in R. capsulatus: Rcc02305 is a representative of Atm1/ABCB7-like transporters and important for proper sulfur distribution by exporting persulfides. In contrast Rcc03139 is a representative of ABCB6/ABCB10 related transporters and involved in biosynthesizing tetrapyrroles. KW - Rhodobacter capsulatus KW - ABC Transporter KW - ABCB7 KW - Mitochondrien KW - PLP-Walker A-Überlagerung KW - Rhodobacter capsulatus KW - ABC transporter KW - ABCB7 KW - mitochondria KW - PLP-Walker A-overlap Y1 - 2019 ER - TY - JOUR A1 - Rieck, Christoph Paul Kurt A1 - Geiger, Daniel A1 - Munkert, Jennifer A1 - Messerschmidt, Katrin A1 - Petersen, Jan A1 - Strasser, Juliane A1 - Meitinger, Nadine A1 - Kreis, Wolfgang T1 - Biosynthetic approach to combine the first steps of cardenolide formation in Saccharomyces cerevisiae JF - Microbiologyopen N2 - A yeast expression plasmid was constructed containing a cardenolide biosynthetic module, referred to as CARD II, using the AssemblX toolkit, which enables the assembly of large DNA constructs. The genes cloned into the vector were (a) a Δ5‐3β‐hydroxysteroid dehydrogenase gene from Digitalis lanata, (b) a steroid Δ5‐isomerase gene from Comamonas testosteronii, (c) a mutated steroid‐5β‐reductase gene from Arabidopsis thaliana, and (d) a steroid 21‐hydroxylase gene from Mus musculus. A second plasmid bearing an ADR/ADX fusion gene from Bos taurus was also constructed. A Saccharomyces cerevisiae strain bearing these two plasmids was generated. This strain, termed “CARD II yeast”, was capable of producing 5β‐pregnane‐3β,21‐diol‐20‐one, a central intermediate in 5β‐cardenolide biosynthesis, starting from pregnenolone which was added to the culture medium. Using this approach, five consecutive steps in cardenolide biosynthesis were realized in baker's yeast. Y1 - 2019 U6 - https://doi.org/10.1002/mbo3.925 SN - 2045-8827 VL - 8 IS - 12 PB - Wiley CY - Hoboken ER - TY - JOUR A1 - Riechelman, Dana F. C. A1 - Fohlmeister, Jens Bernd A1 - Kluge, Tobias A1 - Jochum, Klaus Peter A1 - Richter, Detlev K. A1 - Deininger, Michael A1 - Friedrich, Ronny A1 - Frank, Norbert A1 - Scholz, Denis T1 - Evaluating the potential of tree-ring methodology for cross-dating of three annually laminated stalagmites from Zoolithencave (SE Germany) JF - Quaternary geochronology : the international research and review journal on advances in quaternary dating techniques N2 - Three small stalagmites from Zoolithencave (southern Germany) show visible laminae, which consist of a clear and a brownish, pigmented layer pair. This potentially provides the opportunity to construct precise chronologies by counting annual laminae. The growth period of the three stalagmites was constrained by the C-14 bomb peak in the youngest part of all three stalagmites and C-14-dating of a piece of charcoal in the consolidated base part of stalagmite Zoo-rez-2. These data suggest an age of AD 1970 for the top laminae and a lower age limit of AD 1973-1682 or AD 1735-1778. Laminae were counted and their thickness determined on scanned thin sections of all stalagmites. On stalagmites Zoo-rez-1 and -2, three tracks were measured near the growth axes, each separated into three sections at prominent anchor laminae (I, II, III). Each section was replicated three times (a, b, c). For Zoo-rez-3, only one track was measured. The total number of laminae counted for Zoo-rez-1 ranges from 138 to 177, for Zoo-rez-2 from 119 to 145, and for Zoo-rez-3 from 159 to 166. The numbers agree well with the range constrained by the bomb peak and the age of the charcoal, which supports the annual origin of the laminae. The replicated measurements of the different tracks as well as the three different tracks on the stalagmites Zoo-rez-1 and-2 were cross-dated using the TSAP-Win (R) tree-ring software. This software is very useful for cross-dating because it enables to insert or delete missing or false laminae as well as identifying common pattern by shifting the series back and forth in time. However, visual inspection of the thin sections was necessary to confirm detection of missing or false laminae by TSAP-Win (R). For all three Zoo-rez speleothems, crossdating of the mean lamina thickness series was not possible due to a missing common pattern. The cross-dating procedure results in three refined chronologies for the three Zoo-rez stalagmites of ranging from AD 1821-1970 (Zoo-rez-1), AD 1835-1970 (Zoo-rez-2), and AD 1808-1970 (Zoo-rez-3). KW - Speleothems KW - Annual laminae KW - Lamina thickness KW - C-14 bomb peak KW - Tree-ring software KW - Cross-dating Y1 - 2019 U6 - https://doi.org/10.1016/j.quageo.2019.04.001 SN - 1871-1014 SN - 1878-0350 VL - 52 SP - 37 EP - 50 PB - Elsevier CY - Oxford ER - TY - JOUR A1 - Riebe, Daniel A1 - Erler, Alexander A1 - Brinkmann, Pia A1 - Beitz, Toralf A1 - Löhmannsröben, Hans-Gerd A1 - Gebbers, Robin T1 - Comparison of Calibration Approaches in Laser-Induced Breakdown Spectroscopy for Proximal Soil Sensing in Precision Agriculture JF - Sensors N2 - The lack of soil data, which are relevant, reliable, affordable, immediately available, and sufficiently detailed, is still a significant challenge in precision agriculture. A promising technology for the spatial assessment of the distribution of chemical elements within fields, without sample preparation is laser-induced breakdown spectroscopy (LIBS). Its advantages are contrasted by a strong matrix dependence of the LIBS signal which necessitates careful data evaluation. In this work, different calibration approaches for soil LIBS data are presented. The data were obtained