TY - CHAP A1 - Rehak, Katrin A1 - Strecker, Manfred A1 - Echtler, Helmut Peter T1 - DEM supported tectonic geomorphology : the Coastal Cordillera of the South-Central Chilean active margin ; [Poster] N2 - Fluvial systems are one of the major features shaping a landscape. They adjust to the prevailing tectonic and climatic setting and therefore are very sensitive markers of changes in these systems. If their response to tectonic and climatic forcing is quantified and if the climatic signal is excluded, it is possible to derive a local deformation history. Here, we investigate fluvial terraces and erosional surfaces in the southern Chilean forearc to assess a long-term geomorphic and hence tectonic evolution. Remote sensing and field studies of the Nahuelbuta Range show that the long-term deformation of the Chilean forearc is manifested by breaks in topography, sequences of differentially uplifted marine, alluvial and strath terraces as well as tectonically modified river courses and drainage basins. We used SRTM-90-data as basic elevation information for extracting and delineating drainage networks. We calculated hypsometric curves as an indicator for basin uplift, stream-length gradient indices to identify stream segments with anomalous slopes, and longitudinal river profiles as well as DS-plots to identify knickpoints and other anomalies. In addition, we investigated topography with elevation-slope graphs, profiles, and DEMs to reveal erosional surfaces. During the first field trip we already measured palaeoflow directions, performed pebble counting and sampled the fluvial terraces in order to apply cosmogenic nuclide dating (10Be, 26Al) as well as provenance analyses. Our preliminary analysis of the Coastal Cordillera indicates a clear segmentation between the northern and southern parts of the Nahuelbuta Range. The Lanalhue Fault, a NW-SE striking fault zone oblique to the plate boundary, defines the segment boundary. Furthermore, we find a complex drainage re-organisation including a drainage reversal and wind gap on the divide between the Tirúa and Pellahuén basins east of the town Tirúa. The coastal basins lost most of their Andean sediment supply areas that existed in Tertiary and in part during early Pleistocene time. Between the Bío-Bío and Imperial rivers no Andean river is recently capable to traverse the Coastal Cordillera, suggesting ongoing Quaternary uplift of the entire range. From the spatial distribution of geomorphic surfaces in this region two uplift signals may be derived: (1) a long-term differential uplift process, active since the Miocene and possibly caused by underplating of subducted trench sediments, (2) a younger, local uplift affecting only the northern part of the Nahuelbuta Range that may be caused by the interaction of the forearc with the subduction of the Mocha Fracture Zone at the latitude of the Arauco peninsula. Our approach thus provides results in our attempt to decipher the characteristics of forearc development of active convergent margins using long-term geomorphic indicators. Furthermore, it is expected that our ongoing assessment will constrain repeatedly active zones of deformation.
Interdisziplinäres Zentrum für Musterdynamik und Angewandte Fernerkundung Workshop vom 9. - 10. Februar 2006 Y1 - 2006 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-7224 ER - TY - GEN A1 - Reich, Oliver A1 - Löhmannsröben, Hans-Gerd A1 - Schael, Frank T1 - Optical sensing with photon density waves: investigation of model media N2 - Investigations with frequency domain photon density waves allow elucidation of absorption and scattering properties of turbid media. The temporal and spatial propagation of intensity modulated light with frequencies up to more than 1 GHz can be described by the P1 approximation to the Boltzmann transport equation. In this study, we establish requirements for the appropriate choice of turbid model media and characterize mixtures of isosulfan blue as absorber and polystyrene beads as scatterer. For these model media, the independent determination of absorption and reduced scattering coefficients over large absorber and scatterer concentration ranges is demonstrated with a frequency domain photon density wave spectrometer employing intensity and phase measurements at various modulation frequencies. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - paper 026 Y1 - 2003 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-13147 ER - TY - CHAP A1 - Reimer, A. T1 - Clumping effects on non-thermal particle spectra in massive star systems N2 - Observational evidence exists that winds of massive stars are clumped. Many massive star systems are known as non-thermal particle production sites, as indicated by their synchrotron emission in the radio band. As a consequence they are also considered as candidate sites for non-thermal high-energy photon production up to gamma-ray energies. The present work considers the effects of wind clumpiness expected on the emitting relativistic particle spectrum in colliding wind systems, built up from the pool of thermal wind particles through diffusive particle acceleration, and taking into account inverse Compton and synchrotron losses. In comparison to a homogeneous wind, a clumpy wind causes flux variations of the emitting particle spectrum when the clump enters the wind collision region. It is found that the spectral features associated with this variability moves temporally from low to high energy bands with the time shift between any two spectral bands being dependent on clump size, filling factor, and the energy-dependence of particle energy gains and losses. Y1 - 2007 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-18246 ER - TY - CHAP A1 - Reimer, O. A1 - Aharonian, Felix A. A1 - Hinton, J. A1 - Hofmann, W. A1 - Hoppe, S. A1 - Raue, M. A1 - Reimer, A. T1 - VHE gamma-rays from Westerlund 2 and implications for the inferred energetics N2 - The H.E.S.S. collaboration recently reported the discovery of VHE γ-ray emission coincident with the young stellar cluster Westerlund 2. This system is known to host a population of hot, massive stars, and, most particularly, the WR binary WR 20a. Particle acceleration to TeV energies in Westerlund 2 can be accomplished in several alternative scenarios, therefore we only discuss energetic constraints based on the total available kinetic energy in the system, the actual mass loss rates of respective cluster members, and implied gamma-ray production from processes such as inverse Compton scattering or neutral pion decay. From the inferred gammaray luminosity of the order of 1035erg/s, implications for the efficiency of converting available kinetic energy into non-thermal radiation associated with stellar winds in the Westerlund 2 cluster are discussed under consideration of either the presence or absence of wind clumping. Y1 - 2007 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-18172 ER - TY - CHAP A1 - Reyes-Iturbide, J. A1 - Velázquez, P. A1 - Rosado, M. T1 - 3D numerical model for an asymmetrical superbubble N2 - Massive stars usually form groups such as OB associations. Their fast stellar winds sweep up collectively the surrounding insterstellar medium (ISM) to generate superbubbles. Observations suggest that superbubble evolution on the surrounding ISM can be very irregular. Numerical simulations considering these conditions could help to understand the evolution of these superbubbles and to clarify the dynamics of these objects as well as the difference between observed X-ray luminosities and the predicted ones by the standard model (Weaver et al. 1977). Y1 - 2007 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-17724 ER - TY - JOUR A1 - Richter, Eric A1 - Kunter, Mareike A1 - Marx, Alexandra A1 - Richter, Dirk T1 - Who participates in content-focused teacher professional development? BT - Evidence from a large scale study JF - Frontiers in education N2 - This study investigates the relationship between teacher quality and teachers’ engagement in professional development (PD) activities using data on 229 German secondary school mathematics teachers. We assessed different aspects of teacher quality (e.g. professional knowledge, instructional quality) using a variety of measures, including standardised tests of teachers’ content knowledge, to determine what characteristics are associated with high participation in PD. The results show that teachers with higher scores for teacher quality variables take part in more content-focused PD than teachers with lower scores for these variables. This suggests that teacher learning may be subject to a Matthew effect, whereby more proficient teachers benefit more from PD than less proficient teachers. KW - teacher learning KW - professional development KW - content knowledge KW - teacher quality KW - in-service training KW - Matthew effect KW - continuing education activities Y1 - 2021 U6 - https://doi.org/10.3389/feduc.2021.722169 SN - 2504-284X IS - 6 SP - 1 EP - 10 PB - Frontiers Media CY - Lausanne, Schweiz ER - TY - THES A1 - Richter, Maximilian Jacob Enzo Amandus T1 - Continental rift dynamics across the scales T1 - Dynamiken kontinentaler Grabenbrüche über die Skalen BT - numerical modelling of localisation processes BT - numerische Modellierung von Lokalisations-Prozessen N2 - Localisation of deformation is a ubiquitous feature in continental rift dynamics and observed across drastically different time and length scales. This thesis comprises one experimental and two numerical modelling studies investigating strain localisation in (1) a ductile shear zone induced by a material heterogeneity and (2) in an active continental rift setting. The studies are related by the fact that the weakening mechanisms on the crystallographic and grain size scale enable bulk rock weakening, which fundamentally enables the formation of shear zones, continental rifts and hence plate tectonics. Aiming to investigate the controlling mechanisms on initiation and evolution of a shear zone, the torsion experiments of the experimental study were conducted in a Patterson type apparatus with strong Carrara marble cylinders with a weak, planar Solnhofen limestone inclusion. Using state-of-the-art numerical modelling software, the torsion experiments were simulated to answer questions regarding localisation procedure like stress distribution or the impact of rheological weakening. 2D numerical models were also employed to integrate geophysical and geological data to explain characteristic tectonic evolution of the Southern and Central Kenya Rift. Key elements of the numerical tools are a randomized initial strain distribution and the usage of strain softening. During the torsion experiments, deformation begins to localise at the limestone inclusion tips in a process zone, which propagates into the marble matrix with increasing deformation until a ductile shear zone is established. Minor indicators for coexisting brittle deformation are found close to the inclusion tip and presumed to slightly facilitate strain localisation besides the dominant ductile deformation processes. The 2D numerical model of the torsion experiment successfully predicts local stress concentration and strain rate amplification ahead of the inclusion in first order agreement with the experimental results. A simple linear parametrization of strain weaking enables high accuracy reproduction of phenomenological aspects of the observed weakening. The torsion experiments suggest that loading conditions do not affect strain localisation during high temperature deformation of multiphase material with high viscosity contrasts. A numerical simulation can provide a way of analysing the process zone evolution virtually and extend the examinable frame. Furthermore, the nested structure and anastomosing shape of an ultramylonite band was mimicked with an additional second softening step. Rheological weakening is necessary to establish a shear zone in a strong matrix around a weak inclusion and for ultramylonite formation. Such strain weakening laws are also incorporated into the numerical models of the Southern and Central Kenya Rift that capture the characteristic tectonic evolution. A three-stage early rift evolution is suggested that starts with (1) the accommodation of strain by a single border fault and flexure of the hanging-wall crust, after which (2) faulting in the hanging-wall and the basin centre increases before (3) the early-stage asymmetry is lost and basinward localisation of deformation occurs. Along-strike variability of rifts can be produced by modifying the initial random noise distribution. In summary, the three studies address selected aspects of the broad range of mechanisms and processes that fundamentally enable the deformation of rock and govern the localisation patterns across the scales. In addition to the aforementioned results, the first and second manuscripts combined, demonstrate a procedure to find new or improve on existing numerical formulations for specific rheologies and their dynamic weakening. These formulations are essential in addressing rock deformation from the grain to the global scale. As within the third study of this thesis, where geodynamic controls on the evolution of a rift were examined and acquired by the integration of geological and geophysical data into a numerical model. N2 - Die Lokalisierung von Deformation ist ein allgegenwärtiges Merkmal in der Dynamik von Grabenbrüchen bzw. Riftzonen und wird über verschiedene Zeit- und Längenskalen beobachtet. Diese Arbeit umfasst eine experimentelle und zwei numerische Studien zur Untersuchung der Lokalisierung von Deformation in (1) einer durch eine Materialheterogenität induzierten duktilen Scherzone und (2) in einem aktiven Kontinentalgraben. Die Studien verbindet, dass die Schwächungsmechanismen auf der kristallographischen Skala und der Korngrößenskala eine Enthärtung eines Gesteinkörpers ermöglicht, was im Wesentlichen die Bildung von Scherzonen, Grabenbrüchen und damit Plattentektonik ermöglicht. Um die Kontrollmechanismen für die Initiierung und Entwicklung einer Scherzone zu untersuchen, wurden die Torsionsexperimente der experimentellen Studie in einem Patterson-Gerät an starken Carrara-Marmorzylinder mit einer schwachen, planaren Solnhofen-Kalksteineinschluss durchgeführt. Mit modernster numerischer Modellierungssoftware wurden die Torsionsexperimente simuliert, um weitere Fragen zum Lokalisierungsablauf wie die Verteilung der Spannung oder den Einfluss rheologischer Schwächung zu beantworten. Numerische 2D-Modelle wurden auch verwendet, um geophysikalische und geologische Daten zu kombinieren, um die charakteristische tektonische Entwicklung des südlichen und zentralen Kenia-Rifts zu erklären. Schlüsselelemente der verwendeten numerischen Werkzeuge sind eine randomisierte Anfangsverteilung des Strain und der Einsatz von Strain basierter Enthärtung. Während der Torsionsversuche lokalisiert die Deformation zunächst an den Kalksteineinschlussspitzen in einer Prozesszone, die sich mit zunehmender Deformation in die Marmormatrix ausbreitet bis sich eine duktile Scherzone einstellt. Neben den dominierenden duktilen Verformungsprozessen werden geringfügige Indikatoren für eine koexistierende spröde Verformung nahe der Einschlussspitzen gefunden und es wird angenommen, dass diese die Lokalisierung der Deformation geringfügig erleichtern. In erster Ordnung sagt das numerische 2D-Modell des Torsionsexperiments erfolgreich lokale Spannungskonzentration und Strainratenverstärkung vor der Inklusion in Übereinstimmung mit den experimentellen Ergebnissen vorher. Eine einfache lineare Parametrisierung der Enthärtung durch Strain ermöglicht eine genaue Reproduktion phänomenologischer Aspekte der beobachteten Schwächung. Die Torsionsexperimente legen nahe, dass die Randbedingungen die Lokalisierung des Strain während der Hochtemperaturverformung von Mehrphasenmaterial mit hohen Viskositätskontrasten nicht beeinflussen. Die numerische Simulation ermöglicht es, die Entwicklung der Prozesszone virtuell zu analysieren und den Untersuchungsrahmen zu erweitern. Darüber hinaus wurde die verschachtelte Struktur und anastomosierende Form eines Ultramylonitbandes mit einem zusätzlichen zweiten Enthärtungsschritt nachgeahmt. Die rheologische Schwächung ist notwendig, um eine Scherzone in einer starken Matrix um einen schwachen Einschluss herum und für die Ultramylonitbildung zu etablieren. Solche Schwächungsgesetze, die auf Strain basieren, fließen auch in die numerischen Modelle des südlichen und zentralen Kenia-Rifts ein, die die charakteristische tektonische Entwicklung erfassen. Es wird eine dreistufige frühe Riftentwicklung vorgeschlagen, die mit (1) der Anpassung von Spannungen durch eine einzelne Grenzstörung und Biegung der hangenden Kruste beginnt, wonach (2) die Verwerfung im Hangenden und im Beckenzentrum zunimmt, bevor (3) die Asymmetrie des Frühstadiums verloren geht und es zu einer beckenseitigen Deformationslokalisierung kommt. Die Variabilität von Rissen entlang des Rifts kann durch Modifizieren der anfänglichen zufälligen Rauschverteilung erzeugt werden. Zusammenfassend befassen sich die drei Studien mit ausgewählten Aspekten der breiten Palette von Mechanismen und Prozessen, die die Deformation von Gestein grundlegend ermöglichen und die Lokalisierungsmuster über die Skalen bestimmen. Zusätzlich zu den oben genannten Ergebnissen demonstrieren das erste und zweite Manuskript in Kombination ein Verfahren, um neue oder bestehende numerische Formulierungen für spezifische Rheologien und deren dynamische Schwächung zu finden oder zu verbessern. Diese Formulierungen sind essenziell, um Gesteinsverformung von der Korngrößen bis zur globalen Skala zu untersuchen. Wie in der dritten Studie dieser Dissertation, in der geodynamische Kontrollen auf die Entwicklung eines Grabenbruchs durch die Integration geologischer und geophysikalischer Daten in ein numerisches Modell untersucht und erfasst wurden. KW - Strain Localisation KW - Continental Rifts KW - Torsion Experiments KW - Geodynamic Modelling KW - 2D Numerical Modelling KW - Lokalisierung von Deformation KW - Grabenbrüche KW - Geodynamische Modellierung KW - Torsionsexperimente KW - Numerische 2D Modellierung Y1 - 2022 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-550606 ER - TY - THES A1 - Rinne, Theresa Charlotte T1 - The effects of nutrients on bone stem cell function and regeneration N2 - Aging is associated with bone loss, which can lead to osteoporosis and high fracture risk. This coincides with the enhanced formation of bone marrow adipose tissue (BMAT), suggesting a negative effect of bone marrow adipocytes on skeletal health. Increased BMAT formation is also observed in pathologies such as obesity, type 2 diabetes and osteoporosis. However, a subset of bone marrow adipocytes forming the constitutive BMAT (cBMAT), arise early in life in the distal skeleton, contain high levels of unsaturated fatty acids and are thought to provide a physiological function. Regulated BMAT (rBMAT) forms during aging and obesity in proximal regions of the bone and contain a large proportion of saturated fatty acids. Paradoxically, BMAT accumulation is also enhanced during caloric restriction (CR), a life-span extending dietary intervention. This indicates, that different types of BMAT can form in response to opposing nutritional stimuli with potentially different functions. To this end, two types of nutritional interventions, CR and high fat diet (HFD), that are both described to induce BMAT accumulation were carried out. CR markedly increased BMAT formation in the proximal tibia and led to a higher proportion of unsaturated fatty acids, making it similar to the physiological cBMAT. Additionally, proximal and diaphyseal tibia regions displayed higher adiponectin expression. In aged mice, CR was associated with an improved trabecular bone structure. Taken together, these findings demonstrate, that the type of BMAT that forms during CR might provide beneficial effects for local bone stem/progenitor cells and metabolic health. The HFD intervention performed in this thesis showed no effect on BMAT accumulation and bone microstructure. RNA Seq analysis revealed alterations in the composition of the collagen-containing extracellular matrix (ECM). In order to investigate the effects of glucose homeostasis on osteogenesis, differentiation capacity of immortalized multipotent mesenchymal stromal cells (MSCs) and osteochondrogenic progenitor cells (OPCs) was analyzed. Insulin improved differentiation in both cell types, however, combination of with a high glucose concentration led to an impaired mineralization of the ECM. In the MSCs, this was accompanied by the formation of adipocytes, indicating negative effects of the adipocytes formed during hyperglycemic conditions on mineralization processes. However, the altered mineralization pattern and structure of the ECM was also observed in OPCs, which did not form any adipocytes, suggesting further negative effects of a hyperglycemic environment on osteogenic differentiation. In summary, the work provided in this thesis demonstrated that differentiation commitment of bone-resident stem cells can be altered through nutrient availability, specifically glucose. Surprisingly, both high nutrient supply, e.g. the hyperglycemic cell culture conditions, and low nutrient supply, e.g. CR, can induce adipogenic differentiation. However, while CR-induced adipocyte formation was associated with improved trabecular bone structure, adipocyte formation in a hyperglycemic cell-culture environment hampered mineralization. This thesis provides further evidence for the existence of different types of BMAT with specific functions. Y1 - 2024 ER - TY - JOUR A1 - Risch, Lucie A1 - Stoll, Josefine A1 - Schomöller, Anne A1 - Engel, Tilman A1 - Mayer, Frank A1 - Cassel, Michael T1 - Intraindividual Doppler Flow Response to Exercise Differs Between Symptomatic and Asymptomatic Achilles Tendons JF - Frontiers in physiology N2 - Objective: This study investigated intraindividual differences of intratendinous blood flow (IBF) in response to running exercise in participants with Achilles tendinopathy. Design: This is a cross-sectional study. Setting: The study was conducted at the University Outpatient Clinic. Participants: Sonographic detectable intratendinous blood flow was examined in symptomatic and contralateral asymptomatic Achilles tendons of 19 participants (42 ± 13 years, 178 ± 10 cm, 76 ± 12 kg, VISA-A 75 ± 16) with clinically diagnosed unilateral Achilles tendinopathy and sonographic evident tendinosis. Intervention: IBF was assessed using Doppler ultrasound “Advanced Dynamic Flow” before (Upre) and 5, 30, 60, and 120 min (U5–U120) after a standardized submaximal constant load run. Main Outcome Measure: IBF was quantified by counting the number (n) of vessels in each tendon. Results: At Upre, IBF was higher in symptomatic compared with asymptomatic tendons [mean 6.3 (95% CI: 2.8–9.9) and 1.7 (0.4–2.9), p < 0.01]. Overall, 63% of symptomatic and 47% of asymptomatic Achilles tendons responded to exercise, whereas 16 and 11% showed persisting IBF and 21 and 42% remained avascular throughout the investigation. At U5, IBF increased in both symptomatic and asymptomatic tendons [difference to baseline: 2.4 (0.3–4.5) and 0.9 (0.5–1.4), p = 0.05]. At U30 to U120, IBF was still increased in symptomatic but not in asymptomatic tendons [mean difference to baseline: 1.9 (0.8–2.9) and 0.1 (-0.9 to 1.2), p < 0.01]. Conclusion: Irrespective of pathology, 47–63% of Achilles tendons responded to exercise with an immediate acute physiological IBF increase by an average of one to two vessels (“responders”). A higher amount of baseline IBF (approximately five vessels) and a prolonged exercise-induced IBF response found in symptomatic ATs indicate a pain-associated altered intratendinous “neovascularization.” KW - achilles tendinopathy KW - tendinosis KW - neovascularization KW - ultrasound KW - advanced dynamic flow KW - sonography Y1 - 2021 U6 - https://doi.org/10.3389/fphys.2021.617497 SN - 1664-042X VL - 12 SP - 1 EP - 8 PB - Frontiers Research Foundation CY - Lausanne, Schweiz ER - TY - THES A1 - Robalo, João Ramiro Alavedra Mendes T1 - Investigating the role of fluorinated amino acids on protein structure and function using simulation Y1 - 2018 ER - TY - THES A1 - Robinson, Alexander T1 - Modeling the Greenland Ice Sheet response to climate change in the past and future T1 - Modellierung der Reaktion des Grönländischen Inlandeises auf den vergangenen und zukünftigen Klimawandel N2 - The Greenland Ice Sheet (GIS) contains enough water volume to raise global sea level by over 7 meters. It is a relic of past glacial climates that could be strongly affected by a warming world. Several studies have been performed to investigate the sensitivity of the ice sheet to changes in climate, but large uncertainties in its long-term response still exist. In this thesis, a new approach has been developed and applied to modeling the GIS response to climate change. The advantages compared to previous approaches are (i) that it can be applied over a wide range of climatic scenarios (both in the deep past and the future), (ii) that it includes the relevant feedback processes between the climate and the ice sheet and (iii) that it is highly computationally efficient, allowing simulations over very long timescales. The new regional energy-moisture balance model (REMBO) has been developed to model the climate and surface mass balance over Greenland and it represents an improvement compared to conventional approaches in modeling present-day conditions. Furthermore, the evolution of the GIS has been simulated over the last glacial cycle using an ensemble of model versions. The model performance has been validated against field observations of the present-day climate and surface mass balance, as well as paleo information from ice cores. The GIS contribution to sea level rise during the last interglacial is estimated to be between 0.5-4.1 m, consistent with previous estimates. The ensemble of model versions has been constrained to those that are consistent with the data, and a range of valid parameter values has been defined, allowing quantification of the uncertainty and sensitivity of the modeling approach. Using the constrained model ensemble, the sensitivity of the GIS to long-term climate change was investigated. It was found that the GIS exhibits hysteresis behavior (i.e., it is multi-stable under certain conditions), and that a temperature threshold exists above which the ice sheet transitions to an essentially ice-free state. The threshold in the global temperature is estimated to be in the range of 1.3-2.3°C above preindustrial conditions, significantly lower than previously believed. The timescale of total melt scales non-linearly with the overshoot above the temperature threshold, such that a 2°C anomaly causes the ice sheet to melt in ca. 50,000 years, but an anomaly of 6°C will melt the ice sheet in less than 4,000 years. The meltback of the ice sheet was found to become irreversible after a fraction of the ice sheet is already lost – but this level of irreversibility also depends on the temperature anomaly. N2 - Das grönländische Inlandeis (GIS) besteht aus einem Wasservolumen das ausreicht, um den globalen Meeresspiegel um 7 Meter ansteigen zu lassen. Es ist ein Relikt der vergangenen Eiszeit, das in einer zunehmend wärmer werdenden Welt stark in Mitleidenschaft gezogen werden könnte. In der vorliegenden Dissertation ist ein neues Verfahren zur Modellierung des Antwortverhaltens des Inlandeises auf Klimaänderungen entwickelt und angewendet worden. Die Vorteile des neuen Verfahrens im Vergleich zu den bisherigen Verfahren sind, (i) dass es über einen groen Bereich von Klimaszenarien (sowohl für die ferne Vergangenheit als auch für die Zukunft) anwendbar ist, (ii) dass es die wesentlichen Rückkopplungsprozesse zwischen Klima und Inlandeis enthält und (iii) dass es wegen seiner guten Rechenzeiteffizienz Simulationen über sehr lange Zeitskalen erlaubt. Das neue Modell (REMBO) ist für die Modellierung des Klimas und der Massenbilanz an der grönländischen Oberfläche entwickelt worden und stellt ein verbessertes Verfahren im Vergleich zu den bisherigen dar. Die Entwicklung von GIS über den letzten glazialen Zyklus ist mittels eines Ensembles von verschiedenen Modellversionen simuliert worden. Anschließend ist die Tauglichkeit der Modellversionen durch Vergleich mit Beobachtungsdaten des gegenwärtigen Klimas und der Oberflächenmassenbilanz, sowie mit paleoklimatischen Rekonstruktionen von Eisbohrkernen verifiziert worden. Der Anteil von GIS am Meeresspiegelanstieg während des letzten Interglazials ist im Bereich von 0.5 bis 4.1 m berechnet worden, was konsistent mit bisherigen Schätzungen ist. Von den Ensemblesimulationen sind diejenigen ausgewählt worden, deren Ergebnisse gut mit den Daten übereinstimmen. Durch die Auswahl von geeigneten Modellversionen sind gleichzeitig die Unsicherheiten der Parameterwerte begrenzt worden, so dass sich nun mit dem neuen Verfahren die Sensitivität von GIS auf Klimaänderungen bestimmen lässt. Mit den ausgewählten Modellversionen ist die Sensitivität von GIS auf langfristige Klimaänderungen untersucht worden. Es zeigt sich, dass das GIS ein Hystereseverhalten besitzt (d.h., eine Multistabilität für gewisse Klimazustände) und dass ein Temperaturschwellwert existiert. Bei Überschreiten des Schwellwertes bleibt das GIS nicht erhalten und wird langsam eisfrei werden. Der Temperaturschwellwert der globalen Mitteltemperatur relativ zur vorindustriellen Mitteltemperatur ist im Bereich 1.3-2.3°C ermittelt worden und liegt damit deutlich niedriger als bisher angenommen. Die Zeitdauer bis zum völligen Abschmelzen zeigt ein nichtlineares Verhalten hinsichtlich einer Erwärmung über den ermittelten Schwellwert. Eine Erwärmung von 2°C relativ zur vorindustriellen Zeit führt zu einem Abschmelzen nach 50.000 Jahren, aber eine Erwärmung um 6°C lässt das Inlandeis bereits nach 4.000 Jahren abschmelzen. Ein weiteres Ergebnis ist, dass der Abschmelzvorgang irreversibel werden kann, nachdem ein gewisser Anteil des Inlandeises abgeschmolzen ist – jedoch ist die Irreversibilität eines Abschmelzvorganges auch von der Temperaturanomalie abhängig. KW - Grönland KW - Inlandeis KW - Klimawandel KW - Stabilität KW - Hysterese KW - Greenland KW - ice sheet KW - climate change KW - stability KW - hysteresis Y1 - 2011 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-50430 ER - TY - THES A1 - Rodriguez Piceda, Constanza T1 - Thermomechanical state of the southern Central Andes T1 - Thermomechanischer Zustand der südlichen Zentral Anden BT - implications for active deformation patterns in the transition from flat to steep subduction BT - Implikationen für aktive Deformationsmuster beim Übergang von flacher zu steiler Subduktion N2 - The Andes are a ~7000 km long N-S trending mountain range developed along the South American western continental margin. Driven by the subduction of the oceanic Nazca plate beneath the continental South American plate, the formation of the northern and central parts of the orogen is a type case for a non-collisional orogeny. In the southern Central Andes (SCA, 29°S-39°S), the oceanic plate changes the subduction angle between 33°S and 35°S from almost horizontal (< 5° dip) in the north to a steeper angle (~30° dip) in the south. This sector of the Andes also displays remarkable along- and across- strike variations of the tectonic deformation patterns. These include a systematic decrease of topographic elevation, of crustal shortening and foreland and orogenic width, as well as an alternation of the foreland deformation style between thick-skinned and thin-skinned recorded along- and across the strike of the subduction zone. Moreover, the SCA are a very seismically active region. The continental plate is characterized by a relatively shallow seismicity (< 30 km depth) which is mainly focussed at the transition from the orogen to the lowland areas of the foreland and the forearc; in contrast, deeper seismicity occurs below the interiors of the northern foreland. Additionally, frequent seismicity is also recorded in the shallow parts of the oceanic plate and in a sector of the flat slab segment between 31°S and 33°S. The observed spatial heterogeneity in tectonic and seismic deformation in the SCA has been attributed to multiple causes, including variations in sediment thickness, the presence of inherited structures and changes in the subduction angle of the oceanic slab. However, there is no study that inquired the relationship between the long-term rheological configuration of the SCA and the spatial deformation patterns. Moreover, the effects of the density and thickness configuration of the continental plate and of variations in the slab dip angle in the rheological state of the lithosphere have been not thoroughly investigated yet. Since rheology depends on composition, pressure and temperature, a detailed characterization of the compositional, structural and thermal fields of the lithosphere is needed. Therefore, by using multiple geophysical approaches and data sources, I constructed the following 3D models of the SCA lithosphere: (i) a seismically-constrained structural and density model that was tested against the gravity field; (ii) a thermal model integrating the conversion of mantle shear-wave velocities to temperature with steady-state conductive calculations in the uppermost lithosphere (< 50 km depth), validated by temperature and heat-flow measurements; and (iii) a rheological model of the long-term lithospheric strength using as input the previously-generated models. The results of this dissertation indicate that the present-day thermal and rheological fields of the SCA are controlled by different mechanisms at different depths. At shallow depths (< 50 km), the thermomechanical field is modulated by the heterogeneous composition of the continental lithosphere. The overprint of the oceanic slab is detectable where the oceanic plate is shallow (< 85 km depth) and the radiogenic crust is thin, resulting in overall lower temperatures and higher strength compared to regions where the slab is steep and the radiogenic crust is thick. At depths > 50 km, largest temperatures variations occur where the descending slab is detected, which implies that the deep thermal field is mainly affected by the slab dip geometry. The outcomes of this thesis suggests that long-term thermomechanical state of the lithosphere influences the spatial distribution of seismic deformation. Most of the seismicity within the continental plate occurs above the modelled transition from brittle to ductile conditions. Additionally, there is a spatial correlation between the location of these events and the transition from the mechanically strong domains of the forearc and foreland to the weak domain of the orogen. In contrast, seismicity within the oceanic plate is also detected where long-term ductile conditions are expected. I therefore analysed the possible influence of additional mechanisms triggering these earthquakes, including the compaction of sediments in the subduction interface and dehydration reactions in the slab. To that aim, I carried out a qualitative analysis of the state of hydration in the mantle using the ratio between compressional- and shear-wave velocity (vp/vs ratio) from a previous seismic tomography. The results from this analysis indicate that the majority of the seismicity spatially correlates with hydrated areas of the slab and overlying continental mantle, with the exception of the cluster within the flat slab segment. In this region, earthquakes are likely triggered by flexural processes where the slab changes from a flat to a steep subduction angle. First-order variations in the observed tectonic patterns also seem to be influenced by the thermomechanical configuration of the lithosphere. The mechanically strong domains of the forearc and foreland, due to their resistance to deformation, display smaller amounts of shortening than the relatively weak orogenic domain. In addition, the structural and thermomechanical characteristics modelled in this dissertation confirm previous analyses from geodynamic models pointing to the control of the observed heterogeneities in the orogen and foreland deformation style. These characteristics include the lithospheric and crustal thickness, the presence of weak sediments and the variations in gravitational potential energy. Specific conditions occur in the cold and strong northern foreland, which is characterized by active seismicity and thick-skinned structures, although the modelled crustal strength exceeds the typical values of externally-applied tectonic stresses. The additional mechanisms that could explain the strain localization in a region that should resist deformation are: (i) increased tectonic forces coming from the steepening of the slab and (ii) enhanced weakening along inherited structures from pre-Andean deformation events. Finally, the thermomechanical conditions of this sector of the foreland could be a key factor influencing the preservation of the flat subduction angle at these latitudes of the SCA. N2 - Die Anden sind eine ~7000 km lange N-S-verlaufende Hochgebirgskette, die entlang des westlichen südamerikanischen Kontinentalrandes entstanden ist. Aufgrund der Subduktion der ozeanischen Nazca-Platte unter die kontinentale südamerikanische Platte ist die Bildung des nördlichen und zentralen Teils des Gebirges typisch für eine nicht-kollisionale Orogenese. In den südlichen Zentralanden (SZA, 29-39° S) verändert sich der Subduktionswinkel der ozeanischen Platte zwischen 33 ° S und 35 ° S von fast horizontal (< 5° Einfallen) im Norden zu einem steileren Winkel (~ 30 ° Einfallen) im Süden. Begleitet wird dieser Trend von systematischen, Süd-gerichteten Abnahmen der topographischen Erhebung, der Krusteneinengung und der Vorland- und Orogenbreite, sowie von Variationen im Deformationsstil des Vorlandes, wo die Einengung des Deckgebirges in unterschiedlichem Maße von einer entsprechenden Deformation des Grundgebirges begleitet wird. . Darüber hinaus sind die SZA eine seismisch sehr aktive Region. Die Kontinentalplatte zeichnet sich durch eine relativ flache Seismizität (< 30 km Tiefe) aus, die sich hauptsächlich auf die Übergänge vom Orogen zu den Vorlandbereichen konzentriert; im Gegensatz dazu tritt tiefere Seismizität in den zentralen Bereichen des nördlichen Vorlandes auf. Darüber hinaus ist häufig auftretende Seismizität auch in den flachen Teilen der ozeanischen Platte und im Plattensegment mit flach einfallender Subduktion zwischen 31 ° S und 33 ° S festzustellen. Die beobachtete räumliche Heterogenität der tektonischen und seismischen Deformation in den SZA wurde auf mehrere Ursachen zurückgeführt, darunter Schwankungen der Sedimentmächtigkeit, das Vorhandensein vererbter Strukturen und Veränderungen des Subduktionswinkels der ozeanischen Platte. Es gibt jedoch bislang keine Studie, die den Zusammenhang zwischen der langfristigen rheologischen Konfiguration der SZA und den räumlichen Deformationsmustern untersucht hat. Darüber hinaus wurden die Auswirkungen der Dichte- und Mächtigkeitsvariationen in der kontinentalen Oberplatte und der verschiedenen Subduktionswinkel auf den rheologischen Zustand der Lithosphäre noch nicht grundlegend untersucht. Da die Rheologie von der Gesteinsart, dem Druck und der Temperatur abhängt, ist eine detaillierte Charakterisierung der Zusammensetzung, Struktur und des thermischen Feldes der Lithosphäre erforderlich. Daher habe ich unter Verwendung kombinierter Modellierungsansätze und geophysikalischer Daten die folgenden 3D Modelle für die Lithosphäre der SZA konstruiert: (i) ein auf seismischen Daten basierendes Struktur- und Dichtemodell, das anhand des beobachteten Schwerefeldes validiert wurde; (ii) ein thermisches Modell, das die Umwandlung von Mantelscherwellengeschwindigkeiten in Temperaturen mit Berechnungen des konduktiven Wärmetransports für stationäre Bedingungen in der obersten Lithosphäre (<50 km Tiefe) integriert und durch Temperatur- und Wärmeflussmessungen validiert wurde; und (iii) ein rheologisches Modell der langfristig bedingten Lithosphärenfestigkeit, das auf den zuvor erzeugten Modellen gründet. Die Ergebnisse dieser Dissertation zeigen, dass die thermischen und rheologischen Bedingungen in den heutigen SZA durch verschiedene Mechanismen in unterschiedlichen Tiefen gesteuert werden. In flachen Tiefen (< 50 km) wird das thermomechanische Feld durch die heterogene Zusammensetzung der kontinentalen Lithosphäre differenziert. Eine Überprägung durch die ozeanische Platte ist dort nachweisbar, wo die ozeanische Platte flach (< 85 km tief) und die radiogene Kruste dünn ist, was insgesamt zu niedrigeren Temperaturen und einer höheren Festigkeit im Vergleich zu Bereichen führt, in denen die Platte steil einfällt und die radiogene Kruste dick ist. In Tiefen > 50 km treten die größten Temperaturschwankungen dort auf, wo die subduzierten Platte nachgewiesen wurde, was bedeutet, dass das tiefe thermische Feld den Subduktionswinkel gesteuert wird. Die Ergebnisse dieser Doktorarbeit legen nahe, dass der langfristige thermomechanische Zustand der Lithosphäre die räumliche Verteilung rezenter Seismizität beeinflusst. Der größte Anteil innerhalb der Kontinentalplatte registrierter Erdbebentätigkeit tritt oberhalb des modellierten Übergangs von spröden zu duktilen Bedingungen auf. Außerdem besteht eine räumliche Korrelation zwischen Erdbebenclustern und den Übergängen von den mechanisch rigideren Vorlandbereichen (Forearc und Foreland) zum mechanisch schwächeren Orogen. Demgegenüber wird vermehrte Seismizität innerhalb der ozeanischen Platte auch dort nachgewiesen, wo entsprechend der Modellierung langfristig duktile Bedingungen erwartet werden. Ich habe daher den möglichen Einfluss zusätzlicher Mechanismen untersucht, die ein Auslösen dieser Erdbeben begünstigen könnten, darunter die Kompaktion von Sedimenten an der Subduktionsgrenzfläche und Dehydrationsreaktionen innerhalb der Platte. Dazu habe ich eine qualitative Analyse des Hydratationszustandes des Mantels unter Verwendung des Verhältnisses zwischen Kompressions- und Scherwellengeschwindigkeit (Vp/Vs-Verhältnis aus einemseismischen Tomographiemodell) durchgeführt. Die Ergebnisse dieser Analyse zeigen, dass der Großteil der Seismizität räumlich mit hydratisierten Bereichen in der subduzierten Platte und im darüber liegenden kontinentalen Mantel korreliert, mit Ausnahme eines Erdbebenclusters, das innerhalb des flachen Plattensegments auftritt. In diesem Bereich wechselt die subduzierte Platte von einem flachen in einen steilen Subduktionswinkel und Erdbeben werden wahrscheinlich durch Biegevorgänge in der Platte ausgelöst. Auch die wichtigsten Variationen in den beobachteten tektonischen Mustern scheinen durch die thermomechanische Konfiguration der Lithosphäre beeinflusst zu sein. Die mechanisch starken Bereiche von Forearc und Foreland zeigen aufgrund ihrer Verformungsbeständigkeit geringere Verkürzungsraten als der relativ schwache Bereich des Orogens. Darüber hinaus bestätigen die in dieser Dissertation modellierten strukturellen und thermomechanischen Eigenschaften der Lithosphäre auch frühere Analysen geodynamischer Simulationen, denen zufolge der Deformationsstil im Orogen- und Vorlandbereich jeweils von Variationen in der Lithosphären- und Krustendicke, im Vorhandensein schwacher Sedimente und in der gravitativen potentiellen Energie kontrolliert wird. Eine Sonderstellung nimmt der nordöstliche Vorlandbereich der SZA ein, wo eine verstärkte Seismizität und eine das Deck-und Grundgebirge erfassende Deformation zu beobachten sind, obwohl die modellierte Krustenfestigkeit dort Werte übersteigt, die für die in diesem Gebiet anzunehmenden tektonischen Spannungen typisch wären. . Mechanismen zur Lokalisierung verstärkter Deformation in einem Gebiet beitragen können, das nach den vorliegenden Modellen einer tektonischen Verformung widerstehen sollte, sind: (i) erhöhte tektonische Kräfte durch ein steileres Abtauchen der Platte und (ii) Schwächezonen in der Kruste, die auf prä-andine Deformationsereignisse zurückgehen. Schließlich könnten die thermomechanischen Bedingungen in diesem Teil des Vorlands einchlüsselfaktor für die Erhaltung des flachen Subduktionswinkels in diesen Breiten der SZA sein. KW - Andes KW - Anden KW - subduction KW - Subduktion KW - lithosphere KW - Lithosphäre KW - earthquakes KW - Erdbeben KW - modelling KW - Modellierung Y1 - 2022 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-549275 ER - TY - GEN A1 - Roelly, Sylvie A1 - Dai Pra, Paolo T1 - An existence result for infinite-dimensional Brownian diffusions with non- regular and non Markovian drift N2 - We prove in this paper an existence result for infinite-dimensional stationary interactive Brownian diffusions. The interaction is supposed to be small in the norm ||.||∞ but otherwise is very general, being possibly non-regular and non-Markovian. Our method consists in using the characterization of such diffusions as space-time Gibbs fields so that we construct them by space-time cluster expansions in the small coupling parameter. KW - infinite-dimensional Brownian diffusion KW - space-time Gibbs field KW - cluster expansion Y1 - 2004 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-6684 ER - TY - GEN A1 - Roelly, Sylvie A1 - Dereudre, David T1 - Propagation of Gibbsiannes for infinite-dimensional gradient Brownian diffusions N2 - We study the (strong-)Gibbsian character on R Z d of the law at time t of an infinitedimensional gradient Brownian diffusion , when the initial distribution is Gibbsian. KW - infinite-dimensional Brownian diffusion KW - Gibbs measure KW - cluster expansion Y1 - 2004 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-6918 ER - TY - GEN A1 - Roelly, Sylvie A1 - Dereudre, David T1 - On Gibbsianness of infinite-dimensional diffusions N2 - The authors analyse different Gibbsian properties of interactive Brownian diffusions X indexed by the d-dimensional lattice. In the first part of the paper, these processes are characterized as Gibbs states on path spaces. In the second part of the paper, they study the Gibbsian character on R^{Z^d} of the law at time t of the infinite-dimensional diffusion X(t), when the initial law is Gibbsian. AMS Classifications: 60G15 , 60G60 , 60H10 , 60J60 KW - infinite-dimensional Brownian diffusion KW - Gibbs field KW - cluster expansion Y1 - 2004 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-6692 ER - TY - INPR A1 - Roelly, Sylvie A1 - Fradon, Myriam T1 - Infinite system of Brownian balls : equilibrium measures are canonical Gibbs N2 - We consider a system of infinitely many hard balls in Rd undergoing Brownian motions and submitted to a smooth pair potential. It is modelized by an infinite-dimensional stochastic differential equation with a local time term. We prove that the set of all equilibrium measures, solution of a detailed balance equation, coincides with the set of canonical Gibbs measures associated to the hard core potential added to the smooth interaction potential. KW - Stochastic Differential Equation KW - hard core potential KW - Canonical Gibbs measure KW - detailed balance equation KW - reversible measure Y1 - 2006 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-6720 ER - TY - GEN A1 - Roelly, Sylvie A1 - Sortais, Michel T1 - Space-time asymptotics of an infinite-dimensional diffusion having a long- range memory N2 - We develop a cluster expansion in space-time for an infinite-dimensional system of interacting diffusions where the drift term of each diffusion depends on the whole past of the trajectory; these interacting diffusions arise when considering the Langevin dynamics of a ferromagnetic system submitted to a disordered external magnetic field. KW - Random Field Ising Model KW - Langevin Dynamics KW - Interacting Diffusion Processes KW - Space-Time Cluster Expansions Y1 - 2004 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-6700 ER - TY - GEN A1 - Roelly, Sylvie A1 - Thieullen, Michèle T1 - Duality formula for the bridges of a Brownian diffusion : application to gradient drifts N2 - In this paper, we consider families of time Markov fields (or reciprocal classes) which have the same bridges as a Brownian diffusion. We characterize each class as the set of solutions of an integration by parts formula on the space of continuous paths C[0; 1]; R-d) Our techniques provide a characterization of gradient diffusions by a duality formula and, in case of reversibility, a generalization of a result of Kolmogorov. KW - reciprocal processes KW - stochastic bridge KW - mixture of bridges KW - integration by parts formula KW - Malliavin calculus KW - entropy KW - time reversal Y1 - 2005 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-6710 ER - TY - THES A1 - Rolo, David T1 - Assembly of photosystem I in thylakoid membranes T1 - Die Assemblierung des Photosystems I in der Thylakoidmembran N2 - The light reactions of photosynthesis are carried out by a series of multiprotein complexes embedded in thylakoid membranes. Among them, photosystem I (PSI), acting as plastocyanin-ferderoxin oxidoreductase, catalyzes the final reaction. Together with light-harvesting antenna I, PSI forms a high-molecular-weight supercomplex of ~600 kDa, consisting of eighteen subunits and nearly two hundred co-factors. Assembly of the various components into a functional thylakoid membrane complex requires precise coordination, which is provided by the assembly machinery. Although this includes a small number of proteins (PSI assembly factors) that have been shown to play a role in the formation of PSI, the process as a whole, as well as the intricacy of its members, remains largely unexplored. In the present work, two approaches were used to find candidate PSI assembly factors. First, EnsembleNet was used to select proteins thought to be functionally related to known PSI assembly factors in Arabidopsis thaliana (approach I), and second, co-immunoprecipitation (Co-IP) of tagged PSI assembly factors in Nicotiana tabacum was performed (approach II). Here, the novel PSI assembly factors designated CO-EXPRESSED WITH PSI ASSEMBLY 1 (CEPA1) and Ycf4-INTERACTING PROTEIN 1 (Y4IP1) were identified. A. thaliana null mutants for CEPA1 and Y4IP1 showed a growth phenotype and pale leaves compared with the wild type. Biophysical experiments using pulse amplitude modulation (PAM) revealed insufficient electron transport on the PSII acceptor side. Biochemical analyses revealed that both CEPA1 and Y4IP1 are specifically involved in PSI accumulation in A. thaliana at the post-translational level but are not essential. Consistent with their roles as factors in the assembly of a thylakoid membrane protein complex, the two proteins localize to thylakoid membranes. Remarkably, cepa1 y4ip1 double mutants exhibited lethal phenotypes in early developmental stages under photoautotrophic growth. Finally, co-IP and native gel experiments supported a possible role for CEPA1 and Y4IP1 in mediating PSI assembly in conjunction with other PSI assembly factors (e.g., PPD1- and PSA3-CEPA1 and Ycf4-Y4IP1). The fact that CEPA1 and Y4IP1 are found exclusively in green algae and higher plants suggests eukaryote-specific functions. Although the specific mechanisms need further investigation, CEPA1 and Y4IP1 are two novel assembly factors that contribute to PSI formation. N2 - Die Lichtreaktionen der Photosynthese werden von einer Reihe von Multiproteinkomplexen durchgeführt, die in Thylakoidmembranen eingebettet sind. Hier katalysiert das Photosystem I (PSI), das als Plastocyanin-Ferderoxin-Oxidoreduktase fungiert, die letzte Reaktion. Zusammen mit der lichtsammelnden Antenne I bildet PSI einen hochmolekularen Superkomplex von etwa 600 kDa, der aus achtzehn Untereinheiten und fast zweihundert Co-Faktoren besteht. Der Zusammenbau der verschiedenen Komponenten zu einem funktionsfähigen Thylakoidmembrankomplex erfordert eine präzise Koordination, die durch den Assemblierungsapparat gewährleistet wird. Obwohl dieser eine kleine Anzahl von Proteinen (PSI-Assemblierungsfaktoren) umfasst, die nachweislich eine Rolle bei der Bildung des PSI spielen, ist der Prozess als Ganzes sowie die Komplexität seiner Mitglieder noch weitgehend unerforscht. In der vorliegenden Arbeit wurden zwei Ansätze verwendet, um Kandidaten für PSI-Assemblierungsfaktoren zu finden. Erstens wurde EnsembleNet verwendet, um Proteine auszuwählen, von denen angenommen wird, dass sie funktionell mit bekannten PSI-Assemblierungsfaktoren in Arabidopsis thaliana verwandt sind (Ansatz I), und zweitens wurde eine Co-Immunopräzipitation (Co-IP) von markierten PSI-Assemblierungsfaktoren in Nicotiana tabacum durchgeführt (Ansatz II). Dabei wurden die neuartigen PSI-Assemblierungsfaktoren mit der Bezeichnung CO-EXPRESSED WITH PSI ASSEMBLY 1 (CEPA1) und Ycf4-INTERACTING PROTEIN 1 (Y4IP1) identifiziert. A. thaliana Nullmutanten für CEPA1 und Y4IP1 zeigten einen Wachstumsphänotyp und blasse Blätter im Vergleich zum Wildtyp. Biophysikalische Experimente unter Verwendung der Pulsamplitudenmodulation (PAM) zeigten einen unzureichenden Elektronentransport auf der PSII-Akzeptorseite. Biochemische Analysen ergaben, dass sowohl CEPA1 als auch Y4IP1 spezifisch an der PSI-Akkumulation in A. thaliana auf posttranslationaler Ebene beteiligt, jedoch nicht essentiell sind. Entsprechend ihrer Rolle als Faktoren für den Aufbau eines Thylakoidmembran-Proteinkomplexes sind die beiden Proteine an Thylakoidmembranen lokalisiert. Bemerkenswerterweise wiesen cepa1 y4ip1-Doppelmutanten in frühen Entwicklungsstadien unter photoautotrophem Wachstum tödliche Phänotypen auf. Schließlich untermauerten Co-IP- und native Gelexperimente eine mögliche Rolle von CEPA1 und Y4IP1 bei der Vermittlung des PSI-Aufbaus in Verbindung mit anderen PSI-Aufbaufaktoren (z. B. PPD1- und PSA3-CEPA1, und Ycf4-Y4IP1). Die Tatsache, dass CEPA1 und Y4IP1 ausschließlich in Grünalgen und höheren Pflanzen vorkommen, lässt auf eukaryontenspezifische Funktionen schließen. Obwohl die spezifischen Mechanismen noch weiter untersucht werden müssen, sind CEPA1 und Y4IP1 zwei neuartige Assemblierungsfaktoren, die zur PSI-Bildung beitragen. KW - photosynthesis KW - photosystem I KW - biogenesis KW - thylakoid membranes KW - assembly factor KW - Photosynthese KW - Photosystem I KW - Biogenese KW - Thylakoidmembran KW - Assemblierungsfaktor Y1 - 2023 ER - TY - CHAP A1 - Romero, G. E. A1 - Owocki, S. P. A1 - Araudo, A. T. A1 - Townsend, R. H. D. A1 - Benaglia, P. T1 - Using gamma-rays to probe the clumped structure of stellar winds N2 - Gamma-rays can be produced by the interaction of a relativistic jet and the matter of the stellar wind in the subclass of massive X-ray binaries known as “microquasars”. The relativistic jet is ejected from the surroundings of the compact object and interacts with cold protons from the stellar wind, producing pions that then quickly decay into gamma-rays. Since the resulting gamma-ray emissivity depends on the target density, the detection of rapid variability in microquasars with GLAST and the new generation of Cherenkov imaging arrays could be used to probe the clumped structure of the stellar wind. In particular, we show here that the relative fluctuation in gamma rays may scale with the square root of the ratio of porosity length to binary separation, $\sqrt{h/a}$, implying for example a ca. 10% variation in gamma ray emission for a quite moderate porosity, h/a ∼ 0.01. Y1 - 2007 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-18210 ER - TY - JOUR A1 - Rose, Robert A1 - Groeger, Lars A1 - Hölzle, Katharina T1 - The Emergence of Shared Leadership in Innovation Labs JF - Frontiers in Psychology N2 - Implementing innovation laboratories to leverage intrapreneurship are an increasingly popular organizational practice. A typical feature in these creative environments are semi-autonomous teams in which multiple members collectively exert leadership influence, thereby challenging traditional command-and-control conceptions of leadership. An extensive body of research on the team-centric concept of shared leadership has recognized the potential for pluralized leadership structures in enhancing team effectiveness; however, little empirical work has been conducted in organizational contexts in which creativity is key. This study set out to explore antecedents of shared leadership and its influence on team creativity in an innovation lab. Building on extant shared leadership and innovation research, we propose antecedents customary to creative teamwork, that is, experimental culture, task reflexivity, and voice. Multisource data were collected from 104 team members and 49 evaluations of 29 coaches nested in 21 teams working in a prototypical innovation lab. We identify factors specific to creative teamwork that facilitate the emergence of shared leadership by providing room for experimentation, encouraging team members to speak up in the creative process, and cultivating a reflective application of entrepreneurial thinking. We provide specific exemplary activities for innovation lab teams to increase levels of shared leadership. KW - innovation laboratories KW - intrapreneurship KW - team creativity KW - shared leadership KW - social network analysis Y1 - 2021 U6 - https://doi.org/10.3389/fpsyg.2021.685167 SN - 1664-1078 VL - 12 SP - 1 EP - 13 PB - Frontiers in psychology CY - Lausanne, Schweiz ER - TY - JOUR A1 - Rosenblum, Michael A1 - Pikovskij, Arkadij A1 - Kühn, Andrea A. A1 - Busch, Johannes Leon T1 - Real-time estimation of phase and amplitude with application to neural data JF - Scientific reports N2 - Computation of the instantaneous phase and amplitude via the Hilbert Transform is a powerful tool of data analysis. This approach finds many applications in various science and engineering branches but is not proper for causal estimation because it requires knowledge of the signal’s past and future. However, several problems require real-time estimation of phase and amplitude; an illustrative example is phase-locked or amplitude-dependent stimulation in neuroscience. In this paper, we discuss and compare three causal algorithms that do not rely on the Hilbert Transform but exploit well-known physical phenomena, the synchronization and the resonance. After testing the algorithms on a synthetic data set, we illustrate their performance computing phase and amplitude for the accelerometer tremor measurements and a Parkinsonian patient’s beta-band brain activity. Y1 - 2021 U6 - https://doi.org/10.1038/s41598-021-97560-5 SN - 2045-2322 VL - 11 PB - Springer Nature CY - London ER - TY - CHAP A1 - Rossmanith, Eva A1 - Blaum, Niels A1 - Keil, Manfred A1 - Langerwisch, F. A1 - Meyer, Jork A1 - Popp, Alexander A1 - Schmidt, Michael A1 - Schultz, Christoph A1 - Schwager, Monika A1 - Vogel, Melanie A1 - Wasiolka, Bernd A1 - Jeltsch, Florian T1 - Scaling up local population dynamics to regional scales BT - an integrated approach N2 - In semi-arid savannas, unsustainable land use can lead to degradation of entire landscapes, e.g. in the form of shrub encroachment. This leads to habitat loss and is assumed to reduce species diversity. In BIOTA phase 1, we investigated the effects of land use on population dynamics on farm scale. In phase 2 we scale up to consider the whole regional landscape consisting of a diverse mosaic of farms with different historic and present land use intensities. This mosaic creates a heterogeneous, dynamic pattern of structural diversity at a large spatial scale. Understanding how the region-wide dynamic land use pattern affects the abundance of animal and plant species requires the integration of processes on large as well as on small spatial scales. In our multidisciplinary approach, we integrate information from remote sensing, genetic and ecological field studies as well as small scale process models in a dynamic region-wide simulation tool.
Interdisziplinäres Zentrum für Musterdynamik und Angewandte Fernerkundung Workshop vom 9. - 10. Februar 2006. Y1 - 2006 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-7320 N1 - [Poster] ER - TY - JOUR A1 - Rowe, John Carlos T1 - Disease, culture, and transnationalism in the Americas JF - Mobilisierte Kulturen Y1 - 2011 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-57345 SN - 2192-3019 SN - 2192-3027 IS - 1 SP - 71 EP - 87 ER - TY - THES A1 - Ruch, Joël T1 - Volcano deformation analysis in the Lazufre area (central Andes) using geodetic and geological observations T1 - Vulkan Deformationsanalyse im Bereich Lazufre (Zentral-Anden) mit geodätischen und geologischen Beobachtungen N2 - Large-scale volcanic deformation recently detected by radar interferometry (InSAR) provides new information and thus new scientific challenges for understanding volcano-tectonic activity and magmatic systems. The destabilization of such a system at depth noticeably affects the surrounding environment through magma injection, ground displacement and volcanic eruptions. To determine the spatiotemporal evolution of the Lazufre volcanic area located in the central Andes, we combined short-term ground displacement acquired by InSAR with long-term geological observations. Ground displacement was first detected using InSAR in 1997. By 2008, this displacement affected 1800 km2 of the surface, an area comparable in size to the deformation observed at caldera systems. The original displacement was followed in 2000 by a second, small-scale, neighbouring deformation located on the Lastarria volcano. We performed a detailed analysis of the volcanic structures at Lazufre and found relationships with the volcano deformations observed with InSAR. We infer that these observations are both likely to be the surface expression of a long-lived magmatic system evolving at depth. It is not yet clear whether Lazufre may trigger larger unrest or volcanic eruptions; however, the second deformation detected at Lastarria and the clear increase of the large-scale deformation rate make this an area of particular interest for closer continuous monitoring. N2 - Vulkanische Deformationen in großem Maßstab, die mittels InSAR gemessen wurden, liefern neue Informationen und dadurch einen neuen Blickwinkel auf vulkan-tektonische Aktivitäten und das Verständnis von langlebigen, magmatischen Systemen. Die Destabilisierung eines solchen Systems in der Tiefe beeinflusst dauerhaft die Oberfläche durch Versatz des Bodens, magmatische Einflüsse und vulkanische Unruhen. Mit der Kombination aus kleinräumigem Bodenversatz gemessen mittels InSAR, numerischer Modellierung und langfristigen geologischen Beobachtungen, analysieren wir die Gegend um den Vulkan Lazufre in den Zentralanden, um die raumzeitliche Entwicklung der Region zu bestimmen. Bodenversatz wurde hierbei im Jahr 1997 mittels Radar-Interferrometrie (InSAR) gemessen, was eine Fläche von 1800 km² ausmacht, vergleichbar mit der Größe der Deformation des Kraters. Im Jahr 2000 wurde zusätzlich eine kleinräumige Deformation am Nachbarvulkan Lastarria entdeckt. Wir sehen räumliche als auch zeitliche Verbindungen zwischen der Deformation des Vulkans und vulkanischen Strukturen innerhalb der betroffenen Gegend. Wir folgern daraus, dass diese Beobachtungen der Ausdruck eines langlebigen, magmatischen Systems in der Tiefe an der Oberfläche sind. Es ist noch nicht klar, ob Lazufre größere vulkanische Unruhen, wie zum Beispiel Eruptionen auslösen könnte, aber die Deformation am Vulkan Lastarria und ein Anstieg der großräumigen Deformationsrate, machen diese Region interessant für eine zukünftige, kontinuierliche Überwachung. KW - Vulkan Verformung KW - InSAR KW - zentralen Anden KW - Spannungsfeld KW - volcano deformation KW - InSAR KW - central Andes KW - stress field Y1 - 2010 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-47361 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 - CHAP A1 - Runacres, M. C. T1 - Hydrodynamical models of clumping beyond 50 R∗ N2 - We present one-dimensional, time-dependent models of the clumps generated by the linedeshadowing instability. In order to follow the clumps out to distances of more than 1000 R∗, we use an efficient moving-box technique. We show that, within the approximations, the wind can remain clumped well into the formation region of the radio continuum. Y1 - 2007 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-18030 ER - TY - THES A1 - Rust, Henning T1 - Detection of long-range dependence : applications in climatology and hydrology T1 - Detektion langreichweitiger Korrelationen : Anwendungen in Klimatologie und Hydrologie N2 - It is desirable to reduce the potential threats that result from the variability of nature, such as droughts or heat waves that lead to food shortage, or the other extreme, floods that lead to severe damage. To prevent such catastrophic events, it is necessary to understand, and to be capable of characterising, nature's variability. Typically one aims to describe the underlying dynamics of geophysical records with differential equations. There are, however, situations where this does not support the objectives, or is not feasible, e.g., when little is known about the system, or it is too complex for the model parameters to be identified. In such situations it is beneficial to regard certain influences as random, and describe them with stochastic processes. In this thesis I focus on such a description with linear stochastic processes of the FARIMA type and concentrate on the detection of long-range dependence. Long-range dependent processes show an algebraic (i.e. slow) decay of the autocorrelation function. Detection of the latter is important with respect to, e.g. trend tests and uncertainty analysis. Aiming to provide a reliable and powerful strategy for the detection of long-range dependence, I suggest a way of addressing the problem which is somewhat different from standard approaches. Commonly used methods are based either on investigating the asymptotic behaviour (e.g., log-periodogram regression), or on finding a suitable potentially long-range dependent model (e.g., FARIMA[p,d,q]) and test the fractional difference parameter d for compatibility with zero. Here, I suggest to rephrase the problem as a model selection task, i.e.comparing the most suitable long-range dependent and the most suitable short-range dependent model. Approaching the task this way requires a) a suitable class of long-range and short-range dependent models along with suitable means for parameter estimation and b) a reliable model selection strategy, capable of discriminating also non-nested models. With the flexible FARIMA model class together with the Whittle estimator the first requirement is fulfilled. Standard model selection strategies, e.g., the likelihood-ratio test, is for a comparison of non-nested models frequently not powerful enough. Thus, I suggest to extend this strategy with a simulation based model selection approach suitable for such a direct comparison. The approach follows the procedure of a statistical test, with the likelihood-ratio as the test statistic. Its distribution is obtained via simulations using the two models under consideration. For two simple models and different parameter values, I investigate the reliability of p-value and power estimates obtained from the simulated distributions. The result turned out to be dependent on the model parameters. However, in many cases the estimates allow an adequate model selection to be established. An important feature of this approach is that it immediately reveals the ability or inability to discriminate between the two models under consideration. Two applications, a trend detection problem in temperature records and an uncertainty analysis for flood return level estimation, accentuate the importance of having reliable methods at hand for the detection of long-range dependence. In the case of trend detection, falsely concluding long-range dependence implies an underestimation of a trend and possibly leads to a delay of measures needed to take in order to counteract the trend. Ignoring long-range dependence, although present, leads to an underestimation of confidence intervals and thus to an unjustified belief in safety, as it is the case for the return level uncertainty analysis. A reliable detection of long-range dependence is thus highly relevant in practical applications. Examples related to extreme value analysis are not limited to hydrological applications. The increased uncertainty of return level estimates is a potentially problem for all records from autocorrelated processes, an interesting examples in this respect is the assessment of the maximum strength of wind gusts, which is important for designing wind turbines. The detection of long-range dependence is also a relevant problem in the exploration of financial market volatility. With rephrasing the detection problem as a model selection task and suggesting refined methods for model comparison, this thesis contributes to the discussion on and development of methods for the detection of long-range dependence. N2 - Die potentiellen Gefahren und Auswirkungen der natürlicher Klimavariabilitäten zu reduzieren ist ein wünschenswertes Ziel. Solche Gefahren sind etwa Dürren und Hitzewellen, die zu Wasserknappheit führen oder, das andere Extrem, Überflutungen, die einen erheblichen Schaden an der Infrastruktur nach sich ziehen können. Um solche katastrophalen Ereignisse zu vermeiden, ist es notwendig die Dynamik der Natur zu verstehen und beschreiben zu können. Typischerweise wird versucht die Dynamik geophysikalischer Datenreihen mit Differentialgleichungssystemen zu beschreiben. Es gibt allerdings Situationen in denen dieses Vorgehen nicht zielführend oder technisch nicht möglich ist. Dieses sind Situationen in denen wenig Wissen über das System vorliegt oder es zu komplex ist um die Modellparameter zu identifizieren. Hier ist es sinnvoll einige Einflüsse als zufällig zu betrachten und mit Hilfe stochastischer Prozesse zu modellieren. In dieser Arbeit wird eine solche Beschreibung mit linearen stochastischen Prozessen der FARIMA-Klasse angestrebt. Besonderer Fokus liegt auf der Detektion von langreichweitigen Korrelationen. Langreichweitig korrelierte Prozesse sind solche mit einer algebraisch, d.h. langsam, abfallenden Autokorrelationsfunktion. Eine verläßliche Erkennung dieser Prozesse ist relevant für Trenddetektion und Unsicherheitsanalysen. Um eine verläßliche Strategie für die Detektion langreichweitig korrelierter Prozesse zur Verfügung zu stellen, wird in der Arbeit ein anderer als der Standardweg vorgeschlagen. Gewöhnlich werden Methoden eingesetzt, die das asymptotische Verhalten untersuchen, z.B. Regression im Periodogramm. Oder aber es wird versucht ein passendes potentiell langreichweitig korreliertes Modell zu finden, z.B. aus der FARIMA Klasse, und den geschätzten fraktionalen Differenzierungsparameter d auf Verträglichkeit mit dem trivialen Wert Null zu testen. In der Arbeit wird vorgeschlagen das Problem der Detektion langreichweitiger Korrelationen als Modellselektionsproblem umzuformulieren, d.h. das beste kurzreichweitig und das beste langreichweitig korrelierte Modell zu vergleichen. Diese Herangehensweise erfordert a) eine geeignete Klasse von lang- und kurzreichweitig korrelierten Prozessen und b) eine verläßliche Modellselektionsstrategie, auch für nichtgenestete Modelle. Mit der flexiblen FARIMA-Klasse und dem Whittleschen Ansatz zur Parameterschätzung ist die erste Voraussetzung erfüllt. Hingegen sind standard Ansätze zur Modellselektion, wie z.B. der Likelihood-Ratio-Test, für nichtgenestete Modelle oft nicht trennscharf genug. Es wird daher vorgeschlagen diese Strategie mit einem simulationsbasierten Ansatz zu ergänzen, der insbesondere für die direkte Diskriminierung nichtgenesteter Modelle geeignet ist. Der Ansatz folgt einem statistischen Test mit dem Quotienten der Likelihood als Teststatistik. Ihre Verteilung wird über Simulationen mit den beiden zu unterscheidenden Modellen ermittelt. Für zwei einfache Modelle und verschiedene Parameterwerte wird die Verläßlichkeit der Schätzungen für p-Wert und Power untersucht. Das Ergebnis hängt von den Modellparametern ab. Es konnte jedoch in vielen Fällen eine adäquate Modellselektion etabliert werden. Ein wichtige Eigenschaft dieser Strategie ist, dass unmittelbar offengelegt wird, wie gut sich die betrachteten Modelle unterscheiden lassen. Zwei Anwendungen, die Trenddetektion in Temperaturzeitreihen und die Unsicherheitsanalyse für Bemessungshochwasser, betonen den Bedarf an verläßlichen Methoden für die Detektion langreichweitiger Korrelationen. Im Falle der Trenddetektion führt ein fälschlicherweise gezogener Schluß auf langreichweitige Korrelationen zu einer Unterschätzung eines Trends, was wiederum zu einer möglicherweise verzögerten Einleitung von Maßnahmen führt, die diesem entgegenwirken sollen. Im Fall von Abflußzeitreihen führt die Nichtbeachtung von vorliegenden langreichweitigen Korrelationen zu einer Unterschätzung der Unsicherheit von Bemessungsgrößen. Eine verläßliche Detektion von langreichweitig Korrelierten Prozesse ist somit von hoher Bedeutung in der praktischen Zeitreihenanalyse. Beispiele mit Bezug zu extremem Ereignissen beschränken sich nicht nur auf die Hochwasseranalyse. Eine erhöhte Unsicherheit in der Bestimmung von extremen Ereignissen ist ein potentielles Problem von allen autokorrelierten Prozessen. Ein weiteres interessantes Beispiel ist hier die Abschätzung von maximalen Windstärken in Böen, welche bei der Konstruktion von Windrädern eine Rolle spielt. Mit der Umformulierung des Detektionsproblems als Modellselektionsfrage und mit der Bereitstellung geeigneter Modellselektionsstrategie trägt diese Arbeit zur Diskussion und Entwicklung von Methoden im Bereich der Detektion von langreichweitigen Korrelationen bei. KW - langreichweitige Korrelationen KW - nichtgenestete Modellselektion KW - FARIMA KW - Unsicherheitsanalyse KW - Bemessungshochwasser KW - long-range dependence KW - long-memory KW - non-nested model selection KW - FARIMA KW - uncertainty analysis KW - return level estimation Y1 - 2007 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-13347 ER - TY - JOUR A1 - Rösler, Antonia A1 - Gasparatos, Nikolaos A1 - Hermanussen, Michael A1 - Scheffler, Christiane T1 - Practicability and user-friendliness of height measurements by proof of concept APP using Augmented Reality, in 22 healthy children JF - Human biology and public health N2 - Background: Child growth is a dynamic process. When measured at short intervals, children’s growth shows characteristic patterns that can be of great importance for clinical purposes. Objective: To study whether measuring height on a daily basis using an APP is practicable and user-friendly. Methods: Recruitment took place via Snowball Sampling. Thirteen out of 14 contacted families signed up for a study period of 12 weeks with altogether 22 healthy children aged 3 to 13 years (response rate 93%). The study started with a visit to the family home for the setup of the measurement site, conventional height measuring and initial training of the new measurement process. Follow-up appointments were made at four, eight and 12 weeks. The children’s height was measured at daily intervals at their family homes over a period of three months. Results: The parents altogether recorded 1704 height measurements and meticulously documented practicability and problems when using the device. A 93% response rate in recruitment was achieved by maintaining a high motivation within the families. Contact with the principal investigator was permanently available, including open communication, personal training and attendance during the appointments at the family homes. Conclusion: Measuring height by photographic display is interesting for children and parents and can be used for height measurements at home. A positive response rate of 13 out of 14 families with altogether 22 children highlights feasible recruitment and the high convenience and user-friendliness of daily APP-supported height measurements. Daily APP measurements appear to be a promising new tool for longitudinal growth studies. KW - body height KW - guideline KW - augmented reality KW - daily home-made measurements KW - iPhone KW - APP Y1 - 2022 U6 - https://doi.org/10.52905/hbph2022.2.48 SN - 2748-9957 VL - 2022 IS - 2 PB - Universitätsverlag Potsdam CY - Potsdam ER - TY - JOUR A1 - Rösler, Antonia A1 - Scheffler, Christiane A1 - Hermanussen, Michael T1 - No evidence of growth impairment after forced migration in Polish school children after World War II JF - Human biology and public health N2 - Background: Migration is omnipresent. It can come hand in hand with emotional stress which is known to influence the growth of children. Objective: The aim of this study was to analyse whether type of migration (forced or voluntary) and the geographic direction had influenced the growth of Polish children after World War II. Sample and Methods: A sub dataset of 2,208 individuals between the ages of 2-20, created from data of the 2nd Polish Anthropological Survey carried out in 1966–1969, including anthropometrical data and social and demographic information based on questionnaire, was used to analyse migration effects. Results: No association could be found between the direction of migration and the height of the children. The confidence intervals of the means of all classified migration categories overlap significantly and the effect size of the influence of migration category on height is ds=.140, which is too low to see any effects, even if there were one. Conclusion: Neither forced nor voluntary migration in Poland after World War II led to a change in height in children of migrating families. KW - nutrition KW - stunting KW - socioeconomy KW - education KW - secular changes KW - pubertal timing Y1 - 2023 U6 - https://doi.org/10.52905/hbph2023.1.68 SN - 2748-9957 VL - 1 PB - Universitätsverlag Potsdam CY - Potsdam ER - TY - JOUR A1 - Röthlisberger, Livia T1 - Transformative Justice in South Sudan BT - The Transformative Potential of a Contextualized Transitional Justice Process JF - Transitional Justice : Theoretical and Practical Approaches (Potsdamer Studien zu Staat, Recht und Politik ; 7) N2 - This chapter takes the ongoing conflict in South Sudan as a starting point for assessing the concept of transitional justice as such and its implementation in the country in particular. Following a brief description of the conflict and the peace processes, the author sheds light on the shortcomings of the established concept of transitional justice in the situation at hand. Then, the author outlines the alternate concept of transformational justice und takes a closer look at its implications on the situation in South Sudan. The author highlights existing initiatives of transformative justice and is very much in favour of their victim-centered approach. Y1 - 2022 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-570480 SN - 978-3-86956-473-9 SN - 1869-2443 SN - 1867-2663 IS - 7 SP - 167 EP - 191 PB - Universitätsverlag Potsdam CY - Potsdam ER - TY - THES A1 - Rözer, Viktor T1 - Pluvial flood loss to private households T1 - Schäden durch urbane Sturzfluten in Privathaushalten N2 - Today, more than half of the world’s population lives in urban areas. With a high density of population and assets, urban areas are not only the economic, cultural and social hubs of every society, they are also highly susceptible to natural disasters. As a consequence of rising sea levels and an expected increase in extreme weather events caused by a changing climate in combination with growing cities, flooding is an increasing threat to many urban agglomerations around the globe. To mitigate the destructive consequences of flooding, appropriate risk management and adaptation strategies are required. So far, flood risk management in urban areas is almost exclusively focused on managing river and coastal flooding. Often overlooked is the risk from small-scale rainfall-triggered flooding, where the rainfall intensity of rainstorms exceeds the capacity of urban drainage systems, leading to immediate flooding. Referred to as pluvial flooding, this flood type exclusive to urban areas has caused severe losses in cities around the world. Without further intervention, losses from pluvial flooding are expected to increase in many urban areas due to an increase of impervious surfaces compounded with an aging drainage infrastructure and a projected increase in heavy precipitation events. While this requires the integration of pluvial flood risk into risk management plans, so far little is known about the adverse consequences of pluvial flooding due to a lack of both detailed data sets and studies on pluvial flood impacts. As a consequence, methods for reliably estimating pluvial flood losses, needed for pluvial flood risk assessment, are still missing. Therefore, this thesis investigates how pluvial flood losses to private households can be reliably estimated, based on an improved understanding of the drivers of pluvial flood loss. For this purpose, detailed data from pluvial flood-affected households was collected through structured telephone- and web-surveys following pluvial flood events in Germany and the Netherlands. Pluvial flood losses to households are the result of complex interactions between impact characteristics such as the water depth and a household’s resistance as determined by its risk awareness, preparedness, emergency response, building properties and other influencing factors. Both exploratory analysis and machine-learning approaches were used to analyze differences in resistance and impacts between households and their effects on the resulting losses. The comparison of case studies showed that the awareness around pluvial flooding among private households is quite low. Low awareness not only challenges the effective dissemination of early warnings, but was also found to influence the implementation of private precautionary measures. The latter were predominately implemented by households with previous experience of pluvial flooding. Even cases where previous flood events affected a different part of the same city did not lead to an increase in preparedness of the surveyed households, highlighting the need to account for small-scale variability in both impact and resistance parameters when assessing pluvial flood risk. While it was concluded that the combination of low awareness, ineffective early warning and the fact that only a minority of buildings were adapted to pluvial flooding impaired the coping capacities of private households, the often low water levels still enabled households to mitigate or even prevent losses through a timely and effective emergency response. These findings were confirmed by the detection of loss-influencing variables, showing that cases in which households were able to prevent any loss to the building structure are predominately explained by resistance variables such as the household’s risk awareness, while the degree of loss is mainly explained by impact variables. Based on the important loss-influencing variables detected, different flood loss models were developed. Similar to flood loss models for river floods, the empirical data from the preceding data collection was used to train flood loss models describing the relationship between impact and resistance parameters and the resulting loss to building structures. Different approaches were adapted from river flood loss models using both models with the water depth as only predictor for building structure loss and models incorporating additional variables from the preceding variable detection routine. The high predictive errors of all compared models showed that point predictions are not suitable for estimating losses on the building level, as they severely impair the reliability of the estimates. For that reason, a new probabilistic framework based on Bayesian inference was introduced that is able to provide predictive distributions instead of single loss estimates. These distributions not only give a range of probable losses, they also provide information on how likely a specific loss value is, representing the uncertainty in the loss estimate. Using probabilistic loss models, it was found that the certainty and reliability of a loss estimate on the building level is not only determined by the use of additional predictors as shown in previous studies, but also by the choice of response distribution defining the shape of the predictive distribution. Here, a mix between a beta and a Bernoulli distribution to account for households that are able to prevent losses to their building’s structure was found to provide significantly more certain and reliable estimates than previous approaches using Gaussian or non-parametric response distributions. The successful model transfer and post-event application to estimate building structure loss in Houston, TX, caused by pluvial flooding during Hurricane Harvey confirmed previous findings, and demonstrated the potential of the newly developed multi-variable beta model for future risk assessments. The highly detailed input data set constructed from openly available data sources containing over 304,000 affected buildings in Harris County further showed the potential of data-driven, building-level loss models for pluvial flood risk assessment. In conclusion, pluvial flood losses to private households are the result of complex interactions between impact and resistance variables, which should be represented in loss models. The local occurrence of pluvial floods requires loss estimates on high spatial resolutions, i.e. on the building level, where losses are variable and uncertainties are high. Therefore, probabilistic loss estimates describing the uncertainty of the estimate should be used instead of point predictions. While the performance of probabilistic models on the building level are mainly driven by the choice of response distribution, multi-variable models are recommended for two reasons: First, additional resistance variables improve the detection of cases in which households were able to prevent structural losses. Second, the added variability of additional predictors provides a better representation of the uncertainties when loss estimates from multiple buildings are aggregated. This leads to the conclusion that data-driven probabilistic loss models on the building level allow for a reliable loss estimation at an unprecedented level of detail, with a consistent quantification of uncertainties on all aggregation levels. This makes the presented approach suitable for a wide range of applications, from decision support in spatial planning to impact- based early warning systems. N2 - Über die Hälfte der Weltbevölkerung lebt heute in Städten. Mit einer hohen Dichte an Menschen, Gütern und Gebäuden sind Städte nicht nur die wirtschaftlichen, politischen und kulturellen Zentren einer Gesellschaft, sondern auch besonders anfällig gegenüber Naturkatastrophen. Insbesondere Hochwasser und Überflutungen stellen in Folge von steigenden Meeresspiegeln und einer erwarteten Zunahme von Extremwettereignissen eine wachsende Bedrohung in vielen Regionen dar. Um die möglichen Folgen dieser Entwicklung zu vermeiden bzw. zu reduzieren, ist es notwendig sich der steigenden Gefahr durch geeignete Maßnahmen anzupassen. Bisher ist der Hochwasserschutz in Städten beinahe ausschließlich auf Überflutungen durch Flusshochwasser oder Sturmfluten fokussiert. Dabei werden sogenannte urbane Sturzfluten, die in den letzten Jahren vermehrt zu hohen Schäden in Städten geführt haben, nicht berücksichtigt. Bei urbanen Sturzfluten führen lokale Starkniederschläge mit hohen Regenmengen zu einer Überlastung des städtischen Abwassersystems und damit zu einer direkten, oft kleinräumigen Überflutung innerhalb eines bebauten Gebiets. Mit einer prognostizierten Zunahme von Starkniederschlägen, sowie einer baulichen Verdichtung und damit einhergehender Flächenversiegelung in vielen Städten, ist mit einer Zunahme von urbanen Sturzfluten zu rechnen. Dies verlangt die Einbindung des Risikos durch urbane Sturzfluten in bestehende Hochwasserschutzkonzepte. Bisher fehlen allerdings sowohl detaillierte Daten als auch Methoden um das Risiko durch urbane Sturzfluten und die dadurch verursachten Schäden, etwa an Wohngebäuden, zuverlässig abzuschätzen. Aus diesem Grund beschäftigt sich diese Arbeit hauptsächlich mit der Entwicklung von Verfahren und Modellen zur Abschätzung von Schäden an Privathaushalten durch urbane Sturzfluten. Dazu wurden detaillierte Daten durch Telefon- und Online-Umfragen nach urbanen Sturzflutereignissen in Deutschland und in den Niederlanden erhoben und ausgewertet. Die Erkenntnisse aus den detaillierten Analysen zu Vorsorge, Notmaßnahmen und Wiederherstellung, vor, während und nach urbanen Sturzflutereignissen, wurden genutzt um eine neue Methode zur Schätzung von Schäden an Wohngebäuden zu entwickeln. Dabei werden neben Angaben wie Dauer und Höhe der Überflutung, auch Eigenschaften von Haushalten, wie etwa deren Risikobewusstsein, in die Schätzung miteinbezogen. Nach lokaler Validierung wurde die neuentwickelte Methode beispielhaft zur Schätzung von Wohngebäudeschäden nach einem urbanen Sturzflutereignis im Großraum Houston (Texas, USA) erfolgreich angewendet. Anders als bei bisherigen Ansätzen wird der geschätzte Schaden eines Wohngebäudes nicht als einzelner Wert angegeben, sondern als Verteilung, welche die Bandbreite möglicher Schäden und deren Wahrscheinlichkeit angibt. Damit konnte die Zuverlässigkeit von Schadensschätzungen im Vergleich zu bisherigen Verfahren erheblich verbessert werden. Durch die erfolgreiche Anwendung sowohl auf der Ebene einzelner Gebäude als auch für gesamte Städte, ergibt sich ein breites Spektrum an Nutzungsmöglichkeiten, etwa als Entscheidungsunterstützung in der Stadtplanung oder für eine verbesserte Frühwarnung vor urbanen Sturzfluten. KW - Schadensmodellierung KW - Unsicherheiten KW - Starkregen KW - Privathaushalte KW - damage modeling KW - economic impacts KW - uncertainty KW - private households KW - probabilistic KW - pluvial flooding Y1 - 2018 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-429910 ER - TY - CHAP A1 - Saget, Sylvie A1 - Guyomard, Marc T1 - Goal-oriented dialog as a collaborative subordinated activity involving collective acceptance N2 - Modeling dialog as a collaborative activity consists notably in specifying the contain of the Conversational Common Ground and the kind of social mental state involved. In previous work (Saget, 2006), we claim that Collective Acceptance is the proper social attitude for modeling Conversational Common Ground in the particular case of goal-oriented dialog. We provide a formalization of Collective Acceptance, besides elements in order to integrate this attitude in a rational model of dialog are provided; and finally, a model of referential acts as being part of a collaborative activity is provided. The particular case of reference has been chosen in order to exemplify our claims. Y1 - 2006 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-10420 ER - TY - JOUR A1 - Sagu Tchewonpi, Sorel A1 - Huschek, Gerd A1 - Waldbach Braga, Tess A1 - Rackiewicz, Michal A1 - Homann, Thomas A1 - Rawel, Harshadrai Manilal T1 - Design of Experiment (DoE) for Optimization of HPLC Conditions for the Simultaneous Fractionation of Seven α-Amylase/Trypsin Inhibitors from Wheat (Triticum aestivum L.) JF - Processes : open access journal N2 - Wheat alpha-amylase/trypsin inhibitors remain a subject of interest considering the latest findings showing their implication in wheat-related non-celiac sensitivity (NCWS). Understanding their functions in such a disorder is still unclear and for further study, the need for pure ATI molecules is one of the limiting problems. In this work, a