from 139 soil samples collected on two neighboring agricultural fields in a quaternary landscape of northeast Germany with very variable soils. Reference analysis was carried out by inductively coupled plasma optical emission spectroscopy after wet digestion. The major nutrients Ca and Mg and the minor nutrient Fe were investigated. Three calibration strategies were compared. The first method was based on univariate calibration by standard addition using just one soil sample and applying the derived calibration model to the LIBS data of both fields. The second univariate model derived the calibration from the reference analytics of all samples from one field. The prediction is validated by LIBS data of the second field. The third method is a multivariate calibration approach based on partial least squares regression (PLSR). The LIBS spectra of the first field are used for training. Validation was carried out by 20-fold cross-validation using the LIBS data of the first field and independently on the second field data. The second univariate method yielded better calibration and prediction results compared to the first method, since matrix effects were better accounted for. PLSR did not strongly improve the prediction in comparison to the second univariate method. KW - laser-induced breakdown spectroscopy KW - LIBS KW - proximal soil sensing KW - soil nutrients KW - elemental composition Y1 - 2019 U6 - https://doi.org/10.3390/s19235244 SN - 1424-8220 VL - 19 IS - 23 PB - MDPI CY - Basel ER - TY - JOUR A1 - Richter, Dirk A1 - Marx, Alexandra T1 - Quereinsteigende und grundständig ausgebildete Lehrkräfte im Vorbereitungsdienst in Berlin: Eine vergleichende Analyse ihres Einsatzortes T1 - Second career teachers and regularly trained teachers during induction phase in Berlin: a comparison of the schools they are assigned to JF - Zeitschrift für Erziehungswissenschaft N2 - Viele Bundesländer stellen aktuell verstärkt Quer- und Seiteneinsteiger/innen in den Schuldienst ein. Aufgrund der geringeren berufsspezifischen Qualifizierung der Quer- und Seiteneinsteiger/innen kann vermutet werden, dass deren Integration in das Kollegium für Schulen häufig mit besonderem Aufwand verbunden ist. Aus diesem Grund soll in diesem Beitrag der Frage nachgegangen werden, an welchen Schularten und welchen Schulen Quereinsteiger/innen eingesetzt werden. Auf Basis der Schulstatistik des Landes Berlin für das Schuljahr 2016/17 wird untersucht, ob sich der Anteil von Referendar/inn/en und Quereinsteiger/inne/n am Lehrerkollegium der Schule in Abhängigkeit von der Komposition der Schülerschaft unterscheidet. Ausgewertet wurden die Daten von 2645 Personen, von denen 901 als Quereinsteigende unterrichten. Die Ergebnisse zeigen, dass ein Großteil der Quereinsteiger/innen an Grundschulen eingesetzt werden und hier insbesondere an solchen, die sich durch eine sozial benachteiligte Schülerschaft auszeichnen. Die Ergebnisse verdeutlichen die Notwendigkeit einer verstärkten Steuerung in der Zuweisung von Quereinsteiger/innen an Schulen. N2 - Many federal states currently employ teachers without a regular teaching certificate (alternatively certified teachers). To date, little is known about the schools they serve in. It can be assumed that it is highly challenging for schools to integrate new staff members without proper professional training into their faculty. We therefore investigate the characteristics of schools that differ in the percentages of alternatively certified teachers and student teachers. The present study uses official school statistics of the academic year 2016/17 provided by the state of Berlin. The data include information about alternatively certified teachers (Quereinsteiger) and student teachers (Referendare) and the student body of their assigned schools. The sample consists of 2645 individuals including 901 alternatively certified teachers. The data show that alternatively certified teachers are primarily assigned to primary schools with high proportions of socially underprivileged children. The results emphasize the need for an improved mechanism for assigning alternatively qualified teachers to schools. KW - Alternatively certified teachers KW - Hard to staff schools KW - Second career teachers KW - Social inequality KW - Teacher education KW - Teacher assignment Y1 - 2019 U6 - https://doi.org/10.1007/s11618-019-00915-y SN - 1434-663X SN - 1862-5215 VL - 22 IS - 6 SP - 1385 EP - 1395 PB - Springer CY - Wiesbaden ER - TY - JOUR A1 - Richter, Dirk A1 - Kleinknecht, Marc A1 - Gröschner, Alexander T1 - What motivates teachers to participate in professional development? An empirical investigation of motivational orientations and the uptake of formal learning opportunities JF - Teaching and Teacher Education Y1 - 2019 U6 - https://doi.org/10.1016/j.tate.2019.102929 SN - 0742-051X VL - 86 PB - Elsevier CY - Oxford ER - TY - GEN A1 - Richly, Keven T1 - A survey on trajectory data management for hybrid transactional and analytical workloads T2 - IEEE International Conference on Big Data (Big Data) N2 - Rapid advances in location-acquisition technologies have led to large amounts of trajectory data. This data is the foundation for a broad spectrum of services driven and improved by trajectory data mining. However, for hybrid transactional and analytical workloads, the storing and processing of rapidly accumulated trajectory data is a non-trivial task. In this paper, we present a detailed survey about state-of-the-art trajectory data management systems. To determine the relevant aspects and requirements for such systems, we developed a trajectory data mining framework, which summarizes the different steps in the trajectory data mining process. Based on the derived requirements, we analyze different concepts to store, compress, index, and process spatio-temporal data. There are various trajectory management systems, which are optimized for scalability, data footprint reduction, elasticity, or query performance. To get a comprehensive overview, we describe and compare different exciting systems. Additionally, the observed similarities in the general structure of different systems are consolidated in a general blueprint of trajectory management systems. KW - Trajectory Data Management KW - Spatio-Temporal Data KW - Survey Y1 - 2019 SN - 978-1-5386-5035-6 U6 - https://doi.org/10.1109/BigData.2018.8622394 SN - 2639-1589 SP - 562 EP - 569 PB - IEEE CY - New York ER - TY - GEN A1 - Richly, Keven T1 - Leveraging spatio-temporal soccer data to define a graphical query language for game recordings T2 - IEEE International Conference on Big Data (Big Data) N2 - For professional soccer clubs, performance and video analysis are an integral part of the preparation and post-processing of games. Coaches, scouts, and video analysts extract information about strengths and weaknesses of their team as well as opponents by manually analyzing video recordings of past games. Since video recordings are an unstructured data source, it is a complex and time-intensive task to find specific game situations and identify similar patterns. In this paper, we present a novel approach to detect patterns and situations (e.g., playmaking and ball passing of midfielders) based on trajectory data. The application uses the metaphor of a tactic board to offer a graphical query language. With this interactive tactic board, the user can model a game situation or mark a specific situation in the video recording for which all matching occurrences in various games are immediately displayed, and the user can directly jump to the corresponding game scene. Through the additional visualization of key performance indicators (e.g.,the physical load of the players), the user can get a better overall assessment of situations. With the capabilities to find specific game situations and complex patterns in video recordings, the interactive tactic board serves as a useful tool to improve the video analysis process of professional sports teams. KW - Spatio-temporal data analysis KW - soccer analytics KW - graphical query language Y1 - 2019 SN - 978-1-5386-5035-6 U6 - https://doi.org/10.1109/BigData.2018.8622159 SN - 2639-1589 SP - 3456 EP - 3463 PB - IEEE CY - New York ER - TY - JOUR A1 - Ribeiro, Haroldo V. A1 - Rybski, Diego A1 - Kropp, Jürgen T1 - Effects of changing population or density on urban carbon dioxide emissions JF - Nature Communications N2 - The question of whether urbanization contributes to increasing carbon dioxide emissions has been mainly investigated via scaling relationships with population or population density. However, these approaches overlook the correlations between population and area, and ignore possible interactions between these quantities. Here, we propose a generalized framework that simultaneously considers the effects of population and area along with possible interactions between these urban metrics. Our results significantly improve the description of emissions and reveal the coupled role between population and density on emissions. These models show that variations in emissions associated with proportionate changes in population or density may not only depend on the magnitude of these changes but also on the initial values of these quantities. For US areas, the larger the city, the higher is the impact of changing its population or density on its emissions; but population changes always have a greater effect on emissions than population density. Y1 - 2019 U6 - https://doi.org/10.1038/s41467-019-11184-y SN - 2041-1723 VL - 10 PB - Nature Publ. Group CY - London ER - TY - JOUR A1 - Rheinwahlt, Aljoscha A1 - Goswami, Bedartha A1 - Bookhagen, Bodo T1 - A network-based flow accumulation algorithm for point clouds BT - Facet-Flow Networks (FFNs) JF - Journal of geophysical research : Earth surface N2 - Flow accumulation algorithms estimate the steady state of flow on real or modeled topographic surfaces and are crucial for hydrological and geomorphological assessments, including delineation of river networks, drainage basins, and sediment transport processes. Existing flow accumulation algorithms are typically designed to compute flows on regular grids and are not directly applicable to arbitrarily sampled topographic data such as lidar point clouds. In this study we present a random sampling scheme that generates homogeneous point densities, in combination with a novel flow path tracing approach-the Facet-Flow Network (FFN)-that estimates flow accumulation in terms of specific catchment area (SCA) on triangulated surfaces. The random sampling minimizes biases due to spatial sampling and the FFN allows for direct flow estimation from point clouds. We validate our approach on a Gaussian hill surface and study the convergence of its SCA compared to the analytical solution. Here, our algorithm outperforms the multiple flow direction algorithm, which is optimized for divergent surfaces. We also compute the SCA of a 6-km(2)-steep, vegetated catchment on Santa Cruz Island, California, based on airborne lidar point-cloud data. Point-cloud-based SCA values estimated by our method compare well with those estimated by the D-infinity