simplified approach based on the successive fractionation of ATI extracts by reverse phase and ion exchange chromatography was developed. ATIs were first extracted from wheat flour using a combination of Tris buffer and chloroform/methanol methods. The separation of the extracts on a C18 column generated two main fractions of interest F1 and F2. The response surface methodology with the Doehlert design allowed optimizing the operating parameters of the strong anion exchange chromatography. Finally, the seven major wheat ATIs namely P01083, P17314, P16850, P01085, P16851, P16159, and P83207 were recovered with purity levels (according to the targeted LC-MS/MS analysis) of 98.2 ± 0.7; 98.1 ± 0.8; 97.9 ± 0.5; 95.1 ± 0.8; 98.3 ± 0.4; 96.9 ± 0.5, and 96.2 ± 0.4%, respectively. MALDI-TOF-MS analysis revealed single peaks in each of the pure fractions and the mass analysis yielded deviations of 0.4, 1.9, 0.1, 0.2, 0.2, 0.9, and 0.1% between the theoretical and the determined masses of P01083, P17314, P16850, P01085, P16851, P16159, and P83207, respectively. Overall, the study allowed establishing an efficient purification process of the most important wheat ATIs. This paves the way for further in-depth investigation of the ATIs to gain more knowledge related to their involvement in NCWS disease and to allow the absolute quantification in wheat samples. KW - wheat KW - α-amylase/trypsin inhibitors KW - fractionation KW - purification KW - reversed-phase chromatography KW - ion-exchange chromatography KW - design of experiment KW - LC–MS/MS KW - MALDI-TOF-MS Y1 - 2022 U6 - https://doi.org/10.3390/pr10020259 SN - 2227-9717 VL - 10 SP - 1 EP - 18 PB - MDPI CY - Basel, Schweiz ET - 2 ER - TY - CHAP A1 - Saléschus, Dirk T1 - On resolving long distance dependencies in Russian verbs N2 - Morphological analyses based on word syntax approaches can encounter difficulties with long distance dependencies. The reason is that in some cases an affix has to have access to the inner structure of the form with which it combines. One solution is the percolation of features from ther inner morphemes to the outer morphemes with some process of feature unification. However, the obstacle of percolation constraints or stipulated features has lead some linguists to argue in favour of other frameworks such as, e.g., realizational morphology or parallel approaches like optimality theory. This paper proposes a linguistic analysis of two long distance dependencies in the morphology of Russian verbs, namely secondary imperfectivization and deverbal nominalization.We show how these processes can be reanalysed as local dependencies. Although finitestate frameworks are not bound by such linguistically motivated considerations, we present an implementation of our analysis as proposed in [1] that does not complicate the grammar or enlarge the network unproportionally. Y1 - 2008 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-27235 ER - TY - JOUR A1 - Sarabadani, Jalal A1 - Metzler, Ralf A1 - Ala-Nissila, Tapio T1 - Driven polymer translocation into a channel: Isoflux tension propagation theory and Langevin dynamics simulations JF - Physical Review Research N2 - Isoflux tension propagation (IFTP) theory and Langevin dynamics (LD) simulations are employed to study the dynamics of channel-driven polymer translocation in which a polymer translocates into a narrow channel and the monomers in the channel experience a driving force fc. In the high driving force limit, regardless of the channel width, IFTP theory predicts τ ∝ f βc for the translocation time, where β = −1 is the force scaling exponent. Moreover, LD data show that for a very narrow channel fitting only a single file of monomers, the entropic force due to the subchain inside the channel does not play a significant role in the translocation dynamics and the force exponent β = −1 regardless of the force magnitude. As the channel width increases the number of possible spatial configurations of the subchain inside the channel becomes significant and the resulting entropic force causes the force exponent to drop below unity. Y1 - 2022 U6 - https://doi.org/10.1103/PhysRevResearch.4.033003 SN - 2643-1564 VL - 4 SP - 033003-1 EP - 033003-14 PB - American Physical Society CY - College Park, Maryland, USA ET - 3 ER - TY - JOUR A1 - Sariati, Dorsaf A1 - Hammami, Raouf A1 - Zouhal, Hassane A1 - Clark, Cain Craig Truman A1 - Nebigh, Ammar A1 - Chtara, Moktar A1 - Chortane, Sabri Gaied A1 - Hackney, Anthony C. A1 - Souissi, Nizar A1 - Granacher, Urs A1 - Ben Ounis, Omar ED - Trecroci, Athos T1 - Improvement of Physical Performance Following a 6 Week Change-of-Direction Training Program in Elite Youth Soccer Players of Different Maturity Levels JF - Frontiers in physiology N2 - Background: Change-of-direction (CoD) is a necessary physical ability of a field sport and may vary in youth players according to their maturation status. Objectives: The aim of this study is: to compare the effectiveness of a 6-week CoD training intervention on dynamic balance (CS-YBT), horizontal jump (5JT), speed (10 and 30-m linear sprint times), CoD with (15 m-CoD + B) and without (15 m-CoD) the ball, in youth male soccer players at different levels of maturity [pre- and post-peak height velocity (PHV)]. Materials and Methods: Thirty elite male youth soccer players aged 10–17 years from the Tunisian first division participated in this study. The players were divided into pre- (G1, n = 15) and post-PHV (G2, n = 15) groups. Both groups completed a similar 6-week training program with two sessions per week of four CoD exercises. All players completed the following tests before and after intervention: CS-YBT; 5 JT; 10, 30, and 15 m-CoD; and 15 m-CoD + B, and data were analyzed using ANCOVA. Results: All 30 players completed the study according to the study design and methodology. Adherence rate was 100% across all groups, and no training or test-related injuries were reported. Pre-PHV and post-PHV groups showed significant amelioration post-intervention for all dependent variables (after test > before test; p < 0.01, d = 0.09–1.51). ANOVA revealed a significant group × time interaction only for CS-YBT (F = 4.45; p < 0.04; η2 = 0.14), 5JT (F = 6.39; p < 0.02; η2 = 0.18), and 15 m-CoD (F = 7.88; p < 0.01; η2 = 0.22). CS-YBT, 5JT, and 15 m-CoD improved significantly in the post-PHV group (+ 4.56%, effect size = 1.51; + 4.51%, effect size = 1.05; and -3.08%, effect size = 0.51, respectively), more than the pre-PHV group (+ 2.77%, effect size = 0.85; + 2.91%, effect size = 0.54; and -1.56%, effect size = 0.20, respectively). Conclusion: The CoD training program improved balance, horizontal jump, and CoD without the ball in male preadolescent and adolescent soccer players, and this improvement was greater in the post-PHV players. The maturity status of the athletes should be considered when programming CoD training for soccer players. KW - youth soccer KW - peak height velocity KW - change of direction speed KW - training adaptation KW - football Y1 - 2021 U6 - https://doi.org/10.3389/fphys.2021.668437 SN - 1664-042X VL - 12 SP - 1 EP - 8 PB - Frontiers Research Foundation CY - Lausanne, Schweiz ER - TY - JOUR A1 - Sariati, Dorsaf A1 - Zouhal, Hassane A1 - Hammami, Raouf A1 - Clark, Cain Craig Truman A1 - Nebigh, Ammar A1 - Chtara, Moktar A1 - Hackney, Anthony C. A1 - Souissi, Nizar A1 - Granacher, Urs A1 - Ben Ounis, Omar T1 - Association Between Mental Imagery and Change of Direction Performance in Young Elite Soccer Players of Different Maturity Status JF - Frontiers in Psychology N2 - Previous studies have not considered the potential influence of maturity status on the relationship between mental imagery and change of direction (CoD) speed in youth soccer. Accordingly, this cross-sectional study examined the association between mental imagery and CoD performance in young elite soccer players of different maturity status. Forty young male soccer players, aged 10-17 years, were assigned into two groups according to their predicted age at peak height velocity (PHV) (Pre-PHV; n = 20 and Post-PHV; n = 20). Participants were evaluated on soccer-specific tests of CoD with (CoDBall-15m) and without (CoD-15m) the ball. Participants completed the movement imagery questionnaire (MIQ) with the three- dimensional structure, internal visual imagery (IVI), external visual imagery (EVI), as well as kinesthetic imagery (KI). The Post-PHV players achieved significantly better results than Pre-PHV in EVI (ES = 1.58, large; p < 0.001), CoD-15m (ES = 2.09, very large; p < 0.001) and CoDBall-15m (ES = 1.60, large; p < 0.001). Correlations were significantly different between maturity groups, where, for the pre-PHV group, a negative very large correlation was observed between CoDBall-15m and KI (r = –0.73, p = 0.001). For the post-PHV group, large negative correlations were observed between CoD-15m and IVI (r = –0.55, p = 0.011), EVI (r = –062, p = 0.003), and KI (r = –0.52, p = 0.020). A large negative correlation of CoDBall-15m with EVI (r = –0.55, p = 0.012) and very large correlation with KI (r = –0.79, p = 0.001) were also observed. This study provides evidence of the theoretical and practical use for the CoD tasks stimulus with imagery. We recommend that sport psychology specialists, coaches, and athletes integrated imagery for CoD tasks in pre-pubertal soccer players to further improve CoD related performance. KW - mental imagery KW - football KW - maturation KW - speed KW - adolescents Y1 - 2021 U6 - https://doi.org/10.3389/fpsyg.2021.665508 SN - 1664-1078 VL - 12 SP - 1 EP - 9 PB - Frontiers Research Foundation CY - Lausanne, Schweiz ER - TY - JOUR A1 - Schachter, Allison T1 - Barry Trachtenberg, The Holocaust & the Exile of Yiddish: A History of the Algemeyne Entsiklopedye (New Brunswick, NJ: Rutgers University Press, 2022), 336 pp., $ 37.50 JF - PaRDeS : Journal of the Association for Jewish Studies in Germany JF - PaRDeS : Zeitschrift der Vereinigung für Jüdische Studien e.V. Y1 - 2023 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-585836 SN - 978-3-86956-552-1 SN - 1614-6492 SN - 1862-7684 IS - 28 SP - 121 EP - 125 PB - Universitätsverlag Potsdam CY - Potsdam ER - TY - JOUR A1 - Schaefer, Laura A1 - Dech, Silas A1 - Aehle, Markus A1 - Bittmann, Frank T1 - Disgusting odours affect the characteristics of the adaptive force in contrast to neutral and pleasant odours JF - Scientific Reports N2 - The olfactomotor system is especially investigated by examining the sniffing in reaction to olfactory stimuli. The motor output of respiratory-independent muscles was seldomly considered regarding possible influences of smells. The Adaptive Force (AF) characterizes the capability of the neuromuscular system to adapt to external forces in a holding manner and was suggested to be more vulnerable to possible interfering stimuli due to the underlying complex control processes. The aim of this pilot study was to measure the effects of olfactory inputs on the AF of the hip and elbow flexors, respectively. The AF of 10 subjects was examined manually by experienced testers while smelling at sniffing sticks with neutral, pleasant or disgusting odours. The reaction force and the limb position were recorded by a handheld device. The results show, inter alia, a significantly lower maximal isometric AF and a significantly higher AF at the onset of oscillations by perceiving disgusting odours compared to pleasant or neutral odours (p < 0.001). The adaptive holding capacity seems to reflect the functionality of the neuromuscular control, which can be impaired by disgusting olfactory inputs. An undisturbed functioning neuromuscular system appears to be characterized by a proper length tension control and by an earlier onset of mutual oscillations during an external force increase. This highlights the strong connection of olfaction and motor control also regarding respiratory-independent muscles. Y1 - 2021 U6 - https://doi.org/10.1038/s41598-021-95759-0 SN - 2045-2322 VL - 11 SP - 1 EP - 16 PB - Springer Nature CY - London ER - TY - THES A1 - Schauer, Nicolas T1 - Quantitative trait loci (QTL) for metabolite accumulation and metabolic regulation : metabolite profiling of interspecific crosses of tomato T1 - Metabolomische Analyse von interspezifischen Tomaten N2 - The advent of large-scale and high-throughput technologies has recently caused a shift in focus in contemporary biology from decades of reductionism towards a more systemic view. Alongside the availability of genome sequences the exploration of organisms utilizing such approach should give rise to a more comprehensive understanding of complex systems. Domestication and intensive breeding of crop plants has led to a parallel narrowing of their genetic basis. The potential to improve crops by conventional breeding using elite cultivars is therefore rather limited and molecular technologies, such as marker assisted selection (MAS) are currently being exploited to re-introduce allelic variance from wild species. Molecular breeding strategies have mostly focused on the introduction of yield or resistance related traits to date. However given that medical research has highlighted the importance of crop compositional quality in the human diet this research field is rapidly becoming more important. Chemical composition of biological tissues can be efficiently assessed by metabolite profiling techniques, which allow the multivariate detection of metabolites of a given biological sample. Here, a GC/MS metabolite profiling approach has been applied to investigate natural variation of tomatoes with respect to the chemical composition of their fruits. The establishment of a mass spectral and retention index (MSRI) library was a prerequisite for this work in order to establish a framework for the identification of metabolites from a complex mixture. As mass spectral and retention index information is highly important for the metabolomics community this library was made publicly available. Metabolite profiling of tomato wild species revealed large differences in the chemical composition, especially of amino and organic acids, as well as on the sugar composition and secondary metabolites. Intriguingly, the analysis of a set of S. pennellii introgression lines (IL) identified 889 quantitative trait loci of compositional quality and 326 yield-associated traits. These traits are characterized by increases/decreases not only of single metabolites but also of entire metabolic pathways, thus highlighting the potential of this approach in uncovering novel aspects of metabolic regulation. Finally the biosynthetic pathway of the phenylalanine-derived fruit volatiles phenylethanol and phenylacetaldehyde was elucidated via a combination of metabolic profiling of natural variation, stable isotope tracer experiments and reverse genetic experimentation. N2 - Die Einführung von Hochdurchsatzmethoden zur Analyse von biologischen Systemen, sowie die umfangreiche Sequenzierung von Genomen haben zu einer Verlagerung der Forschung „im Detail“ zu einer ganzheitlicheren Betrachtungsweise auf Systemebene geführt. Aus einer jahrhundertlangen, intensiven Züchtung und Selektion von Nutzpflanzen resultierte gleichzeitig eine Abnahme der genetischen Varianz. Daraus resultierend sind Nutzpflanzen anfälliger gegenüber Stressfaktoren, wie Pathogenen, hohen Salzkonzentrationen oder Trockenheit, als ihre Wildarten. Das Potential konventioneller Züchtung scheint somit heute an seine Grenzen gekommen zu sein. Daher versucht man mittels moderner Molekulartechnik, wie zum Beispiel Marker-gestützte Selektion, Gene oder ganze Genombereiche von Wildarten mit hoher genetischer Variation in Nutzpflanzen einzukreuzen, vornehmlich mit dem Ziel einer Ertrags- bzw. Resistenzsteigerung. Neueste medizinische Studien belegen, dass die Ernährung eine wesentliche Rolle für die menschliche Gesundheit spielt. Besonders wichtig sind hierbei die gesundheitsfördernden Substanzen in pflanzlichen Nahrungsmitteln. Aus diesem Grund kommt der Erforschung der biochemischen Zusammensetzung von biologischen Proben eine immer größere Bedeutung zu. Diese Untersuchung kann elegant durch Metabolitenprofile, welche die multivariate Analyse komplexer biologischer Proben erlauben, durchgeführt werden. In dieser Arbeit wurde zur Untersuchung der biochemischen Zusammensetzung von Tomatenwildarten und interspezifischen S. pennellii Tomatenintrogressionslinien (IL) eine GC/MS basierte Metabolitenanalyseplattform verwendet. Hierzu war es zunächst notwendig eine Massenspektrenbibliothek, zur Annotierung von Massenspektren und Retentionsindices von, in pflanzlichen Proben vorkommenden, Metaboliten anzulegen. Die Analyse der Tomatenwildarten ergab große Unterschiede gegenüber der Kulturtomate im Hinblick auf den Gehalt an Amino- und organischen Säuren, sowie der Zuckerzusammensetzung und den Gehalt an Sekundärmetaboliten. Die darauf folgende Analyse der ILs, von den jede ein genau definiertes genomisches Segment von S. pennellii beinhaltet, bestätigte diese enorme Variation mit 889 metabolischen und 326 ertragsassozierten-Veränderungen in den ILs. Die metabolischen Veränderungen zeichneten sich durch abnehmende bzw. steigende Gehalte von einzelnen Metaboliten, aber auch durch eine koordinierte Änderung aus. In dieser Arbeit wurde weiterhin der Biosyntheseweg der Volatilenstoffe Phenylethanol und Phenylacetaldehyd mit Hilfe einer IL untersucht. Hierbei konnten durch stabile Isotopenmarkierung und eines „reverse genetics“-Ansatzes Gene bzw. Enzyme identifiziert werden, die für die Dekarboxylierung des Eduktes Phenylalanin verantwortlich sind. Diese Arbeit beschreibt erstmals die umfassende Analyse von biochemischen Komponenten auf Genombasis in Tomatenintrogressionslinien und zeigt damit ein Werkzeug auf zur Identifizierung von qualitativen biochemischen Merkmalen in der modernen molekularen Züchtung. KW - Tomate KW - Metabolit KW - GC-MS KW - Introgression KW - Frucht KW - Metabolome KW - Züchtung KW - metabolic genomics KW - Tomato KW - metabolite profiling KW - metabolome KW - breeding KW - crops KW - fruit KW - metabolite breeding KW - metabolic genomics Y1 - 2006 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-7643 ER - TY - JOUR A1 - Scheck-Wenderoth, Magdalena A1 - Cacace, Mauro A1 - Maystrenko, Yuriy Petrovich A1 - Cherubini, Yvonne A1 - Noack, Vera A1 - Kaiser, Bjoern Onno A1 - Sippel, Judith A1 - Bjoern, Lewerenz T1 - Models of heat transport in the Central European Basin System: Effective mechanisms at different scales JF - Marine and petroleum geology N2 - Understanding heat transport in sedimentary basins requires an assessment of the regional 3D heat distribution and of the main physical mechanisms responsible for the transport of heat. We review results from different 3D numerical simulations of heat transport based on 3D basin models of the Central European Basin System (CEBS). Therefore we compare differently detailed 3D structural models of the area, previously published individually, to assess the influence of (1) different configurations of the deeper lithosphere, (2) the mechanism of heat transport considered and (3) large faults dissecting the sedimentary succession on the resulting thermal field and groundwater flow. Based on this comparison we propose a modelling strategy linking the regional and lithosphere-scale to the sub-basin and basin-fill scale and appropriately considering the effective heat transport processes. We find that conduction as the dominant mechanism of heat transport in sedimentary basins is controlled by the distribution of thermal conductivities, compositional and thickness variations of both the conductive and radiogenic crystalline crust as well as the insulating sediments and by variations in the depth to the thermal lithosphere-asthenosphere boundary. Variations of these factors cause thermal anomalies of specific wavelength and must be accounted for in regional thermal studies. In addition advective heat transport also exerts control on the thermal field on the regional scale. In contrast, convective heat transport and heat transport along faults is only locally important and needs to be considered for exploration on the reservoir scale. The general applicability of the proposed workflow makes it of interest for a broad range of application in geosciences including oil and gas exploration, geothermal utilization or carbon capture and sequestration issues. (C) 2014 Elsevier Ltd. All rights reserved. KW - 3D thermal model KW - Geothermal field KW - Sedimentary basin KW - Heat transport by conduction KW - Advection and convection KW - Central European Basin System Y1 - 2014 U6 - https://doi.org/10.1016/j.marpetgeo.2014.03.009 SN - 0264-8172 SN - 1873-4073 VL - 55 SP - 315 EP - 331 PB - Elsevier CY - Oxford ER - TY - JOUR A1 - Scheffler, Christiane A1 - Hermanussen, Michael T1 - What does stunting tell us? JF - Human biology and public health N2 - Stunting is commonly linked with undernutrition. Yet, already after World War I, German pediatricians questioned this link and stated that no association exists between nutrition and height. Recent analyses within different populations of Low- and middle-income countries with high rates of stunted children failed to support the assumption that stunted children have a low BMI and skinfold sickness as signs of severe caloric deficiency. So, stunting is not a synonym of malnutrition. Parental education level has a positive influence on body height in stunted populations, e.g., in India and in Indonesia. Socially disadvantaged children tend to be shorter and lighter than children from affluent families. Humans are social mammals; they regulate growth similar to other social mammals. Also in humans, body height is strongly associated with the position within the social hierarchy, reflecting the personal and group-specific social, economic, political, and emotional environment. These non-nutritional impact factors on growth are summarized by the concept of SEPE (Social-Economic-Political-Emotional) factors. SEPE reflects on prestige, dominance-subordination, social identity, and ego motivation of individuals and social groups. KW - SEPE Factors KW - physical fitness KW - height in history KW - malnutrition Y1 - 2023 U6 - https://doi.org/10.52905/hbph2022.3.36 SN - 2748-9957 VL - 2022 IS - 3 SP - 1 EP - 15 PB - Universitätsverlag Potsdam CY - Potsdam ER - TY - JOUR A1 - Scheffler, Christiane A1 - Hermanussen, Michael T1 - Stunting does not impair physical fitness in Indonesian school children JF - Human biology and public health N2 - Background: Physical fitness is decreased in malnourished children and adults. Poor appearance and muscular flaccidity are among the first signs of malnutrition. Malnutrition is often associated with stunting. Objectives: We test the hypotheses that stunted children of low social strata are physically less fit than children of high social strata. Sample: We investigated 354 school girls and 369 school boys aged 5.83 to 13.83 (mean 9.54) years from three different social strata in Kupang (West-Timor, Indonesia) in 2020. Methods: We measured height, weight, and elbow breadth, calculated standard deviation (SDS) of height and weight according to CDC references, and the Frame index as an indicator of long-term physical fitness, and we tested physical fitness in standing long jump and hand grip strength. Results: Children of low social strata are physically fittest. They jump longer distances, and they have higher values in the Frame index. No association exists between height SDS and physical fitness, neither in respect to standing long jump, nor to hand grip strength. Conclusion: Stunting does not impair physical fitness in Indonesian school children. Our results support the concept that SEPE (social-economic-political-emotional) factors are involved in the regulation of human growth. KW - stunting KW - standing long jump KW - handgrip strength KW - SEPE KW - frame index Y1 - 2021 U6 - https://doi.org/10.52905/hbph.v2.19 SN - 2748-9957 IS - 2 PB - Universitätsverlag Potsdam CY - Potsdam ER - TY - JOUR A1 - Scheffler, Christiane A1 - Nguyen, Thi Hong A1 - Hermanussen, Michael T1 - Vietnamese migrants are as tall as they want to be JF - Human biology and public health N2 - Background: Members of the same social group tent to have the same body height. Migrants tend to adjust in height to their host communities. Objectives: Social-Economic-Political-Emotional (SEPE) factors influence growth. We hypothesized that Vietnamese young adult migrants in Germany (1) are taller than their parents, (2) are as tall as their German peers, and (3) are as tall as predicted by height expectation at age 13 years. Sample: The study was conducted in 30 male and 54 female Vietnamese migrants (mean age 26.23 years. SD=4.96) in Germany in 2020. Methods: Information on age, sex, body height, school and education, job, height and ethnicity of best friend, migration history and cultural identification, parental height and education, and recalled information on their personal height expectations at age 13 years were obtained by questionnaire. The data were analyzed by St. Nicolas House Analysis (SNHA) and multiple regression. Results: Vietnamese young adults are taller than their parents (females 3.85cm, males 7.44cm), but do not fully attain height of their German peers. The body height is positively associated with the height of best friend (p < 0.001), the height expectation at age 13 year (p < 0.001), and father’s height (p=0.001). Conclusion: Body height of Vietnamese migrants in Germany reflects competitive growth and strategic growth adjustments. The magnitude of this intergenerational trend supports the concept that human growth depends on SEPE factors. KW - body height KW - regulation of growth KW - migrants KW - Social-Economic-Political-Emotional (SEPE) factors Y1 - 2021 U6 - https://doi.org/10.52905/hbph.v2.12 SN - 2748-9957 IS - 2 PB - Universitätsverlag Potsdam CY - Potsdam ER - TY - JOUR A1 - Scheffler, Christiane A1 - Rogol, Alan D. A1 - Iancu, Mirela A1 - Hanc, Tomasz A1 - Moelyo, Annang Giri A1 - Suchomlinov, Andrej A1 - Lebedeva, Lidia A1 - Limony, Yehuda A1 - Musalek, Martin A1 - Veldre, Gudrun A1 - Godina, Elena Z. A1 - Kirchengast, Sylvia A1 - Mumm, Rebekka A1 - Groth, Detlef A1 - Tutkuviene, Janina A1 - Böker, Sonja A1 - Ozer, Basak Koca A1 - Navazo, Barbara A1 - Spake, Laure A1 - Koziel, Slawomir A1 - Hermanussen, Michael T1 - Growth during times of fear and emotional stress BT - Proceedings of the 28th Aschauer Soiree, held at Potsdam, Germany, and online, November 14th 2020 JF - Human biology and public health N2 - Twenty-one scientists met for this year’s virtual conference on Auxology held at the University Potsdam, Germany, to discuss child and adolescent growth during times of fear and emotional stress. Growth within the broad range of normal for age and sex is considered a sign of good general health whereas fear and emotional stress can lead to growth faltering. Stunting is a sign of social disadvantage and poor parental education. Adverse childhood experiences affect child development, particularly in families with low parental education and low socioeconomic status. Negative effects were also shown in Indian children exposed prenatally and in early postnatal life to the cyclone Aila in 2009. Distrust, fears and fake news regarding the current Corona pandemic received particular attention though the effects generally appeared weak. Mean birth weight was higher; rates of low, very and extremely low birth weight were lower. Other topics discussed by the participants, were the influences of economic crises on birth weight, the measurement of self-confidence and its impact on growth, the associations between obesity, peer relationship, and behavior among Turkish adolescents, height trends in Indonesia, physiological neonatal weight loss, methods for assessing biological maturation in sportsmen, and a new method for skeletal age determination. The participants also discussed the association between acute myocardial infarction and somatotype in Estonia, rural-urban growth differences in Mongolian children, socio-environmental conditions and sexual dimorphism, biological mortality bias, and new statistical techniques for describing inhomogeneity in the association of bivariate variables, and for detecting and visualizing extensive interactions among variables. KW - stunting KW - birth weight KW - fear KW - emotional stress KW - economy KW - SEPE Y1 - 2021 U6 - https://doi.org/10.52905/hbph.v2.15 SN - 2748-9957 IS - 2 PB - Universitätsverlag Potsdam CY - Potsdam ER - TY - THES A1 - Schemenz, Victoria T1 - Correlations between osteocyte lacuno-canalicular network and material characteristics in bone adaptation and regeneration T1 - Korrelationen zwischen dem lakuno-kanalikulären Netzwerk der Osteozyten und Materialeigenschaften bei der Knochenanpassung und -regeneration N2 - The complex hierarchical structure of bone undergoes a lifelong remodeling process, where it adapts to mechanical needs. Hereby, bone resorption by osteoclasts and bone formation by osteoblasts have to be balanced to sustain a healthy and stable organ. Osteocytes orchestrate this interplay by sensing mechanical strains and translating them into biochemical signals. The osteocytes are located in lacunae and are connected to one another and other bone cells via cell processes through small channels, the canaliculi. Lacunae and canaliculi form a network (LCN) of extracellular spaces that is able to transport ions and enables cell-to-cell communication. Osteocytes might also contribute to mineral homeostasis by direct interactions with the surrounding matrix. If the LCN is acting as a transport system, this should be reflected in the mineralization pattern. The central hypothesis of this thesis is that osteocytes are actively changing their material environment. Characterization methods of material science are used to achieve the aim of detecting traces of this interaction between osteocytes and the extracellular matrix. First, healthy murine bones were characterized. The properties analyzed were then compared with three murine model systems: 1) a loading model, where a bone of the mouse was loaded during its life time; 2) a healing model, where a bone of the mouse was cut to induce a healing response; and 3) a disease model, where the Fbn1 gene is dysfunctional causing defects in the formation of the extracellular tissue. The measurement strategy included routines that make it possible to analyze the organization of the LCN and the material components (i.e., the organic collagen matrix and the mineral particles) in the same bone volumes and