or multiple flow direction algorithm on gridded data. The advantage of computing SCA from point clouds becomes relevant especially for divergent topography and for small drainage areas: These are depicted with much more detail due to the higher sampling density of point clouds. KW - point clouds KW - drainage networks KW - lidar KW - tin KW - surface runoff KW - spatial sampling Y1 - 2019 U6 - https://doi.org/10.1029/2018JF004827 SN - 2169-9003 SN - 2169-9011 VL - 124 IS - 7 SP - 2013 EP - 2033 PB - American Geophysical Union CY - Washington ER - TY - JOUR A1 - Reschke, Stefan A1 - Duffus, Benjamin R. A1 - Schrapers, Peer A1 - Mebs, Stefan A1 - Teutloff, Christian A1 - Dau, Holger A1 - Haumann, Michael A1 - Leimkühler, Silke T1 - Identification of YdhV as the First Molybdoenzyme Binding a Bis-Mo-MPT Cofactor in Escherichia coli JF - Biochemistry N2 - The oxidoreductase YdhV in Escherichia coli has been predicted to belong to the family of molybdenum/tungsten cofactor (Moco/Wco)-containing enzymes. In this study, we characterized the YdhV protein in detail, which shares amino acid sequence homology with a tungsten-containing benzoyl-CoA reductase binding the bis-W-MPT (for metal-binding pterin) cofactor. The cofactor was identified to be of a bis-Mo-MPT type with no guanine nucleotides present, which represents a form of Moco that has not been found previously in any molybdoenzyme. Our studies showed that YdhV has a preference for bis-Mo-MPT over bis-W-MPT to be inserted into the enzyme. In-depth characterization of YdhV by X-ray absorption and electron paramagnetic resonance spectroscopies revealed that the bis-Mo-MPT cofactor in YdhV is redox active. The bis-Mo-MPT and bis-W-MPT cofactors include metal centers that bind the four sulfurs from the two dithiolene groups in addition to a cysteine and likely a sulfido ligand. The unexpected presence of a bis-Mo-MPT cofactor opens an additional route for cofactor biosynthesis in E. coli and expands the canon of the structurally highly versatile molybdenum and tungsten cofactors. Y1 - 2019 U6 - https://doi.org/10.1021/acs.biochem.9b00078 SN - 0006-2960 VL - 58 IS - 17 SP - 2228 EP - 2242 PB - American Chemical Society CY - Washington ER - TY - JOUR A1 - Reschke, Maria A1 - Rehfeld, Kira A1 - Laepple, Thomas T1 - Empirical estimate of the signal content of Holocene temperature proxy records JF - Climate of the past : an interactive open access journal of the European Geosciences Union N2 - Proxy records from climate archives provide evidence about past climate changes, but the recorded signal is affected by non-climate-related effects as well as time uncertainty. As proxy-based climate reconstructions are frequently used to test climate models and to quantitatively infer past climate, we need to improve our understanding of the proxy record signal content as well as the uncertainties involved. In this study, we empirically estimate signal-to-noise ratios (SNRs) of temperature proxy records used in global compilations of the middle to late Holocene (last 6000 years). This is achieved through a comparison of the correlation of proxy time series from nearby sites of three compilations and model time series extracted at the proxy sites from two transient climate model simulations: a Holocene simulation of the ECHAM5/MPI-OM model and the Holocene part of the TraCE-21ka simulation. In all comparisons, we found the mean correlations of the proxy time series on centennial to millennial timescales to be low (R < 0.2), even for nearby sites, which resulted in low SNR estimates. The estimated SNRs depend on the assumed time uncertainty of the proxy records, the timescale analysed, and the model simulation used. Using the spatial correlation structure of the ECHAM5/MPI-OM simulation, the estimated SNRs on centennial timescales ranged from 0.05 - assuming no time uncertainty - to 0.5 for a time uncertainty of 400 years. On millennial timescales, the estimated SNRs were generally higher. Use of the TraCE-21ka correlation structure generally resulted in lower SNR estimates than for ECHAM5/MPI-OM. As the number of available high-resolution proxy records continues to grow, a more detailed analysis of the signal content of specific proxy types should become feasible in the near future. The estimated low signal content of Holocene temperature compilations should caution against over-interpretation of these multi-proxy and multisite syntheses until further studies are able to facilitate a better characterisation of the signal content in paleoclimate records. Y1 - 2019 U6 - https://doi.org/10.5194/cp-15-521-2019 SN - 1814-9324 SN - 1814-9332 VL - 15 IS - 2 SP - 521 EP - 537 PB - Copernicus CY - Göttingen ER - TY - GEN A1 - Renz, Jan A1 - Meinel, Christoph T1 - The "Bachelor Project" BT - Project Based Computer Science Education T2 - 2019 IEEE Global Engineering Education Conference (EDUCON) N2 - One of the challenges of educating the next generation of computer scientists is to teach them to become team players, that are able to communicate and interact not only with different IT systems, but also with coworkers and customers with a non-it background. The “bachelor project” is a project based on team work and a close collaboration with selected industry partners. The authors hosted some of the teams since spring term 2014/15. In the paper at hand we explain and discuss this concept and evaluate its success based on students' evaluation and reports. Furthermore, the technology-stack that has been used by the teams is evaluated to understand how self-organized students in IT-related projects work. We will show that and why the bachelor is the most successful educational format in the perception of the students and how this positive results can be improved by the mentors. KW - computer science education KW - project based learning KW - bachelor project Y1 - 2019 SN - 978-1-5386-9506-7 U6 - https://doi.org/10.1109/EDUCON.2019.8725140 SN - 2165-9567 SP - 580 EP - 587 PB - IEEE CY - New York ER - TY - THES A1 - Renard, Léa T1 - Socio-histoire de l'observation statistique de l'altérité BT - Principes de classification coloniale, nationale et migratoire en France et en Allemagne (1880 - 2010) N2 - Autour de 1990 en France et de 2005 en Allemagne, deux nouvelles catégories sont introduites dans le champ de la statistique de la population. Toutes deux, « immigré » et « Person mit Migrationshintergrund », font appel au registre de la migration pour qualifier un groupe de population. Notre analyse montre que ces deux événements sont révélateurs d’un changement de signification des catégorisations statistiques de la migration dans les deux pays, de la description de la mobilité vers l’observation de l’altérité de la population, changement lié au contexte de la politique publique dite d’« intégration » qui se développe en France et en Allemagne dans les années 1990-2000. La thèse interroge ainsi la manière dont la statistique rend la migration socialement pertinente pour construire l’altérité. Pour pouvoir comprendre le virage entrepris dans les nomenclatures statistiques et le resituer dans une perspective de longue durée, nous avons postulé qu’il fallait aller chercher dans l’histoire de la statistique ce qui avait tenu lieu de classification principale de la population, en lieu et place des nouvelles catégories inventées au tournant des XXe et XXIe siècles. Nous nous sommes donc interrogée sur la genèse et l’institutionnalisation des catégories de l’altérité et de la mobilité dans la période 1880-1914, alors que la France et l’Allemagne, à l’époque le Deutsches Kaiserreich, se constituent en États-nations et en empires coloniaux. Pour observer ces processus empiriquement, nous avons choisi de comparer les pratiques de catégorisation de l’altérité et la mobilité (1) en France et en Allemagne, (2) à deux périodes différentes, 1880-1914 et 1990-2010, et (3) dans le contexte métropolitain et colonial. L’analyse socio-historique comparée d’après la méthodologie de la comparaison en contexte a reposé sur une asymétrie assumée entre les deux périodes étudiées : tandis qu’il s’agissait de reconstruire la genèse des catégories « immigré » et « Person mit Migrationshintergrund » à deux moments distincts temporellement en France et en Allemagne, l’analyse de la période 1880-1914 a consisté à mettre au jour ruptures et continuités historiques des principes de classification sur l’ensemble de la période dans une perspective croisée. La démarche n’est ni chronologique ni rétrospective : elle contraste deux configurations historiques pour tenter d’identifier des ressemblances et des différences. Nos résultats montrent qu’entre 1880 et 1914, la catégorie de migration est majoritairement associée à un phénomène de mobilité dans les discours politiques et statistiques. À cette époque, la focale se porte sur l’émigration, redéfinie comme un déplacement géographique en dehors des frontières de la nation et de l’Empire. Le transport des « émigrants », catégorie de population qui nourrit le débat et les tableaux statistiques, fait l’objet des problématisations politiques. Les statistiques relatives à l’émigration comme mobilité étaient alors séparées de l’observation de la composition de la population, à travers le critère de la nationalité dans le contexte métropolitain et des schémas « raciaux » dans le contexte colonial. En 1990 en France et 2005 en Allemagne, le registre de la migration est mobilisé cette fois pour observer statistiquement la composition de la population. Nos résultats ont permis de mettre au jour trois principes de construction de l’altérité dans les deux pays et dans les deux périodes étudiées : un principe national, un principe colonial et un principe migratoire. La thèse développe ainsi une approche renouvelée des interactions entre observation statistique et politique publique, en testant empiriquement sur le terrain des statistiques relatives à la migration l’hypothèse de la « circularité du savoir et de l’action » mise au point par Alain Desrosières N2 - Around 1990 in France and 2005 in Germany, two new categories were introduced in the field of population statistics. Both “immigré” and “Person mit Migrationshintergrund” use the semantics of migration to describe a population group. My analysis shows that these two events reveal a shift in the meaning associated to migration in statistical categories in both countries. The meaning of the category changes from a mere description of mobility to the ascription of otherness within a population, a change linked to the so-called integration policy that is developing in France and Germany in the years 1990-2000. The analysis reveals the way in which statistics make migration socially relevant to the construction of otherness. The thesis thus develops a renewed approach to the interactions between statistical observation and public policy, by empirically testing the hypothesis of the “circularity of knowledge and action” developed by Alain Desrosières. These shifts in statistical nomenclatures can only be understood if we adopt a long-term perspective. It is necessary to look at the history of statistics and to compare