compare the spatial distribution of different data sets. The three-dimensional network architecture of the LCN is visualized by confocal laser scanning microscopy (CLSM) after rhodamine staining and is then subsequently quantified. The calcium content is determined via quantitative backscattered electron imaging (qBEI), while small- and wide-angle X-ray scattering (SAXS and WAXS) are employed to determine the thickness and length of local mineral particles. First, tibiae cortices of healthy mice were characterized to investigate how changes in LCN architecture can be attributed to interactions of osteocytes with the surrounding bone matrix. The tibial mid-shaft cross-sections showed two main regions, consisting of a band with unordered LCN surrounded by a region with ordered LCN. The unordered region is a remnant of early bone formation and exhibited short and thin mineral particles. The surrounding, more aligned bone showed ordered and dense LCN as well as thicker and longer mineral particles. The calcium content was unchanged between the two regions. In the mouse loading model, the left tibia underwent two weeks of mechanical stimulation, which results in increased bone formation and decreased resorption in skeletally mature mice. Here the specific research question addressed was how do bone material characteristics change at (re)modeling sites? The new bone formed in response to mechanical stimulation showed similar properties in terms of the mineral particles, like the ordered calcium region but lower calcium content compared to the right, non-loaded control bone of the same mice. There was a clear, recognizable border between mature and newly formed bone. Nevertheless, some canaliculi went through this border connecting the LCN of mature and newly formed bone. Additionally, the question should be answered whether the LCN topology and the bone matrix material properties adapt to loading. Although, mechanically stimulated bones did not show differences in calcium content compared to controls, different correlations were found between the local LCN density and the local Ca content depending on whether the bone was loaded or not. These results suggest that the LCN may serve as a mineral reservoir. For the healing model, the femurs of mice underwent an osteotomy, stabilized with an external fixator and were allowed to heal for 21 days. Thus, the spatial variations in the LCN topology with mineral properties within different tissue types and their interfaces, namely calcified cartilage, bony callus and cortex, could be simultaneously visualized and compared in this model. All tissue types showed structural differences across multiple length scales. Calcium content increased and became more homogeneous from calcified cartilage to bony callus to lamellar cortical bone. The degree of LCN organization increased as well, while the lacunae became smaller, as did the lacunar density between these different tissue types that make up the callus. In the calcified cartilage, the mineral particles were short and thin. The newly formed callus exhibited thicker mineral particles, which still had a low degree of orientation. While most of the callus had a woven-like structure, it also served as a scaffold for more lamellar tissue at the edges. The lamelar bone callus showed thinner mineral particles, but a higher degree of alignment in both, mineral particles and the LCN. The cortex showed the highest values for mineral length, thickness and degree of orientation. At the same time, the lacunae number density was 34% lower and the lacunar volume 40% smaller compared to bony callus. The transition zone between cortical and callus regions showed a continuous convergence of bone mineral properties and lacunae shape. Although only a few canaliculi connected callus and the cortical region, this indicates that communication between osteocytes of both tissues should be possible. The presented correlations between LCN architecture and mineral properties across tissue types may suggest that osteocytes have an active role in mineralization processes of healing. A mouse model for the disease marfan syndrome, which includes a genetic defect in the fibrillin-1 gene, was investigated. In humans, Marfan syndrome is characterized by a range of clinical symptoms such as long bone overgrowth, loose joints, reduced bone mineral density, compromised bone microarchitecture, and increased fracture rates. Thus, fibrillin-1 seems to play a role in the skeletal homeostasis. Therefore, the present work studied how marfan syndrome alters LCN architecture and the surrounding bone matrix. The mice with marfan syndrome showed longer tibiae than their healthy littermates from an age of seven weeks onwards. In contrast, the cortical development appeared retarded, which was observed across all measured characteristics, i. e. lower endocortical bone formation, looser and less organized lacuno-canalicular network, less collagen orientation, thinner and shorter mineral particles. In each of the three model systems, this study found that changes in the LCN architecture spatially correlated with bone matrix material parameters. While not knowing the exact mechanism, these results provide indications that osteocytes can actively manipulate a mineral reservoir located around the canaliculi to make a quickly accessible contribution to mineral homeostasis. However, this interaction is most likely not one-sided, but could be understood as an interplay between osteocytes and extra-cellular matrix, since the bone matrix contains biochemical signaling molecules (e.g. non-collagenous proteins) that can change osteocyte behavior. Bone (re)modeling can therefore not only be understood as a method for removing defects or adapting to external mechanical stimuli, but also for increasing the efficiency of possible osteocyte-mineral interactions during bone homeostasis. With these findings, it seems reasonable to consider osteocytes as a target for drug development related to bone diseases that cause changes in bone composition and mechanical properties. It will most likely require the combined effort of materials scientists, cell biologists, and molecular biologists to gain a deeper understanding of how bone cells respond to their material environment. N2 - Knochen haben eine komplexe hierarchische Struktur, die einen lebenslangen Umbauprozess durchläuft, bei dem der Knochen sich seinen mechanischen Anforderungen anpasst. Um ein gesundes und stabiles Organ zu erhalten müssen Knochenresorption (durch Osteoklasten) und Knochenbildung (durch Osteoblasten) ausgewogen sein. Osteozyten lenken dieses Wechselspiel, indem sie mechanische Belastungen wahrnehmen und sie in biochemische Signale übersetzen. Die Osteozyten sitzen in Lakunen und sind durch Kanälchen untereinander und mit anderen Knochenzellen über ein Netzwerk (LCN) verbunden, das in der Lage ist, Ionen zu transportieren und eine Kommunikation von Zelle zu Zelle zu ermöglichen. Außerdem vermutet man, dass Osteozyten auch durch direkte Wechselwirkungen mit der umgebenden Matrix zur Mineralhomöostase beitragen könnten. Im Mittelpunkt dieser Arbeit steht die Frage, ob Osteozyten ihre materielle Umgebung aktiv verändern können. Um Spuren dieser Wechselwirkung zwischen Osteozyten und der extrazellulären Matrix nachzuweisen, werden materialwissenschaftliche Charakterisierungsmethoden eingesetzt. Zunächst wurden gesunde Mäuseknochen charakterisiert. Die erworbenen Ergebnisse wurden dann mit drei murinen Modellsystemen verglichen: 1) einem Belastungsmodell; 2) ein Heilungsmodell und 3) ein Krankheitsmodell, bei dem das Fbn1-Gen dysfunktional ist und Defekte in der Bildung des extrazellulären Gewebes verursacht werden. Die Messstrategie umfasste Routinen, die es ermöglichen, die Organisation des LCN und der Materialkomponenten (d.h. die organische Kollagenmatrix und die mineralischen Partikel) in denselben Knochenvolumina zu analysieren und die räumliche Verteilung der verschiedenen Datensätze zu vergleichen. Die dreidimensionale Netzwerkarchitektur des LCN wird durch konfokale Laser-Scanning-Mikroskopie nach Rhodamin-Färbung gemessen und anschließend quantifiziert. Der Kalziumgehalt wird mittels quantitativer Rückstreuelektronenbildgebung bestimmt, während Klein- und Weitwinkel-Röntgenstreuung verwendet werden, um die Dicke und Länge der Mineralpartikel zu bestimmen. Zunächst wurden Querschnitte der Unterschenkel von gesunden Mäusen charakterisiert, um zu untersuchen, ob Veränderungen in der LCN-Architektur auf Wechselwirkungen von Osteozyten mit der umgebenden Knochenmatrix zurückgeführt werden können. Die Kortizes zeigten zwei Hauptregionen, ein Band mit ungeordneter LCN-Architektur, umgeben von einer Region mit geordneter LCN. Die ungeordnete Region ist ein Überbleibsel der frühen Knochenbildung und wies kurze und dünne Mineralpartikel auf. Der umgebende, stärker ausgerichtete Knochen zeigte ein geordnetes und dichtes LCN, sowie dickere und längere Mineralpartikel. Der Kalziumgehalt blieb bei beiden Regionen unverändert. Im Mausbelastungsmodell wurde das linke Schienbein zwei Wochen lang mechanisch stimuliert, was zu einer erhöhten Knochenbildung führt. Hier sollte die Forschungsfrage beantwortet werden, wie sich Knochenmaterialeigenschaften an (Re-)Modellierungsstellen aufgrund von Belastung ändern. Der, als Reaktion auf die mechanische Stimulation, gebildete neue Knochen zeigte ähnliche Eigenschaften in Bezug auf die Mineralpartikel, wie die geordnete Kortexregion. Es gab eine klar erkennbare Grenze zwischen reifem und neu gebildetem Knochen. Trotzdem gingen einige Kanälchen durch diese Grenze, die die LCN aus reifem und neu gebildetem Knochen verband. Für das Heilungsmodell wurden die Oberschenkel von Mäusen einer Osteotomie unterzogen (einer Operation, bei der durch einen Schnitt in der Diaphyse ein Bruch erzeugt wird). Danach konnte die Fraktur 21 Tage heilen. Dadurch konnten in diesem Modell gleichzeitig verkalkter Knorpel, knöcherner Kallus und Kortex untersucht werden. Dafür wurde die räumliche Verteilung der LCN-Topologie sowie die Mineraleigenschaften der verschiedenen Gewebetypen und ihrer Grenzflächen visualisiert und verglichen. Alle Gewebetypen zeigten strukturelle Unterschiede über mehrere Längenskalen hinweg. Der Kalziumgehalt nahm von kalzifiziertem Knorpel zu knöchernem Kallus zu lamellarem kortikalem Knochen zu und wurde homogener. Der Grad der LCN-Organisation nahm ebenfalls zu, während die Lakunen vom Kallus zum Kortexgewebe kleiner wurden, ebenso wie die Lakunendichte. Im verkalkten Knorpel waren die Mineralpartikel kurz und dünn. Der größte Teil des Kallus wies eine Geflechtsknochenstruktur auf und diente als Gerüst für lamellares Gewebe, das dünnere Mineralpartikel, aber einen höheren Grad an Ausrichtung sowohl in den Mineralpartikeln als auch im LCN aufwies. Der Kortex zeigte die höchsten Werte für Minerallänge, Dicke und Orientierungsgrad. Obwohl nur wenige Kanälchen den Kallus und kortikale Regionen verbinden, weist dies darauf hin, dass eine Kommunikation zwischen Osteozyten beider Gewebe möglich sein sollte. Es wurde auch ein Mausmodell für das Marfan-Syndrom untersucht, das einen Gendefekt im Fibrillin-1-Gen beinhaltet. Beim Menschen ist das Marfan-Syndrom durch eine Reihe klinischer Symptome gekennzeichnet, wie z. B. übermäßiges Wachstum der Gliedmaßen, überstreckbare Gelenke, verringerte Knochenmineraldichte, beeinträchtigte Knochenmikroarchitektur und erhöhte Frakturraten. Somit scheint Fibrillin-1 eine Rolle in der Skeletthomöostase zu spielen. Deswegen untersuchte die vorliegende Arbeit, ob und wie das Marfan-Syndrom die LCN-Architektur und die umgebende Knochenmatrix verändert. Die Mäuse mit Marfan-Syndrom zeigten bereits ab einem Alter von sieben Wochen längere Schienbeine als ihre gesunden Wurfgeschwister. Im Gegensatz dazu erschien die kortikale Entwicklung verzögert, was über alle gemessenen Merkmale hinweg beobachtet wurde, d.h. niedrigere endokortikale Knochenbildung, lockereres und weniger organisiertes LCN, geringerer Grad an Kollagenorientierung sowie ein Trend zu dünneren und kürzeren Mineralpartikel. In jedem der drei Modellsysteme fand diese Studie, dass Änderungen in der LCN-Architektur räumlich mit Parametern des Knochenmatrixmaterials korrelierten. Obwohl der genaue Mechanismus nicht bekannt ist, liefern diese Ergebnisse Hinweise darauf, dass Osteozyten ein Mineralreservoir aktiv manipulieren können. Dieses Reservoir befindet sich um die Kanälchen herum und dieser Prozess würde es ermöglichen, einen schnell zugänglichen Beitrag zur Mineralhomöostase zu leisten. Diese Interaktion ist jedoch höchstwahrscheinlich nicht einseitig, sondern könnte als Wechselspiel zwischen Osteozyten und extrazellulärer Matrix verstanden werden, da die Knochenmatrix biochemische Signalmoleküle enthält, die das Verhalten von Osteozyten verändern können. Knochen(re)modellierung kann daher nicht nur als Methode zur Defektbeseitigung oder Anpassung an äußere mechanische Reize verstanden werden, sondern auch zur Effizienzsteigerung möglicher Osteozyten-Mineral-Interaktionen während der Knochenhomöostase. Angesichts dieser Ergebnisse erscheint es sinnvoll, Osteozyten als Ziel für die Arzneimittelentwicklung im Zusammenhang mit Knochenerkrankungen in Betracht zu ziehen, die Veränderungen der Knochenzusammensetzung und deren mechanischen Eigenschaften verursachen. KW - bone KW - lacunae KW - mineralization KW - SAXS KW - lacuno-canalicular network KW - µCT KW - CLSM KW - konfokales Laser-Scanning-Mikroskop KW - Kleinwinkelröntgenstreuung KW - Knochen KW - Lakunen KW - lakuno-kanaliculäres Netzwerk KW - Mineralisierung KW - µCT Y1 - 2022 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-559593 ER - TY - THES A1 - Schifferle, Lukas T1 - Optical properties of (Mg,Fe)O at high pressure T1 - Optische Eigenschaften von (Mg,Fe)O unter Hochdruck N2 - Large parts of the Earth’s interior are inaccessible to direct observation, yet global geodynamic processes are governed by the physical material properties under extreme pressure and temperature conditions. It is therefore essential to investigate the deep Earth’s physical properties through in-situ laboratory experiments. With this goal in mind, the optical properties of mantle minerals at high pressure offer a unique way to determine a variety of physical properties, in a straight-forward, reproducible, and time-effective manner, thus providing valuable insights into the physical processes of the deep Earth. This thesis focusses on the system Mg-Fe-O, specifically on the optical properties of periclase (MgO) and its iron-bearing variant ferropericlase ((Mg,Fe)O), forming a major planetary building block. The primary objective is to establish links between physical material properties and optical properties. In particular the spin transition in ferropericlase, the second-most abundant phase of the lower mantle, is known to change the physical material properties. Although the spin transition region likely extends down to the core-mantle boundary, the ef-fects of the mixed-spin state, where both high- and low-spin state are present, remains poorly constrained. In the studies presented herein, we show how optical properties are linked to physical properties such as electrical conductivity, radiative thermal conductivity and viscosity. We also show how the optical properties reveal changes in the chemical bonding. Furthermore, we unveil how the chemical bonding, the optical and other physical properties are affected by the iron spin transition. We find opposing trends in the pres-sure dependence of the refractive index of MgO and (Mg,Fe)O. From 1 atm to ~140 GPa, the refractive index of MgO decreases by ~2.4% from 1.737 to 1.696 (±0.017). In contrast, the refractive index of (Mg0.87Fe0.13)O (Fp13) and (Mg0.76Fe0.24)O (Fp24) ferropericlase increases with pressure, likely because Fe Fe interactions between adjacent iron sites hinder a strong decrease of polarizability, as it is observed with increasing density in the case of pure MgO. An analysis of the index dispersion in MgO (decreasing by ~23% from 1 atm to ~103 GPa) reflects a widening of the band gap from ~7.4 eV at 1 atm to ~8.5 (±0.6) eV at ~103 GPa. The index dispersion (between 550 and 870 nm) of Fp13 reveals a decrease by a factor of ~3 over the spin transition range (~44–100 GPa). We show that the electrical band gap of ferropericlase significantly widens up to ~4.7 eV in the mixed spin region, equivalent to an increase by a factor of ~1.7. We propose that this is due to a lower electron mobility between adjacent Fe2+ sites of opposite spin, explaining the previously observed low electrical conductivity in the mixed spin region. From the study of absorbance spectra in Fp13, we show an increasing covalency of the Fe-O bond with pressure for high-spin ferropericlase, whereas in the low-spin state a trend to a more ionic nature of the Fe-O bond is observed, indicating a bond weakening effect of the spin transition. We found that the spin transition is ultimately caused by both an increase of the ligand field-splitting energy and a decreasing spin-pairing energy of high-spin Fe2+. N2 - Geodynamische Prozesse werden von den physikalischen Materialeigenschaften unter den extremen Druck- und Temperaturbedingungen des Erdinneren gesteuert, gerade diese Areale sind aber faktisch nicht für direkte Beobachtungen zugänglich. Umso wichtiger ist es, die physikalischen Eigenschaften unter Bedingungen des Erdinneren zu untersuchen. Mit diesem Ziel vor Augen erlaubt das Studium der optischen Eigenschaften von Mineralen des Erdmantels, eine große Bandbreite an physikalischen Materialeigenschaften, in einer einfachen, reproduzierbaren und effizienten Art und Weise zu bestimmen. Dadurch bieten sich wichtige Einblicke in die physikalischen Prozessen des Erdinneren. Die vorliegende Arbeit konzentriert sich auf das System Mg-Fe-O, im Speziellen auf Periklas (MgO) und seine Eisen-haltige Variante Ferroperiklas ((Mg,Fe)O), ein wichtiger Baustein planetarer Körper. Das Hauptziel der Arbeit besteht darin Verbindungen zwischen optischen Eigenschaften und physikalischen Materialeigenschaften zu finden. Gerade der Spin-Übergang in Ferroperiklas, der zweithäufigsten Phase des unteren Erdmantels, ist dabei von Bedeutung, da damit Veränderungen in den physikalischen Materialeigenschaften einhergehen. Obwohl sich der Spinübergangsbereich vermutlich bis zur Kern-Mantel-Grenze erstreckt, sind die Auswirkungen des gemischten Spin-Zustandes, bei dem sowohl Hoch- als auch Tief-Spin präsent sind, nur unzureichend untersucht. Die hier vorgestellten Studien zeigen, wie optische Eigenschaften mit anderen wichtigen physikalischen Eigenschaften wie elektrischer und thermischer Leitfähigkeit, Viskosität oder auch mit der chemischen Bindung verbunden sind. Daraus lässt sich auch ableiten wie der Spin-Übergang in Ferroperiklas diese Eigenschaften beeinflusst. Von Raumbedingungen bis zu ~140 GPa sinkt der Brechungsindex von MgO um ~2.4 % von 1.737 auf 1.696 (±0.017). Im Gegensatz dazu steigt der Brechungsindex von (Mg0.87Fe0.13)O (Fp13) und (Mg0.76Fe0.24)O (Fp24) Ferroperiklas mit dem Druck an. Dies ist auf Fe-Fe Wechselwirkungen zwischen benachbarten Eisenpositionen zurückzuführen, die eine starke Verringerung der Polarisierbarkeit, wie im Falle von reinem MgO mit zunehmender Dichte, behindern. Eine Analyse der Dispersion des Brechungsindexes von MgO (Abnahme um ~23 % von 1 Atm zu ~103 GPa) offenbart eine Verbreiterung der Bandlücke von ~7.4 eV bei 1 Atm zu ~8.5 (±0.6) eV bei ~103 GPa. Die Messung der Dispersion (zwischen 550 und 870 nm) in Fp13 zeigt eine starke Abnahme über den Bereich des Spin-Überganges (~44–100 GPa) bis zu einem Faktor von ~3. Die Bandlücke nimmt in der Region des gemischten Spin-Zustandes signifikant auf bis zu ~4.7 eV zu (entspricht einer Zunahme um den Faktor ~1.7). Dies deutet auf eine Verringerung der Elektronen-Mobilität zwischen benachbarten Fe2+-Positionen mit unterschiedlichem Spin-Zustand hin, was die bereits in früheren Arbeiten beobachtete Abnahme der elektrischen Leitfähigkeit im Bereich des gemischten Spin-Zustandes erklärt. Absorptionsspektren an Fp13 zeigen eine Druck-bedingte Zunahme der Kovalenz der Fe-O Bindung für Ferroperiklas im Hoch-Spin Zustand, wohingegen Tief-Spin Ferroperiklas einen Trend zu einer mehr ionischen Fe-O Bindung auf-weist, was auf einen Bindungs-schwächenden Effekt des Spin-Wechsels hinweist. Der Übergang von Hoch- zu Tiefspin ist letztlich auf eine Zunahme der Ligandenfeldaufspaltungsenergie sowie eine abnehmende Spinpaarungsenergie von Hoch-Spin Fe2+ zurückzuführen. KW - optical properties KW - optische Eigenschaften KW - high pressure KW - Hochdruck KW - earth mantle KW - Erdmantel KW - diamond anvil cell KW - Diamantstempelzelle KW - ferropericlase KW - Ferroperiklas KW - spectroscopy KW - Spektroskopie Y1 - 2024 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-622166 ER - TY - JOUR A1 - Schjeide, Brit-Maren A1 - Schenke, Maren A1 - Seeger, Bettina A1 - Püschel, Gerhard T1 - Validation of a novel double control quantitative copy number PCR method to quantify off-target transgene integration after CRISPR-induced DNA modification JF - Methods and protocols : M&Ps N2 - In order to improve a recently established cell-based assay to assess the potency of botulinum neurotoxin, neuroblastoma-derived SiMa cells and induced pluripotent stem-cells (iPSC) were modified to incorporate the coding sequence of a reporter luciferase into a genetic safe harbor utilizing CRISPR/Cas9. A novel method, the double-control quantitative copy number PCR (dc-qcnPCR), was developed to detect off-target integrations of donor DNA. The donor DNA insertion success rate and targeted insertion success rate were analyzed in clones of each cell type. The dc-qcnPCR reliably quantified the copy number in both cell lines. The probability of incorrect donor DNA integration was significantly increased in SiMa cells in comparison to the iPSCs. This can possibly be explained by the lower bundled relative gene expression of a number of double-strand repair genes (BRCA1, DNA2, EXO1, MCPH1, MRE11, and RAD51) in SiMa clones than in iPSC clones. The dc-qcnPCR offers an efficient and cost-effective method to detect off-target CRISPR/Cas9-induced donor DNA integrations. KW - CRISPR editing validation KW - copy number analyses KW - homology-directed repair KW - homologous recombination deficiency Y1 - 2022 U6 - https://doi.org/10.3390/mps5030043 SN - 2409-9279 VL - 5 IS - 3 SP - 1 EP - 14 PB - MDPI CY - Basel, Schweiz ER - TY - JOUR A1 - Schlör, Anja A1 - Hirschberg, Stefan A1 - Ben Amor, Ghada A1 - Meister, Toni Luise A1 - Arora, Prerna A1 - Pöhlmann, Stefan A1 - Hoffmann, Markus A1 - Pfänder, Stephanie A1 - Eddin, Omar Kamal A1 - Kamhieh-Milz, Julian A1 - Hanack, Katja T1 - SARS-CoV-2 neutralizing camelid heavy-chain-only antibodies as powerful tools for diagnostic and therapeutic applications JF - Frontiers in Immunology N2 - Introduction: The ongoing COVID-19 pandemic situation caused by SARS-CoV-2 and variants of concern such as B.1.617.2 (Delta) and recently, B.1.1.529 (Omicron) is posing multiple challenges to humanity. The rapid evolution of the virus requires adaptation of diagnostic and therapeutic applications. Objectives: In this study, we describe camelid heavy-chain-only antibodies (hcAb) as useful tools for novel in vitro diagnostic assays and for therapeutic applications due to their neutralizing capacity. Methods: Five antibody candidates were selected out of a naïve camelid library by phage display and expressed as full length IgG2 antibodies. The antibodies were characterized by Western blot, enzyme-linked immunosorbent assays, surface plasmon resonance with regard to their specificity to the recombinant SARS-CoV-2 Spike protein and to SARS-CoV-2 virus-like particles. Neutralization assays were performed with authentic SARS-CoV-2 and pseudotyped viruses (wildtype and Omicron). Results: All antibodies efficiently detect recombinant SARS-CoV-2 Spike protein and SARS-CoV-2 virus-like particles in different ELISA setups. The best combination was shown with hcAb B10 as catcher antibody and HRP-conjugated hcAb A7.2 as the detection antibody. Further, four out of five antibodies potently neutralized authentic wildtype SARS-CoV-2 and particles pseudotyped with the SARS-CoV-2 Spike proteins of the wildtype and Omicron variant, sublineage BA.1 at concentrations between 0.1 and 0.35 ng/mL (ND50). Conclusion: Collectively, we report novel camelid hcAbs suitable for diagnostics and potential therapy. KW - camelid heavy-chain-only antibodies KW - single domain antibodies KW - nanobodies KW - SARS-CoV-2 KW - neutralization KW - Omicron Y1 - 2022 U6 - https://doi.org/10.3389/fimmu.2022.930975 SN - 1664-3224 SP - 1 EP - 14 PB - Frontiers Media SA CY - Lausanne, Schweiz ER - TY - JOUR A1 - Schlör, Joachim T1 - “Israel am Meere” BT - The Sea Voyage as a Place and Time for Questions about Jewish Identity JF - PaRDeS : Journal of the Association for Jewish Studies in Germany JF - PaRDeS : Zeitschrift der Vereinigung für Jüdische Studien e.V. N2 - For Jews in Germany, the period following the Nazis’ rise to power in January 1933 was a period of decision-making on many levels: How should they respond to the persecution? If they decided to emigrate, many more decisions had to be made: How does one leave a country, and where should one go? A key moment in the process and in the cultural practice of emigration is the beginning of the sea voyage – when the need for departure and the hope for a new arrival jointly create a period of liminality. Looking at reports from sea voyages of exploration and emigration from the 1930s, this contribution discusses the question whether, and in what ways, such reflections can be read in the context of religious experiences and in the search for Jewish identities in times of turmoil. Y1 - 2023 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-585537 SN - 978-3-86956-552-1 SN - 1614-6492 SN - 1862-7684 IS - 28 SP - 18 EP - 32 PB - Universitätsverlag Potsdam CY - Potsdam ER - TY - JOUR A1 - Schmidt, Imanuel Clemens T1 - A Secular Tradition BT - Horace Kallen on American Democracy in the United States and Israel JF - PaRDeS : Journal of the Association for Jewish Studies in Germany JF - PaRDeS : Zeitschrift der Vereinigung für Jüdische Studien N2 - This article focuses on the social philosopher Horace Kallen and the revisions he made to the concept of cultural pluralism that he first developed in the early 20th century, applying it to postwar America and the young State of Israel. It shows how he opposed the assumption that the United States’ social order was based on a “Judeo-Christian tradition.” By constructing pluralism as a civil religion and carving out space for secular self-understandings in midcentury America, Kallen attempted to preserve the integrity of his earlier political visions, developed during World War I, of pluralist societies in the United States and Palestine within an internationalist global order. While his perspective on the State of Israel was largely shaped by his American experiences, he revised his approach to politically functionalizing religious traditions as he tested his American understanding of a secular, pluralist society against the political theology effective in the State of Israel. The trajectory of Kallen’s thought points to fundamental questions about the compatibility of American and Israeli understandings of religion’s function in society and its relation to political belonging, especially in light of their transnational connection through American Jewish support for the recently established state. KW - modern Jewish history KW - United States KW - Israel KW - 20th century KW - Horace Kallen KW - cultural pluralism KW - intellectual history KW - moderne jüdische Geschichte KW - USA KW - Israel KW - 20. Jahrhundert KW - Horace Kallen KW - kultureller Pluralismus KW - Geistesgeschichte Y1 - 2021 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-532868 SN - 978-3-86956-520-0 SN - 1614-6492 SN - 1862-7684 IS - 27 SP - 85 EP - 100 PB - Universitätsverlag Potsdam CY - Potsdam ER - TY - JOUR A1 - Schmidt, Lena Katharina A1 - Francke, Till A1 - Rottler, Erwin A1 - Blume, Theresa A1 - Schöber, Johannes A1 - Bronstert, Axel T1 - Suspended sediment and discharge dynamics in a glaciated alpine environment BT - identifying crucial areas and time periods on several spatial and temporal scales in the Ötztal, Austria JF - Earth surface dynamics N2 - Glaciated high-alpine areas are fundamentally altered by climate change, with well-known implications for hydrology, e.g., due to glacier retreat, longer snow-free periods, and more frequent and intense summer rainstorms. While knowledge on how these hydrological changes will propagate to suspended sediment dynamics is still scarce, it is needed to inform mitigation and adaptation strategies. To understand the processes and source areas most relevant to sediment dynamics, we analyzed discharge and sediment dynamics in high temporal resolution as well as their patterns on several spatial scales, which to date few studies have done. We used a nested catchment setup in the Upper Ötztal in Tyrol, Austria, where high-resolution (15 min) time series of discharge and suspended sediment concentrations are available for up to 15 years (2006–2020). The catchments of the gauges in Vent, Sölden and Tumpen range from 100 to almost 800 km2 with 10 % to 30 % glacier cover and span an elevation range of 930 to 3772 m a.s.l. We analyzed discharge and suspended sediment yields (SSY), their distribution in space, their seasonality and spatial differences therein, and the relative importance of short-term events. We complemented our analysis by linking the observations to satellite-based snow cover maps, glacier inventories, mass balances and precipitation data. Our results indicate that the areas above 2500 m a.s.l., characterized by glacier tongues and the most recently deglaciated areas, are crucial for sediment generation in all sub-catchments. This notion is supported by the synchronous spring onset of sediment export at the three gauges, which coincides with snowmelt above 2500 m but lags behind spring discharge onsets. This points at a limitation of suspended sediment supply as long as the areas above 2500 m are snow-covered. The positive correlation of annual SSY with glacier cover (among catchments) and glacier mass balances (within a catchment) further supports the importance of the glacier-dominated areas. The analysis of short-term events showed that summer precipitation events were associated with peak sediment concentrations and yields but on average accounted for only 