how populations have been classified differently over time in order to understand the new categories invented at the turn of the 20th and 21st centuries. We therefore question the genesis and institutionalization of the categories of otherness and mobility in the period 1880-1914, during the formation of France and the German Kaiserreich as nation states and colonial empires. To observe these processes empirically, we chose to compare the practices of categorization of otherness and mobility (1) in France and Germany, (2) at two different time periods, 1880-1914 and 1990-2010, and (3) in the metropolitan as well as colonial context. The analytical foci in both periods are slightly different. For 1990-2010, the aim was to reconstruct the genesis of the categories “immigré” and “Person mit Migrationshintergrund”, whereas the analysis of the period 1880-1914 consists of uncovering historical ruptures and continuities in the classification principles over the entire period. The approach is neither symmetrical, nor chronological: it contrasts two historical configurations in an attempt to identify similarities and differences. Our results show that between 1880 and 1914, migration as a category was mostly associated with a mobility phenomenon in political and statistical discourse. At that time, the focus was on emigration, redefined as a geographical outward movement, i.e. people leaving the borders of the nation and the Empire. The transport of “emigrants”, a category of population that fueled public debate and statistical tables, was constructed as a political problem. Statistics on emigration were then separated from the observation of the composition of the population. In the metropolitan context, this happened through the introduction of the criterion of nationality and in the colonial context through “racial” patterns. In 1990 in France and 2005 in Germany, migration semantics were then used to statistically observe the composition of the population. Our results reveal three principles along which the construction of otherness takes place in the two countries and in the two time periods studied: a national principle, a colonial principle and a migratory principle. These findings remind us that statistics are never neutral but always steeped in their socio historical and political context – an important aspect to remember especially in times when migration policies are again a topic high on the agenda of public debates and policy makers. KW - France KW - migration KW - statistiques KW - France KW - migration KW - statistics Y1 - 2019 ER - TY - JOUR A1 - Renans, Agata A1 - De Veaugh-Geiss, Joseph P. T1 - Experimental Studies on it-Clefts and Predicate Interpretation JF - Semantics and pragmatics N2 - There is an ongoing discussion in the literature whether the series of sentences ‘It’s not α that did P. α and β did P.’ is acceptable or not. Whereas the homogeneity approach in Büring & Križ 2013, Križ 2016, and Križ 2017 predicts these sentences to be unacceptable, the alternative-based approach predicts acceptability depending on the predicate being interpreted distributively or non- distributively (among others, Horn 1981, Velleman et al. 2012, Renans 2016a,b). We report on three experiments testing the predictions of both types of approaches. These studies provide empirical data that not only bears on these approaches, but also allows us to distinguish between different accounts of cleft exhaustivity that might otherwise make the same predictions. The results of the three studies reported here suggest that the acceptability of clefts depends on the interpretation of the predicate, thereby posing a serious challenge to the homogeneity approach, and contributing to the ongoing discussion on the semantics of it-clefts. KW - it-clefts KW - exhaustivity KW - homogeneity KW - distributive,collective, and mixed predicates KW - distributive vs. non-distributive interpretation KW - experimental study Y1 - 2019 U6 - https://doi.org/10.3765/sp.12.11 SN - 1937-8912 VL - 12 PB - Linguistic Society of America CY - Washington ER - TY - JOUR A1 - Reinthaler, Markus A1 - Johansson, Johan Backemo A1 - Braune, Steffen A1 - Al-Hindwan, Haitham Saleh Ali A1 - Lendlein, Andreas A1 - Jung, Friedrich T1 - Shear-induced platelet adherence and activation in an in-vitro dynamic multiwell-plate system JF - Clinical hemorheology and microcirculation : blood flow and vessels N2 - Circulating blood cells are prone to varying flow conditions when contacting cardiovascular devices. For a profound understanding of the complex interplay between the blood components/cells and cardiovascular implant surfaces, testing under varying shear conditions is required. Here, we study the influence of arterial and venous shear conditions on the in vitro evaluation of the thrombogenicity of polymer-based implant materials. Medical grade poly(dimethyl siloxane) (PDMS), polyethylene terephthalate (PET) and polytetrafluoroethylene (PTFE) films were included as reference materials. The polymers were exposed to whole blood from healthy humans. Blood was agitated orbitally at low (venous shear stress: 2.8 dyne. cm(-2)) and high (arterial shear stress: 22.2 dyne .cm(-2)) agitation speeds in a well-plate based test system. Numbers of non-adherent platelets, platelet activation (P-Selectin positive platelets), platelet function (PFA100 closure times) and platelet adhesion (laser scanning microscopy (LSM)) were determined. Microscopic data and counting of the circulating cells revealed increasing numbers of material-surface adherent platelets