21 % of the annual SSY in the headwaters. These results indicate that under current conditions, thermally induced sediment export (through snow and glacier melt) is dominant in the study area. Our results extend the scientific knowledge on current hydro-sedimentological conditions in glaciated high-alpine areas and provide a baseline for studies on projected future changes in hydro-sedimentological system dynamics. Y1 - 2022 U6 - https://doi.org/10.5194/esurf-10-653-2022 SN - 2196-632X SN - 2196-6311 VL - 10 IS - 3 SP - 653 EP - 669 PB - Copernicus Publications CY - Göttingen ER - TY - THES A1 - Schmitz, Seán T1 - Using low-cost sensors to gather high resolution measurements of air quality in urban environments and inform mobility policy N2 - Air pollution has been a persistent global problem in the past several hundred years. While some industrialized nations have shown improvements in their air quality through stricter regulation, others have experienced declines as they rapidly industrialize. The WHO’s 2021 update of their recommended air pollution limit values reflects the substantial impacts on human health of pollutants such as NO2 and O3, as recent epidemiological evidence suggests substantial long-term health impacts of air pollution even at low concentrations. Alongside developments in our understanding of air pollution's health impacts, the new technology of low-cost sensors (LCS) has been taken up by both academia and industry as a new method for measuring air pollution. Due primarily to their lower cost and smaller size, they can be used in a variety of different applications, including in the development of higher resolution measurement networks, in source identification, and in measurements of air pollution exposure. While significant efforts have been made to accurately calibrate LCS with reference instrumentation and various statistical models, accuracy and precision remain limited by variable sensor sensitivity. Furthermore, standard procedures for calibration still do not exist and most proprietary calibration algorithms are black-box, inaccessible to the public. This work seeks to expand the knowledge base on LCS in several different ways: 1) by developing an open-source calibration methodology; 2) by deploying LCS at high spatial resolution in urban environments to test their capability in measuring microscale changes in urban air pollution; 3) by connecting LCS deployments with the implementation of local mobility policies to provide policy advice on resultant changes in air quality. In a first step, it was found that LCS can be consistently calibrated with good performance against reference instrumentation using seven general steps: 1) assessing raw data distribution, 2) cleaning data, 3) flagging data, 4) model selection and tuning, 5) model validation, 6) exporting final predictions, and 7) calculating associated uncertainty. By emphasizing the need for consistent reporting of details at each step, most crucially on model selection, validation, and performance, this work pushed forward with the effort towards standardization of calibration methodologies. In addition, with the open-source publication of code and data for the seven-step methodology, advances were made towards reforming the largely black-box nature of LCS calibrations. With a transparent and reliable calibration methodology established, LCS were then deployed in various street canyons between 2017 and 2020. Using two types of LCS, metal oxide (MOS) and electrochemical (EC), their performance in capturing expected patterns of urban NO2 and O3 pollution was evaluated. Results showed that calibrated concentrations from MOS and EC sensors matched general diurnal patterns in NO2 and O3 pollution measured using reference instruments. While MOS proved to be unreliable for discerning differences among measured locations within the urban environment, the concentrations measured with calibrated EC sensors matched expectations from modelling studies on NO2 and O3 pollution distribution in street canyons. As such, it was concluded that LCS are appropriate for measuring urban air quality, including for assisting urban-scale air pollution model development, and can reveal new insights into air pollution in urban environments. To achieve the last goal of this work, two measurement campaigns were conducted in connection with the implementation of three mobility policies in Berlin. The first involved the construction of a pop-up bike lane on Kottbusser Damm in response to the COVID-19 pandemic, the second surrounded the temporary implementation of a community space on Böckhstrasse, and the last was focused on the closure of a portion of Friedrichstrasse to all motorized traffic. In all cases, measurements of NO2 were collected before and after the measure was implemented to assess changes in air quality resultant from these policies. Results from the Kottbusser Damm experiment showed that the bike-lane reduced NO2 concentrations that cyclists were exposed to by 22 ± 19%. On Friedrichstrasse, the street closure reduced NO2 concentrations to the level of the urban background without worsening the air quality on side streets. These valuable results were communicated swiftly to partners in the city administration responsible for evaluating the policies’ success and future, highlighting the ability of LCS to provide policy-relevant results. As a new technology, much is still to be learned about LCS and their value to academic research in the atmospheric sciences. Nevertheless, this work has advanced the state of the art in several ways. First, it contributed a novel open-source calibration methodology that can be used by a LCS end-users for various air pollutants. Second, it strengthened the evidence base on the reliability of LCS for measuring urban air quality, finding through novel deployments in street canyons that LCS can be used at high spatial resolution to understand microscale air pollution dynamics. Last, it is the first of its kind to connect LCS measurements directly with mobility policies to understand their influences on local air quality, resulting in policy-relevant findings valuable for decisionmakers. It serves as an example of the potential for LCS to expand our understanding of air pollution at various scales, as well as their ability to serve as valuable tools in transdisciplinary research. N2 - Luftverschmutzung ist seit hundert Jahren ein anhaltendes globales Problem. Während sich die Luftqualität in einigen Industrieländern durch strengere Vorschriften verbessert hat, hat sie sich in anderen Ländern im Zuge der schnell fortschreitenden Industrialisierung verschlechtert. Die Aktualisierung der von der WHO für das Jahr 2021 empfohlenen Grenzwerte für die Luftverschmutzung spiegelt die erheblichen Aus-wirkungen von Schadstoffen wie Stickstoffdioxid (NO2) und Ozon (O3) auf die menschliche Gesundheit wider, da neuere epidemiologische Erkenntnisse darauf hindeuten, dass Luft-verschmutzung selbst bei niedrigen Konzentrationen erhebliche langfristige gesundheitliche Auswirkungen hat. Parallel zu den Entwicklungen in unserem Verständnis der gesundheitlichen Auswirkungen von Luftverschmutzung wurde die neue Technologie der Low-Cost-Sensoren (LCS) sowohl von der Wissenschaft als auch von der Industrie als neue Methode zur Messung der Luftverschmutzung aufgegriffen. Vor allem aufgrund ihrer geringeren Kosten und kleineren Größe können sie in einer Vielzahl von Anwendungen eingesetzt werden, u. a. bei der Entwicklung von Messnetzen mit höherer räumlicher Auf-lösung, bei der Identifizierung von Quellen und bei der Messung der Luftverschmutzung. Es wurden zwar erhebliche Anstrengungen unternommen, um LCS mit Hilfe von Referenzinstrumenten und verschiedenen statistischen Modellen genau zu kalibrieren, aber die Genauigkeit und Präzision bleiben durch die variable Sensorempfindlichkeit begrenzt. Darüber hinaus gibt es immer noch keine Standardverfahren für die Kalibrierung, und die meisten proprietären Kalibrierungsalgorithmen sind Blackboxen, die für die Öffentlichkeit nicht zugänglich sind. Mit dieser Arbeit soll die Wissensbasis über LCS auf verschiedene Weise erweitert werden: 1) durch die Entwicklung einer Open-Source-Kalibrierungsmethodik; 2) durch den Einsatz von LCS mit hoher räumlicher Auflösung in städtischen Umgebungen, um ihre Fähigkeit zur Messung kleinräumlicher Veränderungen der städtischen Luftverschmutzung zu testen; 3) durch die Verknüpfung von LCS-Einsätzen mit der Umsetzung lokaler Verkehrsmaßnahmen, um politische Empfehlungen zu den daraus resultierenden Veränderungen der Luftqualität geben zu können. In einem ersten Schritt wurde festgestellt, dass LCS mit Hilfe von sieben allgemeinen Schritten konsistent und mit guter Leistung gegenüber Referenzinstrumenten kalibriert werden können: 1) Bewertung der Rohdatenverteilung, 2) Datenbereinigung, 3) Kenn-zeichnung von Daten, 4) Modellauswahl und -abstimmung, 5) Modellvalidierung, 6) Export der endgültigen Vorhersagen und 7) Berechnung der damit verbundenen Unsicherheit. Durch die Betonung der Notwendigkeit einer konsistenten Berichterstattung über Details bei jedem Schritt, insbesondere bei der Modellauswahl, -validierung und -leistung, hat diese Arbeit die Bemühungen um eine Standardisierung der Kalibrierungs-methoden vorangetrieben. Darüber hinaus wurden mit der Open-Source-Veröffentlichung von Code und Daten für die siebenstufige Methodik Fortschritte bei der Reformierung der weitgehenden Blackbox-Natur von LCS-Kalibrierungen erzielt. Nach der Einführung einer transparenten und zuverlässigen Kalibrierungsmethode wurden die LCS zwischen 2017 und 2020 an verschiedenen Straßen eingesetzt. Unter Ver-wendung von zwei Arten von LCS, Metalloxid (MOS) und elektrochemisch (EC), wurde ihre Leistung bei der Erfassung der erwarteten Muster der NO2- und O3-Belastung in Städten bewertet. Die Ergebnisse zeigten, dass die kalibrierten Konzentrationen der MOS- und EC-Sensoren mit den allgemeinen Tagesmustern der NO2- und O3-Belastung überein-stimmten, die mit Referenzgeräten gemessen wurden. Während sich MOS als unzuverlässig erwies, wenn es darum ging, Unterschiede zwischen den gemessenen Orten inner-halb der städtischen Umgebung zu erkennen, entsprachen die mit kalibrierten EC-Sensoren gemessenen Konzentrationen den Erwartungen aus Modellierungsstudien zur Verteilung der NO2- und O3-Belastung in Straßenschluchten. Daraus wurde der Schluss gezogen, dass LCS für die Messung der Luftqualität in Städten geeignet sind, auch zur Unterstützung der Entwicklung von Luftverschmutzungsmodellen auf städtischer Ebene, und dass sie neue Erkenntnisse über die Luftverschmutzung in städtischen Umgebungen liefern können. Um das letzte Ziel dieser Arbeit zu erreichen, wurden zwei Messkampagnen im Zusammenhang mit der Umsetzung von drei verkehrspolitischen Maßnahmen in Berlin durchgeführt. Bei der ersten handelte es sich um den Bau einer Pop-up-Radweg auf dem Kottbusser Damm als Reaktion auf die COVID-19-Pandemie, bei der zweiten um die vorübergehende Einrichtung eines Gemeinschaftsraums in der Böckhstraße und bei der letzten um die Sperrung eines Teils der Friedrichstraße für den gesamten motorisierten Verkehr. In allen Fällen wurden NO2-Messungen vor und nach der Durchführung der Maßnahme durchgeführt, um die Veränderungen der Luftqualität infolge dieser Maßnahmen zu bewerten. Die Ergebnisse des Experiments am Kottbusser Damm zeigten, dass die NO2-Konzentrationen, denen die Radfahrer ausgesetzt waren, durch den Radweg um 22 ± 19 % gesenkt wurden. In der Friedrichstraße sank die NO2-Konzentration durch die Straßensperrung auf das Niveau des städtischen Hintergrunds, ohne dass sich die Luft-qualität in den Seitenstraßen verschlechterte. Diese wertvollen Ergebnisse wurden den verantwortlichen Ansprechpersonen in der Stadtverwaltung, die für die Bewertung des Erfolgs und der Zukunft der Maßnahmen verantwortlich sind, schnell mitgeteilt, was die Fähigkeit von LCS unterstreicht, politisch relevante Ergebnisse zu liefern. Da es sich um eine neue Technologie handelt, muss noch viel über LCS und ihren Wert für die akademische Forschung im Bereich der Atmosphärenwissenschaften gelernt werden. Dennoch hat diese Arbeit den Stand der Technik in mehrfacher Hinsicht verbessert. Erstens wurde eine neuartige Open-Source-Kalibrierungsmethode entwickelt, die von LCS-Anwender*innen für verschiedene Luftschadstoffe verwendet werden kann. Zweitens wurde die Beweisgrundlage für die Zuverlässigkeit von LCS zur Messung der Luftqualität in Städten gestärkt, indem durch neuartige Einsätze in Straßenschluchten festgestellt wurde, dass LCS mit hoher räumlicher Auflösung zum Verständnis der Dynamik der Luftverschmutzung auf kleinräumlicher Ebene eingesetzt werden kann. Schließlich ist es die erste Studie dieser Art, die LCS-Messungen direkt mit verkehrspolitischen Maßnahmen verknüpft, um deren Einfluss auf die lokale Luftqualität zu verstehen, was zu politisch relevanten Erkenntnissen führt, die für Entscheidungsträger*innen wertvoll sind. Die Studie ist ein Beispiel für das Potenzial von LCS, unser Verständnis von Luftverschmutzung in verschiedenen Maßstäben zu erweitern, sowie für ihre Fähigkeit, als wert-volle Werkzeuge in der transdisziplinären Forschung zu dienen. T2 - Verwendung kostengünstiger Sensoren zur Erfassung hochauflösender Messungen der Luftqualität in städtischen Umgebungen und zur Information über die Mobilitätspolitik KW - air pollution KW - urban KW - low-cost sensor KW - transdisciplinary KW - sustainability KW - mobility KW - policy KW - Luftverschmutzung KW - Mobilität KW - Politik KW - Nachhaltigkeit KW - Transdisziplinarität KW - Städte Y1 - 2023 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-601053 ER - TY - THES A1 - Schneider, Helen T1 - Reactive eutectic media based on ammonium formate for the valorization of bio-sourced materials T1 - Reaktive eutektische Medien auf Basis von Ammoniumformiat zur Aufwertung von biobasierten Substanzen N2 - In the last several decades eutectic mixtures of different compositions were successfully used as solvents for vast amount of chemical processes, and only relatively recently they were discovered to be widely spread in nature. As such they are discussed as a third liquid media of the living cell, that is composed of common cell metabolites. Such media may also incorporate water as a eutectic component in order to regulate properties such as enzyme activity or viscosity. Taking inspiration form such sophisticated use of eutectic mixtures, this thesis will explore the use of reactive eutectic media (REM) for organic synthesis. Such unconventional media are characterized by the reactivity of their components, which means that mixture may assume the role of the solvent as well as the reactant itself. The thesis focuses on novel REM based on ammonium formate and investigates their potential for the valorization of bio-sourced materials. The use of REM allows the performance of a number of solvent-free reactions, which entails the benefits of a superior atom and energy economy, higher yields and faster rates compared to reactions in solution. This is evident for the Maillard reaction between ammonium formate and various monosaccharides for the synthesis of substituted pyrazines as well as for a Leuckart type reaction between ammonium formate and levulinic acid for the synthesis of 5-methyl-2-pyrrolidone. Furthermore, reaction of ammonium formate with citric acid for the synthesis of yet undiscovered fluorophores, shows that synthesis in REM can open up unexpected reaction pathways. Another focus of the thesis is the study of water as a third component in the REM. As a result, the concept of two different dilution regimes (tertiary REM and in REM in solvent) appears useful for understanding the influence of water. It is shown that small amounts of water can be of great benefit for the reaction, by reducing viscosity and at the same time increasing reaction yields. REM based on ammonium formate and organic acids are employed for lignocellulosic biomass treatment. The thesis thereby introduces an alternative approach towards lignocellulosic biomass fractionation that promises a considerable process intensification by the simultaneous generation of cellulose and lignin as well as the production of value-added chemicals from REM components. The thesis investigates the generated cellulose and the pathway to nanocellulose generation and also includes the structural analysis of extracted lignin. Finally, the thesis investigates the potential of microwave heating to run chemical reactions in REM and describes the synergy between these two approaches. Microwave heating for chemical reactions and the use of eutectic mixtures as alternative reaction media are two research fields that are often described in the scope of green chemistry. The thesis will therefore also contain a closer inspection of this terminology and its greater goal of sustainability. N2 - Ein eutektisches System beschreibt eine homogene Mischung verschiedener Substanzen, welche bei einer einzigen Temperatur schmilzt und dabei einen Schmelzpunkt aufweist der unterhalb der Schmelzpunkte der einzelnen Komponenten liegt. Solche Gemische können aus simplen organischen Substanzen gebildet werden und haben deshalb in den letzten Jahrzehnten große Aufmerksamkeit als neuartige Lösungsmittel erhalten. Mittlerweile wird ihr Nutzung für eine Vielzahl chemischer Prozesse erforscht. Zudem wurde Entdeckt das solche Gemische auch in der Natur Verbreitung finden. In diesem Zuge werden sie z.B. als drittes flüssiges Medium der lebenden Zelle diskutiert, welches durch eutektische Gemische von gewöhnlichen Zellmetaboliten gebildet wird. Sie können dabei auch Wasser als eutektische Komponente enthalten, um Eigenschaften wie Enzymaktivität oder Viskosität zu regulieren. Inspiriert durch diesen raffinierten Einsatz eutektischer Gemische untersucht diese Arbeit die Verwendung reaktiver eutektischer Medien (REM) für die chemische Anwendung. Solche unkonventionellen Medien zeichnen sich durch die Reaktivität ihrer Komponenten aus, was bedeutet, dass das Gemisch sowohl die Rolle des Lösungsmittels als auch des Reaktanten selbst übernehmen kann. Die Arbeit konzentriert sich auf neuartige REM auf Basis von Ammoniumformiat und untersucht deren Potenzial für die Nutzung von bio-basierten Substanzen. Die Verwendung von REM ermöglicht die Durchführung einer Reihe lösungsmittelfreier Reaktionen, was im Vergleich zu Reaktionen in Lösung die Vorteile einer besseren Atomökonomie, höhere Ausbeuten und schnellere Reaktionsgeschwindigkeiten mit sich bringt. Dies zeigt sich an der Maillard-Reaktion zwischen Ammoniumformiat und verschiedenen Monosacchariden zur Synthese substituierter Pyrazine sowie an der Leuckart-Reaktion zwischen Ammoniumformiat und Lävulinsäure zur Synthese von 5-Methyl-2-pyrrolidon. Darüber hinaus zeigt die Reaktion von Ammoniumformiat mit Zitronensäure zur Synthese noch unentdeckter Fluorophore, dass die Synthese in REM bisher unerschlossene Reaktionswege eröffnen kann. Ein weiterer Schwerpunkt der Arbeit ist die Untersuchung von Wasser als dritte Komponente im REM. Daher erscheint das Konzept zweier unterschiedlicher Verdünnungsregime (tertiäres REM und REM im Lösungsmittel) nützlich für das Verständnis des Einflusses von Wasser. Es zeigt sich, dass kleine Mengen Wasser von großem Nutzen für die Reaktion sein können, indem sie die Viskosität senken und gleichzeitig die Reaktionsausbeuten erhöhen. Für den Aufschluss von Lignocellulose werden REM auf Basis von Ammoniumformiat und organischen Säuren eingesetzt. Die Arbeit stellt damit einen neuen Ansatz für das Konzept der Bioraffinerie vor, der eine erhebliche Prozessintensivierung durch die gleichzeitige Erzeugung von Cellulose, Lignin sowie die Herstellung von Chemikalien aus REM-Komponenten verspricht. Die Arbeit untersucht die erzeugte Cellulose, sowie die Bedingungen zur Erzeugung von Nanocellulose und umfasst die Strukturanalyse von extrahiertem Lignin. Abschließend untersucht die Arbeit das Potenzial der Mikrowellenenergie zum Erhitzen chemischer Reaktionen in REM und beschreibt die Synergie zwischen diesen beiden Ansätzen. Mikrowellentechnologie für chemische Reaktionen und die Verwendung eutektischer Gemische als alternative Reaktionsmedien sind zwei Forschungsfelder, die häufig im Rahmen der Grünen Chemie beschrieben werden. Die Arbeit beinhaltet daher auch eine genauere Betrachtung dieser Terminologie und ihres übergeordneten Ziels der Nachhaltigkeit. KW - solvent-free reactions KW - deep eutectic solvents KW - microwave synthesis KW - green chemistry KW - biorefinery KW - deoxyfructosazine KW - citrazinic acid KW - Bioraffinerie KW - Citrazinsäure KW - stark eutektisches Lösungsmittel KW - Deoxyfructosazin KW - Grüne Chemie KW - Mikrowellensynthese KW - lösungsmittelfreie Synthese Y1 - 2023 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-613024 ER - TY - CHAP A1 - Schnerr, R. S. A1 - Henrichs, H. F. T1 - Magnetic fields and wind variability in massive stars N2 - This paper describes the thesis work of Schnerr (2007) entitled ”Magnetic fields and mass loss in massive stars“, which aimed at a better understanding of the impact of magnetic fields on the winds of massive stars. Y1 - 2007 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-18075 ER - TY - CHAP A1 - Schnurr, O. A1 - Crowther, P. A. T1 - Mid-IR observations of WC stars, and the connection to wind clumping N2 - We present preliminary results of a tailored atmosphere analysis of six Galactic WC stars using UV, optical, and mid-infrared Spitzer IRS data. With these data, we are able to sample regions from 10 to 10³ stellar radii, thus to determine wind clumping in different parts of the wind. Ultimately, derived wind parameters will be used to accuratelymeasure neon abundances, and to so test predicted nuclear-reaction rates. Y1 - 2007 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-17884 ER - TY - THES A1 - Scholz, Markus Reiner T1 - Spin polarization, circular dichroism, and robustness of topological surface states T1 - Spinpolarisation, Zirkulardichroismus und Robustheit Topologischer Oberflächenzustände BT - a photoemission study BT - eine Photoemissionsstudie N2 - Dreidimensionale topologische Isolatoren sind ein neues Materialsystem, welches dadurch charakterisiert ist, dass es in seinem Inneren isolierend an der Ober äche jedoch leitend ist. Ursächlich für die Leitfähigkeit an der Ober äche sind sogenannte topologische Ober- ächenzustände, welche das Valenzband des Inneren mit dem Leitungsband des Inneren verbinden. An der Ober äche ist also die Bandlücke, welche die isolierende Eigenschaft verursacht, geschlossen. Die vorliegende Arbeit untersucht diese Ober ächenzustände mittels spin- und winkelauf- gelöster Photoemissionsspektroskopie. Es wird gezeigt, dass in den Materialien Bi2Se3 und Bi2Te3, in übereinstimmung mit der Literatur, die entscheidenden Charakteristika eines topologischen Ober ächenzustands vorzu nden sind: Die Ober ächenzustände dieser Sys- teme durchqueren die Bandlücke in ungerader Anzahl, sie sind nicht entartet und weisen folgerichtig eine hohe Spinpolarisation auf. Weiterhin wird durch Aufdampfen diverser Adsorbate gezeigt, dass der Ober ächenzustän- de von Bi2Se3 und Bi2Te3, wie erwartet, extrem robust ist. Ober ächenzustände topologisch trivialer Systeme erfüllen diese Eigenschaft nicht; bereits kleine Verunreinigungen kön- nen diese Zustände zerstören, bzw. die Ober äche isolierend machen. Die topologischen Ober ächenzustände können in der vorliegenden Arbeit noch bis zur Detektionsgrenze der experimentellen Messmethode nachgewiesen werden und die Ober äche bleibt Leitfähig. Unter den Adsorbaten be ndet sich auch Eisen, ein bekanntermaßen magnetisches Materi- al. Eine der Grundvoraussetzungen für topologische Isolatoren ist die Zeitumkehrsymme- trie, die Elektronen, welche den topologischen Ober ächenzustand besetzen, vorschreibt, dass sie eine bestimmte Spinrichtung haben müssen, wenn sie sich beispielsweise nach links bewegen und den entgegengesetzten Spin wenn sie sich nach rechts bewegen. In magnetischen Materialien ist die Zeitumkehrsymmetrie jedoch explizit gebrochen und die gezeigte Robustheit des Ober ächenzustands gegen magnetische Materialien daher uner- wartet. Die Zeitumkehrsymmetrie sorgt auch dafür, dass eine Streuung der Elektronen um 180°, beispielsweise an einem Gitterdefekt oder an einem Phonon strikt verboten ist. Bei einem solchen Streuprozess bleibt die Spinrichtung erhalten, da aber in der Gegenrichtung nur Zustände mit entgegengesetztem Spin vorhanden sind kann das Elektron nicht in diese Richtung gestreut werden. Dieses Prinzip wird anhand der Lebensdauer der durch Pho- toemission angeregten Zustände untersucht. Hierbei wird gezeigt, dass die Kopplung der Elektronen des Ober ächenzustands von Bi2Te3 an Phononen unerwartet hoch ist und dass sich eine Anisotropie in der Bandstruktur des Selbigen auch in den Lebensdauern der ange- regten Zustände widerspiegelt. Weiterhin wird gezeigt, dass sich die Ein üsse von magne- tischen und nicht-magnetischen Verunreinigungen auf die Lebensdauern stark voneinander unterscheiden. Im letzten Teil der vorliegenden Arbeit wird untersucht, ob eine Asymmetrie in der Inten- sitätsverteilung der winkelaufgelösten Photoemissionsspektren, bei Anregung mit zirku- lar polarisiertem Licht, in Bi2Te3 Rückschlüsse auf die Spinpolarisation der Elektronen erlaubt. Bei Variation der Energie des eingestrahlten Lichts wird ein Vorzeichenwechsel der Asymmetrie beobachtet. Daraus lässt sich schlussfolgern, dass die Asymmetrie keine Rückschlüsse auf die Spinpolarisation erlaubt. N2 - This thesis is focussed on the electronic properties of the new material class named topological insulators. Spin and angle resolved photoelectron spectroscopy have been applied to reveal several unique properties of the surface state of these materials. The first part of this thesis introduces the methodical background of these quite established experimental techniques. In the following chapter, the theoretical concept of topological insulators is introduced. Starting from the prominent example of the quantum Hall effect, the application of topological invariants to classify material systems is illuminated. It is explained how, in presence of time reversal symmetry, which is broken in the quantum Hall phase, strong spin orbit coupling can drive a system into a topologically non trivial phase. The prediction of the spin quantum Hall effect in two dimensional insulators an the generalization to the three dimensional case of topological insulators is reviewed together with the first experimental realization of a three dimensional topological insulator in the Bi1-xSbx alloys given in the literature. The experimental part starts with the introduction of the Bi2X3 (X=Se, Te) family of materials. Recent theoretical predictions and experimental findings on the bulk and surface electronic structure of these materials are introduced in close discussion to our own experimental results. Furthermore, it is revealed, that the topological surface state of Bi2Te3 shares its orbital symmetry with the bulk valence band and the observation of a temperature induced shift of the chemical potential is to a high probability unmasked as a doping effect due to residual gas adsorption. The surface state of Bi2Te3 is found to be highly spin polarized with a polarization value of about 70% in a macroscopic area, while in Bi2Se3 the polarization appears reduced, not exceeding 50%. We, however, argue that the polarization is most likely only extrinsically limited in terms of the finite angular resolution and the lacking detectability of the out of plane component of the electron spin. A further argument is based on the reduced surface quality of the single crystals after cleavage and, for Bi2Se3 a sensitivity of the electronic structure to photon exposure. We probe the robustness of the topological surface state in Bi2X3 against surface impurities in Chapter 5. This robustness is provided through the protection by the time reversal symmetry. Silver, deposited on the (111) surface of Bi2Se3 leads to a strong electron doping but the surface state is observed up to a deposited Ag mass equivalent to one atomic monolayer. The opposite sign of doping, i.e., hole-like, is observed by exposing oxygen to Bi2Te3. But while the n-type shift of Ag on Bi2Se3 appears to be more or less rigid, O2 is lifting the Dirac point of the topological surface state in Bi2Te3 out of the valence band minimum at $\Gamma$. After increasing the oxygen dose further, it is possible to shift the Dirac point to the Fermi level, while the valence band stays well beyond. The effect is found reversible, by warming up the samples which is interpreted in terms of physisorption of O2. For magnetic impurities, i.e., Fe, we find a similar behavior as for the case of Ag in both Bi2Se3 and Bi2Te3. However, in that case the robustness is unexpected, since magnetic impurities are capable to break time reversal symmetry which should introduce a gap in the surface state at the Dirac point which in turn removes the protection. We argue, that the fact that the surface state shows no gap must be attributed to a missing magnetization of the Fe overlayer. In Bi2Te3 we are able to observe the surface state for deposited iron mass equivalents in the monolayer regime. Furthermore, we gain control over the sign of doping through the sample temperature during deposition. Chapter6 is devoted to the lifetime broadening of the photoemission signal from the topological surface states of Bi2Se3 and Bi2Te3. It is revealed that the hexagonal warping of the surface state in Bi2Te3 introduces an anisotropy for electrons traveling along the two distinct high symmetry directions of the surface Brillouin zone, i.e., $\Gamma$K and $\Gamma$M. We show that the phonon coupling strength to the surface electrons in Bi2Te3 is in nice agreement with the theoretical prediction but, nevertheless, higher than one may expect. We argue that the electron-phonon coupling is one of the main contributions to the decay of photoholes but the relatively small size of the Fermi surface limits the number of phonon modes that may scatter off electrons. This effect is manifested in the energy dependence of the imaginary part of the electron self energy of the surface state which shows a decay to higher binding energies in contrast to the monotonic increase proportional to E$^2$ in the Fermi liquid theory due to electron-electron interaction. Furthermore, the effect of the surface impurities of Chapter 5 on the quasiparticle life- times is investigated. We find that Fe impurities have a much