with increasing agitation speed. Also, activation of the platelets was substantially increased when tested under the high shear conditions (P-Selectin levels, PFA-100 closure times). At low agitation speed, the platelet densities did not differ between the three materials. Tested at the high agitation speed, lowest platelet densities were observed on PDMS, intermediate levels on PET and highest on PTFE. While activation of the circulating platelets was affected by the implant surfaces in a similar manner, PFA closure times did not reflect this trend. Differences in the thrombogenicity of the studied polymers were more pronounced when tested at high agitation speed due to the induced shear stresses. Testing under varying shear stresses, thus, led to a different evaluation of the implant thrombogenicity, which emphasizes the need for testing under various flow conditions. Our data further confirmed earlier findings where the same reference implants were tested under static (and not dynamic) conditions and with fresh human platelet rich plasma instead of whole blood. This supports that the application of common reference materials may improve inter-study comparisons, even under varying test conditions. Y1 - 2019 U6 - https://doi.org/10.3233/CH-189410 SN - 1386-0291 SN - 1875-8622 VL - 71 IS - 2 SP - 183 EP - 191 PB - IOS Press CY - Amsterdam ER - TY - JOUR A1 - Reinicke, Stefan A1 - Fischer, Thilo A1 - Bramski, Julia A1 - Pietruszka, Jörg A1 - Böker, Alexander T1 - Biocatalytically active microgels by precipitation polymerization of N-isopropyl acrylamide in the presence of an enzyme JF - RSC Advances N2 - We present a novel protocol for the synthesis of enzymatically active microgels. The protocol is based on the precipitation polymerization of N-isopropylacrylamide (NIPAm) in the presence of an enzyme and a protein binding comonomer. A basic investigation on the influence of different reaction parameters such as monomer concentration and reaction temperature on the microgel size and size distribution is performed and immobilization yields are determined. Microgels exhibiting hydrodynamic diameters between 100 nm and 1 mu m and narrow size distribution could be synthesized while about 31-44% of the enzyme present in the initial reaction mixture can be immobilized. Successful immobilization including a verification of enzymatic activity of the microgels is achieved for glucose oxidase (GOx) and 2-deoxy-d-ribose-5-phosphate aldolase (DERA). The thermoresponsive properties of the microgels are assessed and discussed in the light of activity evolution with temperature. The positive correlation of enzymatic activity with temperature for the GOx containing microgel originates from a direct interaction of the enzyme with the PNIPAm based polymer matrix whose magnitude is highly influenced by temperature. Y1 - 2019 U6 - https://doi.org/10.1039/c9ra04000e SN - 2046-2069 VL - 9 IS - 49 SP - 28377 EP - 28386 PB - Royal Society of Chemistry CY - Cambridge ER - TY - JOUR A1 - Reinhard, Johanna E. A1 - Geissler, Katja A1 - Blaum, Niels T1 - Short-term responses of darkling beetles (Coleoptera:Tenebrionidae) to the effects of fire and grazing in savannah rangeland JF - Insect Conservation and Diversity N2 - Fire and grazing shape biodiversity in savannah landscapes. In land use management, knowing the effects of fire and grazing on biodiversity are important in order to ensure environmental sustainability. Beetles specifically are indicators of the biodiversity response to fire and grazing. A grazing exclusion and burning experiment in a split-plot design was used in order to investigate the interacting effects of fire and wildlife grazing on biomass, diversity, and species composition of darkling beetles (Coleoptera, Tenebrionidae) over time after fire. Darkling beetle species richness and diversity were responding in a three-way-interaction to fire, grazing, and time after fire, whereby biomass of darkling beetles remained unaffected and species compositional changes were attributed to seasonal changes of time only. Fire on ungrazed plots had a negative effect on species diversity and richness 2 weeks and 6 months post fire, whereas fire on grazed plots had no impact on species diversity and richness. Grazing only lowered species diversity and richness 6 months after fire treatments. Results suggest that grazing overrides the effects of fire and that the similar effects caused by fire and grazing are due to niche and assemblage simplification of the habitat. KW - Arid ecosystems KW - arid rangeland KW - beetles KW - herbivory KW - insect diversity KW - land use KW - management Y1 - 2018 U6 - https://doi.org/10.1111/icad.12324 SN - 1752-458X SN - 1752-4598 VL - 12 IS - 1 SP - 39 EP - 48 PB - Wiley CY - Hoboken ER - TY - GEN A1 - Reinert, Bastian A1 - Götze, Clemens T1 - Einleitung: Intertextualität – Korrelationen – Korrespondenzen T1 - Introduction: Intertextuality - Correlations - Correspondences T2 - Elfriede Jelinek und Thomas Bernhard : Intertextualität – Korrelationen – Korrespondenzen Y1 - 2019 SN - 978-3-11-063267-5 SN - 978-3-11-062697-1 SN - 978-3-11-073672-4 U6 - https://doi.org/10.1515/9783110632675-001 VL - 154 SP - 1 EP - 9 PB - De Gruyter CY - Berlin ER - TY - JOUR A1 - Reimann, Max A1 - Klingbeil, Mandy A1 - Pasewaldt, Sebastian A1 - Semmo, Amir A1 - Trapp, Matthias A1 - Döllner, Jürgen Roland Friedrich T1 - Locally controllable neural style transfer on mobile devices JF - The Visual Computer N2 - Mobile expressive rendering gained increasing popularity among users seeking casual creativity by image stylization and supports the development of mobile artists as a new user group. In particular, neural style transfer has advanced as a core technology to emulate characteristics of manifold artistic styles. However, when it comes to creative expression, the technology still faces inherent limitations in providing low-level controls for localized image stylization. In this work, we first propose a problem characterization of interactive style transfer representing a trade-off between visual quality, run-time performance, and user control. We then present MaeSTrO, a mobile app for orchestration of neural style transfer techniques using iterative, multi-style generative and adaptive neural networks that can be locally controlled by on-screen painting metaphors. At this, we enhance state-of-the-art neural style transfer techniques by mask-based loss terms that can be interactively parameterized by a generalized user interface to facilitate a creative and localized editing process. We report on a usability study and an online survey that demonstrate the ability of our app to transfer styles at improved semantic plausibility. KW - Non-photorealistic rendering KW - Style transfer KW - Neural networks KW - Mobile devices KW - Interactive control KW - Expressive rendering Y1 - 2019 U6 - https://doi.org/10.1007/s00371-019-01654-1 SN - 0178-2789 SN - 1432-2315 VL - 35 IS - 11 SP - 1531 EP - 1547 PB - Springer CY - New York ER - TY - JOUR A1 - Reimann, Anna A1 - Beyer, Rudolf A1 - Mumm, Rebekka A1 - Scheffler, Christiane T1 - Reference tables with centiles of limb to body height ratios of healthy human adults for assessing potential thalidomide embryopathy JF - Journal of biological and clinical anthropology : Anthropologischer Anzeiger ; Mitteilungsorgan der Gesellschaft für Anthropologie N2 - Background: Over 60 years ago the biggest drug catastrophe in Germany took place. The drug thalidomide, sold by the German pharmaceutical company Chemie Grunenthal GmbH starting in 1957 under the name "Contergan", caused severe birth defects in newborns. Chemie Grunenthal withdraw Contergan in 1961. Until nearly 30 years later in 1988 there were already over 10.000 children born with severe birth defects (e.g. dysmelia, amelia, congenital heart defect). Due to the high variability of the birth defects caused by thalidomide, later called thalidomide embryopathy, there is still no detailed information about the proportions of limbs. Aim: The aim is to develop reference centiles for limb measurements of men and women aged 19-70 years old. Method: For the calculation, data of healthy men and women (m = 2984, f = 2838) from former East Germany were used and centiles using the LMS-method were developed. Results: Centile tables for arm and leg length of men and women are presented in the results. The variability is small due to a homogeneous distribution of the measurements. A test with randomly chosen patient data shows that women under 171 cm stature and men under 180 cm stature can be assessed correctly. A severe shortening of limbs can be detected with this method. KW - thalidomide embryopathy KW - contergan KW - anthropometry KW - body proportions Y1 - 2019 U6 - https://doi.org/10.1127/anthranz/2019/0981 SN - 0003-5548 VL - 76 IS - 5 SP - 391 EP - 400 PB - Schweizerbart CY - Stuttgart ER - TY - JOUR A1 - Reike, Dennis A1 - Schwarz, Wolfgang T1 - Aging effects on symbolic number comparison BT - no deceleration of numerical information retrieval but more conservative decision-making JF - Psychology and aging N2 - Whereas many cognitive tasks show pronounced aging effects, even in healthy older adults, other tasks seem more resilient to aging. A small number of recent studies suggests that number comparison is possibly one of the abilities that remain unaltered across the life span. We investigated the ability to compare single-digit numbers in young (19-39 years; n = 39) and healthy older (65-79 years; n = 39) adults in considerable detail, analyzing accuracy as well as mean and variance of their response time, together with several other well-established hallmarks of numerical comparison. Using a recent comprehensive process model that parsimoniously accounts quantitatively for many aspects of number comparison (Reike & Schwarz, 2016), we address two fundamental problems in the comparison of older to young adults in numerical comparison tasks: (a) to adequately correct speed measures for different levels of accuracy (older participants were significantly more accurate than young participants), and (b) to distinguish between general sensory and motor slowing on the one hand, as opposed to a specific age-related decline in the efficiency to retrieve and compare numerical magnitude representations. Our results represent strong evidence that healthy older adults compare magnitudes as efficiently as young adults, when the measure of efficiency is uncontaminated by strategic speed-accuracy trade-offs and by sensory and motor stages that are not related to numerical comparison per se. At the same time, older adults aim at a significantly higher accuracy level (risk aversion), which necessarily prolongs processing time, and they also show the well-documented general decline in sensory and/or motor functions. KW - numerical comparison KW - cognitive aging effects KW - numerical distance effect KW - random walk model KW - speed-accuracy trade-off Y1 - 2019 U6 - https://doi.org/10.1037/pag0000272 SN - 0882-7974 SN - 1939-1498 VL - 34 IS - 1 SP - 4 EP - 16 PB - American Psychological Association CY - Washington ER -