stronger influence on the lifetimes as compared to Ag. Moreover, we find that the influence is stronger independently of the sign of the doping. We argue that this observation suggests a minor contribution of the warping on increased scattering rates in contrast to current belief. This is additionally confirmed by the observation that the scattering rates increase further with increasing silver amount while the doping stays constant and by the fact that clean Bi2Se3 and Bi2Te3 show very similar scattering rates regardless of the much stronger warping in Bi2Te3. In the last chapter we report on a strong circular dichroism in the angle distribution of the photoemission signal of the surface state of Bi2Te3. We show that the color pattern obtained by calculating the difference between photoemission intensities measured with opposite photon helicity reflects the pattern expected for the spin polarization. However, we find a strong influence on strength and even sign of the effect when varying the photon energy. The sign change is qualitatively confirmed by means of one-step photoemission calculations conducted by our collaborators from the LMU München, while the calculated spin polarization is found to be independent of the excitation energy. Experiment and theory together unambiguously uncover the dichroism in these systems as a final state effect and the question in the title of the chapter has to be negated: Circular dichroism in the angle distribution is not a new spin sensitive technique. KW - topological insulators KW - angle resolved photoelectron spectroscopy KW - spin resolved photoelectron spectroscopy KW - Bi2Se3 KW - Bi2Te3 KW - quasiparticle interactions KW - circular dichroism KW - spin-orbit coupling KW - time reversal symmetry KW - surface states KW - Spinpolarisation KW - Zirkulardichroismus KW - topologische Isolatoren KW - Oberflächenzustände KW - winkelaufgelöste Photoelektronenspektroskopie KW - spinaufgelöste Photoelektronenspektroskopie KW - Magnetismus KW - Bi2Te3 KW - Bi2Se3 Y1 - 2012 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-96686 ER - TY - JOUR A1 - Schraplau, Anne A1 - Block, Andrea A1 - Häusler, Andreas A1 - Wippert, Pia-Maria A1 - Rapp, Michael A. A1 - Völler, Heinz A1 - Bonaventura, Klaus A1 - Mayer, Frank T1 - Mobile diagnostics and consultation for the prevention of the metabolic syndrome and its secondary diseases in Brandenburg—study protocol of a regional prospective cohort study BT - the Mobile Brandenburg Cohort JF - Pilot and Feasibility Studies N2 - Background The metabolic syndrome (MetS) is a risk cluster for a number of secondary diseases. The implementation of prevention programs requires early detection of individuals at risk. However, access to health care providers is limited in structurally weak regions. Brandenburg, a rural federal state in Germany, has an especially high MetS prevalence and disease burden. This study aims to validate and test the feasibility of a setup for mobile diagnostics of MetS and its secondary diseases, to evaluate the MetS prevalence and its association with moderating factors in Brandenburg and to identify new ways of early prevention, while establishing a “Mobile Brandenburg Cohort” to reveal new causes and risk factors for MetS. Methods In a pilot study, setups for mobile diagnostics of MetS and secondary diseases will be developed and validated. A van will be equipped as an examination room using point-of-care blood analyzers and by mobilizing standard methods. In study part A, these mobile diagnostic units will be placed at different locations in Brandenburg to locally recruit 5000 participants aged 40-70 years. They will be examined for MetS and advice on nutrition and physical activity will be provided. Questionnaires will be used to evaluate sociodemographics, stress perception, and physical activity. In study part B, participants with MetS, but without known secondary diseases, will receive a detailed mobile medical examination, including MetS diagnostics, medical history, clinical examinations, and instrumental diagnostics for internal, cardiovascular, musculoskeletal, and cognitive disorders. Participants will receive advice on nutrition and an exercise program will be demonstrated on site. People unable to participate in these mobile examinations will be interviewed by telephone. If necessary, participants will be referred to general practitioners for further diagnosis. Discussion The mobile diagnostics approach enables early detection of individuals at risk, and their targeted referral to local health care providers. Evaluation of the MetS prevalence, its relation to risk-increasing factors, and the “Mobile Brandenburg Cohort” create a unique database for further longitudinal studies on the implementation of home-based prevention programs to reduce mortality, especially in rural regions. Trial registration German Clinical Trials Register, DRKS00022764; registered 07 October 2020—retrospectively registered. KW - Metabolic syndrome KW - Mobile diagnostics KW - Prevention KW - Nutrition KW - Physical activity KW - Rural health Y1 - 2021 U6 - https://doi.org/10.1186/s40814-021-00898-w SN - 2055-5784 VL - 7 SP - 1 EP - 11 PB - BioMed Central (Springer Nature) CY - London ER - TY - CHAP A1 - Schrijvers, Tom T1 - Overview of the monadic constraint programming framework N2 - A constraint programming system combines two essential components: a constraint solver and a search engine. The constraint solver reasons about satisfiability of conjunctions of constraints, and the search engine controls the search for solutions by iteratively exploring a disjunctive search tree defined by the constraint program. The Monadic Constraint Programming framework gives a monadic definition of constraint programming where the solver is defined as a monad threaded through the monadic search tree. Search and search strategies can then be defined as firstclass objects that can themselves be built or extended by composable search transformers. Search transformers give a powerful and unifying approach to viewing search in constraint programming, and the resulting constraint programming system is first class and extremely flexible. Y1 - 2010 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-41411 ER - TY - THES A1 - Schröder, Birgit Eva T1 - Spatial and temporal dynamics of the terrestrial carbon cycle : assimilation of two decades of optical satellite data into a process-based global vegetation model T1 - Räumliche und zeitliche Dynamik des terrestrischen Kohlenstoffhaushaltes anhand der Assimilation von 20 Jahren optischer Satellitendaten in ein prozessbasiertes dynamisches globales Vegetationsmodell (DGVM) N2 - This PhD thesis presents the spatio-temporal distribution of terrestrial carbon fluxes for the time period of 1982 to 2002 simulated by a combination of the process-based dynamic global vegetation model LPJ and a 21-year time series of global AVHRR-fPAR data (fPAR – fraction of photosynthetically active radiation). Assimilation of the satellite data into the model allows improved simulations of carbon fluxes on global as well as on regional scales. As it is based on observed data and includes agricultural regions, the model combined with satellite data produces more realistic carbon fluxes of net primary production (NPP), soil respiration, carbon released by fire and the net land-atmosphere flux than the potential vegetation model. It also produces a good fit to the interannual variability of the CO2 growth rate. Compared to the original model, the model with satellite data constraint produces generally smaller carbon fluxes than the purely climate-based stand-alone simulation of potential natural vegetation, now comparing better to literature estimates. The lower net fluxes are a result of a combination of several effects: reduction in vegetation cover, consideration of human influence and agricultural areas, an improved seasonality, changes in vegetation distribution and species composition. This study presents a way to assess terrestrial carbon fluxes and elucidates the processes contributing to interannual variability of the terrestrial carbon exchange. Process-based terrestrial modelling and satellite-observed vegetation data are successfully combined to improve estimates of vegetation carbon fluxes and stocks. As net ecosystem exchange is the most interesting and most sensitive factor in carbon cycle modelling and highly uncertain, the presented results complementary contribute to the current knowledge, supporting the understanding of the terrestrial carbon budget. N2 - In der vorliegenden Arbeit wird anhand der Kombination eines dynamischen globalen Vegetationsmodells mit einer Zeitreihe von 21 Jahren optischer Satellitendaten eine realistische Abschätzung der terrestrischen Quellen und Senken von CO2 ermöglicht. Grundlage des hier vorgestellten neuen Modells stellt das dynamische globale Vegetationsmodell LPJ dar, ein prozessorientiertes Vegetationsmodell, das basierend auf ökophysiologischen Grundlagen die Vegetationsverteilung und -dynamik, Störungen (z.B. Feuer) und den Kohlenstoff- sowie den Wasserkreislauf modelliert. Die Kopplung des LPJ-DGVM erfolgte mit einer Zeitreihe globaler AVHRR-fPAR Daten (fPAR – Anteil photosynthetisch aktiver Strahlung), für den Zeitraum 1982 bis 2002 in einer räumlichen Auflösung von 0.5°. Als Ergebnis liegt nun eine globale raum-zeitliche Verteilung aller relevanten Kohlenstoffflüsse vor: Nettoprimärproduktion, Bodenrespiration, Nettoökosystemproduktion, durch Feuer und Ernte emittierter Kohlenstoff, sowie der in Biomasse und Boden gespeicherte Kohlenstoff. Verglichen mit dem Originalmodell haben sich durch die Einspeisung der Satellitendaten alle relevanten Kohlenstoffkomponenten verringert und zeigen nun bessere Übereinstimmung mit Literaturwerten. Die geringeren Kohlenstoffflüsse resultieren aus einer Kombination verschiedener Effekte: geringere Vegetationsbedeckung, Berücksichtigung der landwirtschaftlichen Nutzfläche, realistischere Abbildung der Saisonalität, Veränderung der Vegetationsverteilung und Verschiebung der Artenzusammensetzung. Die globalen Kohlenstoffflüsse werden mit dem vorgestellten Modell realistischer abgebildet als mit Ansätzen, die nur die potentiell natürliche Vegetation simulieren. Insbesondere die Quellen- und Senkendynamik unterliegt vielfältigen Prozessen, die mit einem Modell, dass auch die Bodenrespiration prozessorientiert berücksichtigt, verlässlich geschätzt wird. KW - Vegetationsmodell KW - Kohlenstoffmodell KW - DGVM KW - LPJ KW - Kohlenstoffhaushalt KW - vegetation model KW - carbon cycle KW - DGVM KW - LPJ KW - global change Y1 - 2007 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-17596 ER - TY - INPR A1 - Schumacher, Jörg A1 - Seehafer, Norbert T1 - Bifurcation analysis of the plane sheet pinch N2 - A numerical bifurcation analysis of the electrically driven plane sheet pinch is presented. The electrical conductivity varies across the sheet such as to allow instability of the quiescent basic state at some critical Hartmann number. The most unstable perturbation is the two-dimensional tearing mode. Restricting the whole problem to two spatial dimensions, this mode is followed up to a time-asymptotic steady state, which proves to be sensitive to three-dimensional perturbations even close to the point where the primary instability sets in. A comprehensive three-dimensional stability analysis of the two-dimensional steady tearing-mode state is performed by varying parameters of the sheet pinch. The instability with respect to three-dimensional perturbations is suppressed by a sufficiently strong magnetic field in the invariant direction of the equilibrium. For a special choice of the system parameters, the unstably perturbed state is followed up in its nonlinear evolution and is found to approach a three-dimensional steady state. T3 - NLD Preprints - 56 Y1 - 1999 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-14926 ER - TY - THES A1 - Schutjajew, Konstantin T1 - Electrochemical sodium storage in non-graphitizing carbons - insights into mechanisms and synthetic approaches towards high-energy density materials T1 - Elektrochemische Natriumspeicherung in nicht-graphitisierbaren Kohlenstoffen - Untersuchungen zu Mechanismen und synthetische Ansätze für die Darstellung von Materialien mit hohen Energiedichten N2 - To achieve a sustainable energy economy, it is necessary to turn back on the combustion of fossil fuels as a means of energy production and switch to renewable sources. However, their temporal availability does not match societal consumption needs, meaning that renewably generated energy must be stored in its main generation times and allocated during peak consumption periods. Electrochemical energy storage (EES) in general is well suited due to its infrastructural independence and scalability. The lithium ion battery (LIB) takes a special place, among EES systems due to its energy density and efficiency, but the scarcity and uneven geological occurrence of minerals and ores vital for many cell components, and hence the high and fluctuating costs will decelerate its further distribution. The sodium ion battery (SIB) is a promising successor to LIB technology, as the fundamental setup and cell chemistry is similar in the two systems. Yet, the most widespread negative electrode material in LIBs, graphite, cannot be used in SIBs, as it cannot store sufficient amounts of sodium at reasonable potentials. Hence, another carbon allotrope, non-graphitizing or hard carbon (HC) is used in SIBs. This material consists of turbostratically disordered, curved graphene layers, forming regions of graphitic stacking and zones of deviating layers, so-called internal or closed pores. The structural features of HC have a substantial impact of the charge-potential curve exhibited by the carbon when it is used as the negative electrode in an SIB. At defects and edges an adsorption-like mechanism of sodium storage is prevalent, causing a sloping voltage curve, ill-suited for the practical application in SIBs, whereas a constant voltage plateau of relatively high capacities is found immediately after the sloping region, which recent research attributed to the deposition of quasimetallic sodium into the closed pores of HC. Literature on the general mechanism of sodium storage in HCs and especially the role of the closed pore is abundant, but the influence of the pore geometry and chemical nature of the HC on the low-potential sodium deposition is yet in an early stage. Therefore, the scope of this thesis is to investigate these relationships using suitable synthetic and characterization methods. Materials of precisely known morphology, porosity, and chemical structure are prepared in clear distinction to commonly obtained ones and their impact on the sodium storage characteristics is observed. Electrochemical impedance spectroscopy in combination with distribution of relaxation times analysis is further established as a technique to study the sodium storage process, in addition to classical direct current techniques, and an equivalent circuit model is proposed to qualitatively describe the HC sodiation mechanism, based on the recorded data. The obtained knowledge is used to develop a method for the preparation of closed porous and non-porous materials from open porous ones, proving not only the necessity of closed pores for efficient sodium storage, but also providing a method for effective pore closure and hence the increase of the sodium storage capacity and efficiency of carbon materials. The insights obtained and methods developed within this work hence not only contribute to the better understanding of the sodium storage mechanism in carbon materials of SIBs, but can also serve as guidance for the design of efficient electrode materials. N2 - Eine nachhaltige Energiewirtschaft kann nur durch die Abkehr von fossilen Brennstoffen als Energiequellen und den ausschließlichen Einsatz erneuerbarer Quellen für die Energieerzeugung erreicht werden. Da diese jedoch naturgemäß nur diskontinuierlich zur Verfügung stehen und sich die tageszeitliche Verfügbarkeit kaum mit dem Bedarf deckt, muss erneuerbar gewonnene Energie zwischengespeichert werden. Dies kann mittels elektrochemischer Energiespeicher geschehen, wobei sich die Lithium-Ionen-Batterie (LIB) aufgrund ihrer hohen Energiedichte und Effizienz besonders dafür eignet. Da jedoch Ressourcen, welche für entscheidende Zellkomponenten der LIB benötigt werden, knapper werden und oft in geopolitisch komplizierten Regionen vorkommen, muss auch dafür eine Alternative gefunden werden. Die Natrium-Ionen-Batterie (NIB) bietet sich als Nachfolger für LIBs an, da sich die Zellchemie der beiden Systeme ähnelt und somit Kenntnisse direkt aus der LIB-Forschung übernommen werden können. Es erweist sich allerdings als problematisch, dass das kommerziell wichtigste negative Elektrodenmaterial in LIBs, Graphit, nicht für die Anwendung in NIBs eignet und daher eine andere Kohlenstoffmodifikation, sogenannter nicht-graphitisierbarer Kohlenstoff, oder aus dem Englischen hard carbon (HC), verwendet werden muss. HC ist durch eine besondere Art der Fehlordnung geprägt und besteht im Wesentlichen aus Regionen, in denen die Kohlenstoffschichten parallel zueinander verlaufen und aus Regionen, in denen die Schichten innere Hohlräume, sogenannte geschlossene Poren bilden. Die Lade-Entladekurve von HCs ist geprägt von diesen Strukturmerkmalen, sodass sie in einen linear-abflachenden, aus dem Englischen sloping Bereich, und einen Plateaubereich unterteilt werden kann. Die Speicherung im für Energieanwendungen relevanteren Plateaubereich erfolgt durch Abscheidung quasimetallischer Natriumstrukturen in eingangs erwähnten geschlossenen Poren, bei geringen, konstanten Spannungen, wie zahlreiche Forschungsarbeiten unter Berufung auf verschiedene Strukturcharakterisierungsmethoden � uberzeugend nahelegen. Jedoch ist über den Einfluss der Größe und Form der geschlossenen Poren sowie derer chemischer Eigenschaften auf die Natriumspeicherung nur wenig bekannt. Eben diese Fragestellung soll in der vorliegenden Arbeit behandelt werden. Durch die Herstellung von Materialien mit genau definierter und bekannter Morphologie, Porenstruktur sowie chemischer Beschaffenheit wird die Bedeutung dieser Merkmale für die Natriumabscheidung bei geringen Potentialen beleuchtet. Mittels elektrochemischer Impedanzspektroskopie wird desweiteren der Natriumspeichermechanismus detailliert untersucht und die Kinetik der reversiblen Natriumspeicherung mit der der irreversiblen Metallabscheidung verglichen, wobei eine bemerkenswerte Ähnlichkeit der beiden Prozesse zu beobachten ist. Abschließend ist die gezielte Herstellung geschlossenporiger Materialien aus offenporigen Vorläufermaterialien gelungen, welche es nicht nur ermöglicht, geschlossen- und offenporige Materialien ansonsten gleicher Porenstruktur zu vergleichen und die Notwendigkeit geschlossener Poren nachzuweisen, sondern auch die Speicherkapazität und Effizienz der Elektrodenmaterialien zu erhöhen. Insgesamt tragen die im Rahmen der vorliegenden Dissertation gewonnenen Erkenntisse nicht nur zum tiefergehenden Verständnis des Natriumspeichermechanismus in HCs bei, sondern es werden auch synthetische und analytische Methoden vorgestellt, die der weiteren Forschung auf diesem Gebiet dienen werden. KW - sodium-ion batteries KW - energy storage KW - carbon KW - Natrium-Ionen-Akkumulator KW - Energiespeicher KW - Kohlenstoff Y1 - 2021 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-541894 ER - TY - JOUR A1 - Schwartz, Yitzchak T1 - American Jewish Ideas in a Transnational Jewish World, 1843–1900 JF - PaRDeS : Journal of the Association for Jewish Studies in Germany JF - PaRDeS : Zeitschrift der Vereinigung für Jüdische Studien N2 - As mid-19th-century American Jews introduced radical changes to their religious observance and began to define Judaism in new ways, to what extent did they engage with European Jewish ideas? Historians often approach religious change among Jews from German lands during this period as if Jewish immigrants had come to America with one set of ideas that then evolved solely in conversation with their American contexts. Historians have similarly cast the kinds of Judaism Americans created as both unique to America and uniquely American. These characterizations are accurate to an extent. But to what extent did Jewish innovations in the United States take place in conversation with European Jewish developments? Looking to the 19th-century American Jewish press, this paper seeks to understand how American Jews engaged European Judaism in formulating their own ideas, understanding themselves, and understanding their place in world Judaism. KW - modern Jewish history KW - Orthodox Judaism KW - Reform Judaism KW - Isaac Leeser KW - Isaac Mayer Wise KW - print culture KW - 19th century KW - German Jewry KW - United States KW - moderne jüdische Geschichte KW - jüdische Orthodoxie KW - Reformjudentum KW - Isaac Leeser KW - Isaac Mayer Wise KW - 19. Jahrhundert KW - deutsch-jüdische Geschichte KW - USA Y1 - 2021 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-532835 SN - 978-3-86956-520-0 SN - 1614-6492 SN - 1862-7684 IS - 27 SP - 39 EP - 52 PB - Universitätsverlag Potsdam CY - Potsdam ER - TY - JOUR A1 - Schäfer, Marjänn Helena A1 - Kakularam, Kumar Reddy A1 - Reisch, Florian A1 - Rothe, Michael A1 - Stehling, Sabine A1 - Heydeck, Dagmar A1 - Püschel, Gerhard Paul A1 - Kuhn, Hartmut T1 - Male Knock-in Mice Expressing an Arachidonic Acid Lipoxygenase 15B (Alox15B) with Humanized Reaction Specificity Are Prematurely Growth Arrested When Aging JF - Biomedicines N2 - Mammalian arachidonic acid lipoxygenases (ALOXs) have been implicated in cell differentiation and in the pathogenesis of inflammation. The mouse genome involves seven functional Alox genes and the encoded enzymes share a high degree of amino acid conservation with their human orthologs. There are, however, functional differences between mouse and human ALOX orthologs. Human ALOX15B oxygenates arachidonic acid exclusively to its 15-hydroperoxy derivative (15S-HpETE), whereas 8S-HpETE is dominantly formed by mouse Alox15b. The structural basis for this functional difference has been explored and in vitro mutagenesis humanized the reaction specificity of the mouse enzyme. To explore whether this mutagenesis strategy may also humanize the reaction specificity of mouse Alox15b in vivo, we created Alox15b knock-in mice expressing the arachidonic acid 15-lipoxygenating Tyr603Asp+His604Val double mutant instead of the 8-lipoxygenating wildtype enzyme. These mice are fertile, display slightly modified plasma oxylipidomes and develop normally up to an age of 24 weeks. At later developmental stages, male Alox15b-KI mice gain significantly less body weight than outbred wildtype controls, but this effect was not observed for female individuals. To explore the possible reasons for the observed gender-specific growth arrest, we determined the basic hematological parameters and found that aged male Alox15b-KI mice exhibited significantly attenuated red blood cell parameters (erythrocyte counts, hematocrit, hemoglobin). Here again, these differences were not observed in female individuals. These data suggest that humanization of the reaction specificity of mouse Alox15b impairs the functionality of the hematopoietic system in males, which is paralleled by a premature growth arrest. KW - eicosanoids KW - lipid peroxidation KW - oxidative stress KW - polyenoic fatty acids KW - erythropoiesis Y1 - 2022 U6 - https://doi.org/10.3390/biomedicines10061379 SN - 2227-9059 VL - 10 SP - 1 EP - 22 PB - MDPI CY - Basel, Schweiz ET - 6 ER - TY - THES A1 - Schütte, Moritz T1 - Evolutionary fingerprints in genome-scale networks T1 - Evolutionäre Spuren in genomskaligen Netzwerken N2 - Mathematical modeling of biological phenomena has experienced increasing interest since new high-throughput technologies give access to growing amounts of molecular data. These modeling approaches are especially able to test hypotheses which are not yet experimentally accessible or guide an experimental setup. One particular attempt investigates the evolutionary dynamics responsible for today's composition of organisms. Computer simulations either propose an evolutionary mechanism and thus reproduce a recent finding or rebuild an evolutionary process in order to learn about its mechanism. The quest for evolutionary fingerprints in metabolic and gene-coexpression networks is the central topic of this cumulative thesis based on four published articles. An understanding of the actual origin of life will probably remain an insoluble problem. However, one can argue that after a first simple metabolism has evolved, the further evolution of metabolism occurred in parallel with the evolution of the sequences of the catalyzing enzymes. Indications of such a coevolution can be found when correlating the change in sequence between two enzymes with their distance on the metabolic network which is obtained from the KEGG database. We observe that there exists a small but significant correlation primarily on nearest neighbors. This indicates that enzymes catalyzing subsequent reactions tend to be descended from the same precursor. Since this correlation is relatively small one can at least assume that, if new enzymes are no "genetic children" of the previous enzymes, they certainly be descended from any of the already existing ones. Following this hypothesis, we introduce a model of enzyme-pathway coevolution. By iteratively adding enzymes, this model explores the metabolic network in a manner similar to diffusion. With implementation of an Gillespie-like algorithm we are able to introduce a tunable parameter that controls the weight of sequence similarity when choosing a new enzyme. Furthermore, this method also defines a time difference between successive evolutionary innovations in terms of a new enzyme. Overall, these simulations generate putative time-courses of the evolutionary walk on the metabolic network. By a time-series analysis, we find that the acquisition of new enzymes appears in bursts which are pronounced when the influence of the sequence similarity is higher. This behavior strongly resembles punctuated equilibrium which denotes the observation that new species tend to appear in bursts as well rather than in a gradual manner. Thus, our model helps to establish a better understanding of punctuated equilibrium giving a potential description at molecular level. From the time-courses we also extract a tentative order of new enzymes, metabolites, and even organisms. The consistence of this order with previous findings provides evidence for the validity of our approach. While the sequence of a gene is actually subject to mutations, its expression profile might also indirectly change through the evolutionary events in the cellular interplay. Gene coexpression data is simply accessible by microarray experiments and commonly illustrated using coexpression networks where genes are nodes and get linked once they show a significant coexpression. Since the large number of genes makes an illustration of the entire coexpression network difficult, clustering helps to show the network on a metalevel. Various clustering techniques already exist. However, we introduce a novel one which maintains control of the cluster sizes and thus assures proper visual inspection. An application of the method on Arabidopsis thaliana reveals that genes causing a severe phenotype often show a functional uniqueness in their network vicinity. This leads to 20 genes of so far unknown phenotype which are however suggested to be essential for plant growth. Of these, six indeed provoke such a severe phenotype, shown by mutant analysis. By an inspection of the degree distribution of the A.thaliana coexpression network, we identified two characteristics. The distribution deviates from the frequently observed power-law by a sharp truncation which follows after an over-representation of highly connected nodes. For a better understanding, we developed an evolutionary model which mimics the growth of a coexpression network by gene duplication which underlies a strong selection criterion, and slight mutational changes in the expression profile. Despite the simplicity of our assumption, we can reproduce the observed properties in A.thaliana as well as in E.coli and S.cerevisiae. The over-representation of high-degree nodes could be identified with mutually well connected genes of similar functional families: zinc fingers (PF00096), flagella, and ribosomes respectively. In conclusion, these four manuscripts demonstrate the usefulness of mathematical models and statistical tools as a source of new biological insight. While the clustering approach of gene coexpression data leads to the phenotypic characterization of so far unknown genes and thus supports genome annotation, our model approaches offer explanations for observed properties of the coexpression network and furthermore substantiate punctuated equilibrium as an evolutionary process by a deeper understanding of an underlying molecular mechanism. N2 - Die biologische Zelle ist ein sehr kompliziertes Gebilde. Bei ihrer Betrachtung gilt es, das Zusammenspiel von Tausenden bis Millionen von Genen, Regulatoren, Proteinen oder Molekülen zu beschreiben und zu verstehen. Durch enorme Verbesserungen experimenteller Messgeräte gelingt es mittlerweile allerdings in geringer Zeit enorme Datenmengen zu messen, seien dies z.B. die Entschlüsselung eines Genoms oder die Konzentrationen der Moleküle in einer Zelle. Die Systembiologie nimmt sich dem Problem an, aus diesem Datenmeer ein quantitatives Verständnis für die Gesamtheit der Wechselwirkungen in der Zelle zu entwickeln. Dabei stellt die mathematische Modellierung und computergestützte Analyse ein eminent wichtiges Werkzeug dar, lassen sich doch am Computer in kurzer Zeit eine Vielzahl von Fällen testen und daraus Hypothesen generieren, die experimentell verifiziert werden können. Diese Doktorarbeit beschäftigt sich damit, wie durch mathematische Modellierung Rückschlüsse auf die Evolution und deren Mechanismen geschlossen werden können. Dabei besteht die Arbeit aus zwei Teilen. Zum Einen wurde ein Modell entwickelt, dass die Evolution des Stoffwechsels nachbaut. Der zweite Teil beschäftigt sich mit der Analyse von Genexpressionsdaten, d.h. der Stärke mit der ein bestimmtes Gen in ein Protein umgewandelt, "exprimiert", wird. Der Stoffwechsel bezeichnet die Gesamtheit der chemischen Vorgänge in einem Organismus; zum Einen werden Nahrungsstoffe für den Organismus verwertbar zerlegt, zum Anderen aber auch neue Stoffe aufgebaut. Da für nahezu jede chemische Reaktion ein katalysierendes Enzym benötigt wird, ist davon auszugehen, dass sich der Stoffwechsel parallel zu den Enzymen entwickelt hat. Auf dieser Annahme basiert das entwickelte Modell zur Enzyme-Stoffwechsel-Koevolution. Von einer Anfangsmenge von Enzymen und Molekülen ausgehend, die etwa in einer primitiven Atmosphäre vorgekommen sind, werden sukzessive Enzyme und die nun katalysierbaren Reaktionen hinzugefügt, wodurch die Stoffwechselkapazität anwächst. Die Auswahl eines neuen Enzyms geschieht dabei in Abhängigkeit von der Ähnlichkeit mit bereits vorhandenen und ist so an den evolutionären Vorgang der Mutation angelehnt: je ähnlicher ein neues Enzym zu den vorhandenen ist, desto schneller kann es hinzugefügt werden. Dieser Vorgang wird wiederholt, bis der Stoffwechsel die heutige Form angenommen hat. Interessant ist vor allem der zeitliche Verlauf dieser Evolution, der mittels einer Zeitreihenanalyse untersucht wird. Dabei zeigt sich, dass neue Enzyme gebündelt in Gruppen kurzer Zeitfolge auftreten, gefolgt von Intervallen relativer Stille. Dasselbe Phänomen kennt man von der Evolution neuer Arten, die ebenfalls gebündelt auftreten, und wird Punktualismus genannt. Diese Arbeit liefert somit ein besseres Verständnis dieses Phänomens durch eine Beschreibung auf molekularer Ebene. Im zweiten Projekt werden Genexpressionsdaten von Pflanzen analysiert. Einerseits geschieht dies mit einem eigens entwickelten Cluster-Algorithmus. Hier läßt sich beobachten, dass Gene mit einer ähnlichen Funktion oft auch ein ähnliches Expressionsmuster aufweisen. Das Clustering liefert einige Genkandidaten, deren Funktion bisher unbekannt war, von denen aber nun vermutet werden konnte, dass sie enorm wichtig für das Wachstum der Pflanze sind. Durch Experimente von Pflanzen mit und ohne diese Gene zeigte sich, dass sechs neuen Genen dieses essentielle Erscheinungsbild zugeordnet werden kann. Weiterhin wurden Netzwerke der Genexpressionsdaten einer Pflanze, eines Pilzes und eines Bakteriums untersucht. In diesen Netzwerken werden zwei Gene verbunden, falls sie ein sehr ähnliches Expressionsprofil aufweisen. Nun zeigten diese Netzwerke sehr ähnliche und charakteristische Eigenschaften auf. Im Rahmen dieser Arbeit wurde daher ein weiteres evolutionäres Modell entwickelt, das die Expressionsprofile anhand von Duplikation, Mutation und Selektion beschreibt. Obwohl das Modell auf sehr simplen Eigenschaften beruht, spiegelt es die beobachteten Eigenschaften sehr gut wider, und es läßt sich der Schluss ziehen, dass diese als Resultat der Evolution betrachtet werden können. Die Ergebnisse dieser Arbeiten sind als Doktorarbeit in kumulativer Form bestehend aus vier veröffentlichten Artikeln vereinigt. KW - Systembiologie KW - Modellierung KW - Evolution KW - Stoffwechsel KW - Gen-Koexpression KW - Systems Biology KW - Modeling KW - Evolution KW - Metabolism KW - Gene co-expression Y1 - 2011 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-57483 ER - TY - CHAP A1 - Seipel, Dietmar T1 - Practical Applications of Extended Deductive Databases in DATALOG* N2 - A wide range of additional forward chaining applications could be realized with deductive databases, if their rule formalism, their immediate consequence operator, and their fixpoint iteration process would be more flexible. Deductive databases normally represent knowledge using stratified Datalog programs with default negation. But many practical applications of forward chaining require an extensible set of user–defined built–in predicates. Moreover, they often need function symbols for building complex data structures, and the stratified fixpoint iteration has to be extended by aggregation operations. We present an new language Datalog*, which extends Datalog by stratified meta–predicates (including default negation), function symbols, and user–defined built–in predicates, which are implemented and evaluated top–down in Prolog. All predicates are subject to the same backtracking mechanism. The bottom–up fixpoint iteration can aggregate the derived facts after each iteration based on user–defined Prolog predicates. KW - deductive databases KW - Prolog KW - forward / backward chaining KW - bottom–up KW - top– down KW - built–in predicates KW - stratification KW - function symbols KW - XM Y1 - 2010 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-41457 ER - TY - JOUR A1 - Sentance, Sue A1 - Hodges, Steve T1 - .NET Gadgeteer Workshop JF - Commentarii informaticae didacticae : (CID) Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-64654 SN - 1868-0844 SN - 2191-1940 IS - 6 SP - 159 PB - Universitätsverlag Potsdam CY - Potsdam ER - TY - THES A1 - Shaw, Vasundhara T1 - Cosmic-ray transport and signatures in their local environment N2 - The origin and structure of magnetic fields in the Galaxy are largely unknown. What is known is that they are essential for several astrophysical processes, in particular the propagation of cosmic rays. Our ability to describe the propagation of cosmic rays through the Galaxy is severely limited by the lack of observational data needed to probe the structure of the Galactic magnetic field on many different length scales. This is particularly true for modelling the propagation of cosmic rays into the Galactic halo, where our knowledge of the magnetic field is particularly poor. In the last decade, observations of the Galactic halo in different frequency regimes have revealed the existence of out-of-plane bubble emission in the Galactic halo. In gamma rays these bubbles have been termed Fermi bubbles with a radial extent of ≈ 3 kpc and an azimuthal height of ≈ 6 kpc. The radio counterparts of the Fermi bubbles were seen by both the S-PASS telescopes and the Planck satellite, and showed a clear spatial overlap. The X-ray counterparts of the Fermi bubbles were named eROSITA bubbles after the eROSITA satellite, with a radial width of ≈ 7 kpc and an azimuthal height of ≈ 14 kpc. Taken together, these observations suggest the presence of large extended Galactic Halo Bubbles (GHB) and have stimulated interest in exploring the less explored Galactic halo. In this thesis, a new toy model (GHB model) for the magnetic field and non-thermal electron distribution in the Galactic halo has been proposed. The new toy model has been used to produce polarised synchrotron emission sky maps. Chi-square analysis was used to compare the synthetic skymaps with the Planck 30 GHz polarised skymaps. The obtained constraints on the strength and azimuthal height were found to be in agreement with the S-PASS radio observations. The upper, lower and best-fit values obtained from the above chi-squared analysis were used to generate three separate toy models. These three models were used to propagate ultra-high energy cosmic rays. This study was carried out for two potential sources, Centaurus A and NGC 253, to produce magnification maps and arrival direction skymaps. The simulated arrival direction skymaps were found to be consistent with the hotspots of Centaurus A and NGC 253 as seen in the observed arrival direction skymaps provided by the Pierre Auger Observatory (PAO). The turbulent magnetic field component of the GHB model was also used to investigate the extragalactic dipole suppression seen by PAO. UHECRs with an extragalactic dipole were forward-tracked through the turbulent GHB model at different field strengths. The suppression in the dipole due to the varying diffusion coefficient from the simulations was noted. The results could also be compared with an analytical analogy of electrostatics. The simulations of the extragalactic dipole suppression were in agreement with similar studies carried out for galactic cosmic rays. N2 - Unsere Galaxie wird ständig von hochenergetischen geladenen Teilchen unterschiedlicher Energie bombardiert, die als kosmische Strahlung bezeichnet werden und deren Ursprung nicht bekannt ist. Satelliten- und erdgestützte Messungen haben bisher ergeben, dass es in unserer Galaxie Beschleuniger für kosmische Strahlung gibt, z. B. die Überreste explodierender Sterne (Supernova-Überreste), aber bei den höchsten kosmischen Strahlungsenergien bleiben die Quellen ein Rätsel. Fortschritte zu erzielen ist eine Herausforderung, auch weil die kosmische Strahlung durch Magnetfelder abgelenkt wird, was bedeutet, dass die beobachtete Richtung mit der Richtung der Quelle übereinstimmen kann oder auch nicht. Unsere Galaxie weist starke Magnetfelder auf, deren Beschaffenheit noch nicht gut verstanden ist, insbesondere in der Komponente außerhalb der Scheibe (dem galaktischen Halo). Darüber hinaus haben Beobachtungen in den letzten zehn Jahren blasenartige Strukturen im galaktischen Halo mit enormen Gesamtenergien aufgedeckt, die auch als galaktische Halo-Blasen bezeichnet werden. All dies motiviert uns, den galaktischen Halo zu untersuchen. In meiner Doktorarbeit schlagen wir ein neues, vereinfachtes Magnetfeldmodell für galaktische Halo-Blasen vor. Das Modell umfasst sowohl strukturierte als auch turbulente Komponenten des Magnetfelds. Das vereinfachte Modell wurde mit Beobachtungsdaten verglichen, um den am besten passenden Parametersatz zusammen mit den Unsicherheiten zu erhalten. Ich untersuchte die Propagation der ultrahochenergetischen kosmischen Strahlung durch das vereinfachte Modell und untersuchte dessen Auswirkungen auf die Ankunftsrichtungen der ultrahochenergetischen kosmischen Strahlung für zwei potenzielle Quellen, Centaurus~A und NGC~253. Außerdem habe ich sowohl numerisch als auch analytisch abgeschätzt, wie stark ein Dipol der extragalaktischen kosmischen Strahlung durch verschiedene Konfigurationen der turbulenten Magnetfelder des vereinfachten Modells unterdrückt wird. Die Ergebnisse all dieser Arbeiten werden in dieser Arbeit im Detail vorgestellt. KW - galactic magnetic fields KW - synchrotron radiation KW - non-thermal radiation KW - ultra-high energy cosmic rays KW - cosmic ray propagation KW - Ausbreitung der kosmischen Strahlung KW - galaktische Magnetfelder KW - nicht-thermische Strahlung KW - Synchrotronstrahlung KW - ultrahochenergetische kosmische Strahlung Y1 - 2024 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-620198 ER - TY - THES A1 - Sieg, Tobias T1 - Reliability of flood damage estimations across spatial scales T1 - Verlässlichkeit von Hochwasserschadensschätzungen über räumliche Skalen N2 - Extreme Naturereignisse sind ein integraler Bestandteil der Natur der Erde. Sie werden erst dann zu Gefahren für die Gesellschaft, wenn sie diesen Ereignissen ausgesetzt ist. Dann allerdings können Naturgefahren verheerende Folgen für die Gesellschaft haben. Besonders hydro-meteorologische Gefahren wie zum Beispiel Flusshochwasser, Starkregenereignisse, Winterstürme, Orkane oder Tornados haben ein hohes Schadenspotential und treten rund um den Globus auf. Einhergehend mit einer immer wärmer werdenden Welt, werden auch Extremwetterereignisse, welche potentiell Naturgefahren auslösen können, immer wahrscheinlicher. Allerdings trägt nicht nur eine sich verändernde Umwelt zur Erhöhung des Risikos von Naturgefahren bei, sondern auch eine sich verändernde Gesellschaft. Daher ist ein angemessenes Risikomanagement erforderlich um die Gesellschaft auf jeder räumlichen Ebene an diese Veränderungen anzupassen. Ein essentieller Bestandteil dieses Managements ist die Abschätzung der ökonomischen Auswirkungen der Naturgefahren. Bisher allerdings fehlen verlässliche Methoden um die Auswirkungen von hydro-meteorologischen Gefahren abzuschätzen. Ein Hauptbestandteil dieser Arbeit ist daher die Entwicklung und Anwendung einer neuen Methode, welche die Verlässlichkeit der Schadensschätzung verbessert. Die Methode wurde beispielhaft zur Schätzung der ökonomischen Auswirkungen eines Flusshochwassers auf einzelne Unternehmen bis hin zu den Auswirkungen auf das gesamte Wirtschaftssystem Deutschlands erfolgreich angewendet. Bestehende Methoden geben meist wenig Information über die Verlässlichkeit ihrer Schätzungen. Da diese Informationen Entscheidungen zur Anpassung an das Risiko erleichtern, wird die Verlässlichkeit der Schadensschätzungen mit der neuen Methode dargestellt. Die Verlässlichkeit bezieht sich dabei nicht nur auf die Schadensschätzung selber, sondern auch auf die Annahmen, die über betroffene Gebäude gemacht werden. Nach diesem Prinzip kann auch die Verlässlichkeit von Annahmen über die Zukunft dargestellt werden, dies ist ein wesentlicher Aspekt für Prognosen. Die Darstellung der Verlässlichkeit und die erfolgreiche Anwendung zeigt das Potential der Methode zur Verwendung von Analysen für gegenwärtige und zukünftige hydro-meteorologische Gefahren. N2 - Natural extreme events are an integral part of nature on planet earth. Usually these events are only considered hazardous to humans, in case they are exposed. In this case, however, natural hazards can have devastating impacts on human societies. Especially hydro-meteorological hazards have a high damage potential in form of e.g. riverine and pluvial floods, winter storms, hurricanes and tornadoes, which can occur all over the globe. Along with an increasingly warm climate also an increase in extreme weather which potentially triggers natural hazards can be expected. Yet, not only changing natural systems, but also changing societal systems contribute to an increasing risk associated with these hazards. These can comprise increasing exposure and possibly also increasing vulnerability to the impacts of natural events. Thus, appropriate risk management is required to adapt all parts of society to existing and upcoming risks at various spatial scales. One essential part of risk management is the risk assessment including the estimation of the economic impacts. However, reliable methods for the estimation of economic impacts due to hydro-meteorological hazards are still missing. Therefore, this thesis deals with the question of how the reliability of hazard damage estimates can be improved, represented and propagated across all spatial scales. This question is investigated using the specific example of economic impacts to companies as a result of riverine floods in Germany. Flood damage models aim to describe the damage processes during a given flood event. In other words they describe the vulnerability of a specific object to a flood. The models can be based on empirical data sets collected after flood events. In this thesis tree-based models trained with survey data are used for the estimation of direct economic flood impacts on the objects. It is found that these machine learning models, in conjunction with increasing sizes of data sets used to derive the models, outperform state-of-the-art damage models. However, despite the performance improvements induced by using multiple variables and more data points, large prediction errors remain at the object level. The occurrence of the high errors was explained by a further investigation using distributions derived from tree-based models. The investigation showed that direct economic impacts to individual objects cannot be modeled by a normal distribution. Yet, most state-of-the-art approaches assume a normal distribution and take mean values as point estimators. Subsequently, the predictions are unlikely values within the distributions resulting in high errors. At larger spatial scales more objects are considered for the damage estimation. This leads to a better fit of the damage estimates to a normal distribution. Consequently, also the performance of the point estimators get better, although large errors can still occur due to the variance of the normal distribution. It is recommended to use distributions instead of point estimates in order to represent the reliability of damage estimates. In addition current approaches also mostly ignore the uncertainty associated with the characteristics of the hazard and the exposed objects. For a given flood event e.g. the estimation of the water level at a certain building is prone to uncertainties. Current approaches define exposed objects mostly by the use of land use data sets. These data sets often show inconsistencies, which introduce additional uncertainties. Furthermore, state-of-the-art approaches also imply problems of missing consistency when predicting the damage at different spatial scales. This is due to the use of different types of exposure data sets for model derivation and application. In order to face these issues a novel object-based method was developed in this thesis. The method enables a seamless estimation of hydro-meteorological hazard damage across spatial scales including uncertainty quantification. The application and validation of the method resulted in plausible estimations at all spatial scales without overestimating the uncertainty. Mainly newly available data sets containing individual buildings make the application of the method possible as they allow for the identification of flood affected objects by overlaying the data sets with water masks. However, the identification of affected objects with two different water masks revealed huge differences in the number of identified objects. Thus, more effort is needed for their identification, since the number of objects affected determines the order of magnitude of the economic flood impacts to a large extent. In general the method represents the uncertainties associated with the three components of risk namely hazard, exposure and vulnerability, in form of probability distributions. The object-based approach enables a consistent propagation of these uncertainties in space. Aside from the propagation of damage estimates and their uncertainties across spatial scales, a propagation between models estimating direct and indirect economic impacts was demonstrated. This enables the inclusion of uncertainties associated with the direct economic impacts within the estimation of the indirect economic impacts. Consequently, the modeling procedure facilitates the representation of the reliability of estimated total economic impacts. The representation of the estimates' reliability prevents reasoning based on a false certainty, which might be attributed to point estimates. Therefore, the developed approach facilitates a meaningful flood risk management and adaptation planning. The successful post-event application and the representation of the uncertainties qualifies the method also for the use for future risk assessments. Thus, the developed method enables the representation of the assumptions made for the future risk assessments, which is crucial information for future risk management. This is an important step forward, since the representation of reliability associated with all components of risk is currently lacking in all state-of-the-art methods assessing future risk. In conclusion, the use of object-based methods giving results in the form of distributions instead of point estimations is recommended. The improvement of the model performance by the means of multi-variable models and additional data points is possible, but small. Uncertainties associated with all components of damage estimation should be included and represented within the results. Furthermore, the findings of the thesis suggest that, at larger scales, the influence of the uncertainty associated with the vulnerability is smaller than those associated with the hazard and exposure. This leads to the conclusion that for an increased reliability of flood damage estimations and risk assessments, the improvement and active inclusion of hazard and exposure, including their uncertainties, is needed in addition to the improvements of the models describing the vulnerability of the objects. KW - hydro-meteorological risk KW - damage modeling KW - uncertainty KW - probabilistic approach KW - economic impacts KW - OpenStreetMap KW - hydro-meteorologische Risiken KW - Schadensmodellierung KW - Unsicherheiten KW - probabilistischer Ansatz KW - ökonomische Auswirkungen KW - OpenStreetMap Y1 - 2018 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-426161 ER - TY - JOUR A1 - Siegel, Björn T1 - “Creating a Maritime Future” BT - Hamburg and the Revival of Jewish Seafaring and Fishing Traditions in the 1940s and 1950s JF - PaRDeS : Journal of the Association for Jewish Studies in Germany JF - PaRDeS : Zeitschrift der Vereinigung für Jüdische Studien e.V. N2 - This article explores the importance of the port city of Hamburg in the evolving discourses on the creation of a maritime future, a vision which became influential in the 1930s, 1940s and 1950s. While some Jewish representatives in the city aimed at preserving and intertwining Hanseatic and Jewish traditions in order to secure a Jewish presence in the port city under the pressure of the Nazi regime and thereafter, others wanted to create new emigration opportunities, especially to Mandatory Palestine, and create a Jewish maritime future in Eretz Israel. Different Zionist organizations supported the newly evolving maritime ideas, such as the “conquest of the sea”, and promoted the image of a Jewish seafaring nation. Despite the difficulties in the 1940s, these concepts gained influence post-1945 and led to the foundation of the fishery kibbutz “Zerubavel” in Blankenese/Hamburg. However, the idea of a Hanseatic Jewish future also remained influential and illustrates how differently a “Jewish maritime future” was imagined and used to link past, present and future. Y1 - 2023 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-585575 SN - 978-3-86956-552-1 SN - 1614-6492 SN - 1862-7684 IS - 28 SP - 68 EP - 82 PB - Universitätsverlag Potsdam CY - Potsdam ER - TY - JOUR A1 - Siegel, Björn T1 - “They Took to the Sea” – Jewish History and Culture in Maritime Perspective(s) JF - PaRDeS : Journal of the Association for Jewish Studies in Germany JF - PaRDeS : Zeitschrift der Vereinigung für Jüdische Studien e.V. Y1 - 2023 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-585509 SN - 978-3-86956-552-1 SN - 1614-6492 SN - 1862-7684 IS - 28 SP - 11 EP - 16 PB - Universitätsverlag Potsdam CY - Potsdam ER - TY - JOUR A1 - Siegeris, Juliane T1 - Attracting a new clientele for computer science with a women-only IT degree course JF - Hochschuldidaktik Informatik HDI 2021 (Commentarii informaticae didacticae) N2 - A degree course in IT and business administration solely for women (FIW) has been offered since 2009 at the HTW Berlin – University of Applied Sciences. This contribution discusses student motivations for enrolling in such a women only degree course and gives details of our experience over recent years. In particular, the approach to attracting new female students is described and the composition of the intake is discussed. It is shown that the women-only setting together with other factors can attract a new clientele for computer science. KW - Women and IT KW - STEM KW - Course marketing KW - Courses for female students KW - Curricula Development Y1 - 2023 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-615712 SN - 978-3-86956-548-4 SN - 1868-0844 SN - 2191-1940 IS - 13 SP - 157 EP - 170 PB - Universitätsverlag Potsdam CY - Potsdam ER - TY - THES A1 - Siegmund, Nicole T1 - Wind driven soil particle uptake Quantifying drivers of wind erosion across the particle size spectrum T1 - Partikelaufwirbelung durch Wind - Über die Quantifizierung von Winderosion über das ganze Partikel-Größenspektrum N2 - Among the multitude of geomorphological processes, aeolian shaping processes are of special character, Pedogenic dust is one of the most important sources of atmospheric aerosols and therefore regarded as a key player for atmospheric processes. Soil dust emissions, being complex in composition and properties, influence atmospheric processes and air quality and has impacts on other ecosystems. In this because even though their immediate impact can be considered low (exceptions exist), their constant and large-scale force makes them a powerful player in the earth system. dissertation, we unravel a novel scientific understanding of this complex system based on a holistic dataset acquired during a series of field experiments on arable land in La Pampa, Argentina. The field experiments as well as the generated data provide information about topography, various soil parameters, the atmospheric dynamics in the very lower atmosphere (4m height) as well as measurements regarding aeolian particle movement across a wide range of particle size classes between 0.2μm up to the coarse sand. The investigations focus on three topics: (a) the effects of low-scale landscape structures on aeolian transport processes of the coarse particle fraction, (b) the horizontal and vertical fluxes of the very fine particles and (c) the impact of wind gusts on particle emissions. Among other considerations presented in this thesis, it could in particular be shown, that even though the small-scale topology does have a clear impact on erosion and deposition patterns, also physical soil parameters need to be taken into account for a robust statistical modelling of the latter. Furthermore, specifically the vertical fluxes of particulate matter have different characteristics for the particle size classes. Finally, a novel statistical measure was introduced to quantify the impact of wind gusts on the particle uptake and its application on the provided data set. The aforementioned measure shows significantly increased particle concentrations during points in time defined as gust event. With its holistic approach, this thesis further contributes to the fundamental understanding of how atmosphere and pedosphere are intertwined and affect each other. N2 - Unter der Vielzahl geomorphologischer Prozesse nehmen äolische Formgebungsprozesse eine besondere Stellung ein, denn obwohl ihre unmittelbaren Auswirkungen als gering einzuschätzen sind (Ausnahmen existieren), sind sie aufgrund ihrer konstanten und großen Kraft ein mächtiger Akteur im Erdsystem. Pedogener Staub ist eine der wichtigsten Quellen atmosphärischer Aerosole und kann daher als Schlüsselfaktor für atmosphärische Prozesse angesehen werden. Bodenstaubemissionen, die in Zusammensetzung und Eigenschaften komplex sind, beeinflussen atmosphärische Prozesse und Luftqualität und haben Auswirkungen auf andere Ökosysteme. Um zum wissenschaftlichen Verständnis dieses komplexen Systems beizutragen, dokumentiert diese Arbeit eine Reihe von Veröffentlichungen, die alle auf einem ganzheitlichen Datensatz basieren, die während einer Reihe von Feldexperimenten auf Ackerland in La Pampa, Argentinien, gewonnen wurden. Die Feldexperimente sowie die generierten Daten liefern Informationen über Topographie, verschiedene Bodenparameter, die atmosphärische Dynamik in der unteren Atmosphäre (4 m Höhe) sowie Messungen zur äolischen Partikelbewegung über einen weiten Bereich von Partikelgrößenklassen zwischen 0,2μm und groben Sand. Die Untersuchungen konzentrieren sich auf drei Themen: Die Auswirkungen kleinräumiger Landschaftsstrukturen auf äolische Transportprozesse der groben Partikelfraktion, die horizontalen und vertikalen Strömungen der sehr feinen Partikel und der Einfluss von Windböen auf die Partikelemissionen. Neben anderen in dieser Arbeit vorgestellten Überlegungen konnte insbesondere gezeigt werden, dass, obwohl die kleinräumige Topologie einen deutlichen Einfluss auf Erosions- und Ablagerungsmuster hat, auch physikalische Bodenparameter für eine robuste statistische Modellierung berücksichtigt werden müssen. Darüber hinaus weisen speziell die vertikalen Feinstaubflüsse unterschiedliche Eigenschaften für die Partikelgrößenklassen auf. Schließlich wurde ein neuartiges statistisches Maß eingeführt, um den Einfluss von Windböen auf die Partikelkonzentration der Luft zu quantifizieren, und seine Anwendung auf den bereitgestellten Datensatz zeigt signifikant erhöhte Partikelkonzentrationen zu Zeitpunkten, die als Böen definiert wurden. Mit ihrem ganzheitlichen Ansatz trägt diese Arbeit weiter zum grundlegenden Verständnis bei, wie Atmosphäre und Pedosphäre miteinander verflochten sind und sich gegenseitig beeinflussen. KW - Winderosion KW - winderosion KW - PM10, PM2, PM1 KW - Horizontal flux KW - horizontaler Fluss KW - Vertical flux KW - vertikaler Fluss KW - Argentina KW - Argentinien KW - wind gusts KW - Windböen Y1 - 2022 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-574897 ER - TY - THES A1 - Sietz, Diana T1 - Dryland vulnerability : typical patterns and dynamics in support of vulnerability reduction efforts T1 - Vulnerabilität in Trockengebieten: typische Muster und Dynamiken als Beitrag für Ansätze zur Verminderung von Vulnerabilität N2 - The pronounced constraints on ecosystem functioning and human livelihoods in drylands are frequently exacerbated by natural and socio-economic stresses, including weather extremes and inequitable trade conditions. Therefore, a better understanding of the relation between these stresses and the socio-ecological systems is important for advancing dryland development. The concept of vulnerability as applied in this dissertation describes this relation as encompassing the exposure to climate, market and other stresses as well as the sensitivity of the systems to these stresses and their capacity to adapt. With regard to the interest in improving environmental and living conditions in drylands, this dissertation aims at a meaningful generalisation of heterogeneous vulnerability situations. A pattern recognition approach based on clustering revealed typical vulnerability-creating mechanisms at global and local scales. One study presents the first analysis of dryland vulnerability with global coverage at a sub-national resolution. The cluster analysis resulted in seven typical patterns of vulnerability according to quantitative indication of poverty, water stress, soil degradation, natural agro-constraints and isolation. Independent case studies served to validate the identified patterns and to prove the transferability of vulnerability-reducing approaches. Due to their worldwide coverage, the global results allow the evaluation of a specific system’s vulnerability in its wider context, even in poorly-documented areas. Moreover, climate vulnerability of smallholders was investigated with regard to their food security in the Peruvian Altiplano. Four typical groups of households were identified in this local dryland context using indicators for harvest failure risk, agricultural resources, education and non-agricultural income. An elaborate validation relying on independently acquired information demonstrated the clear correlation between weather-related damages and the identified clusters. It also showed that household-specific causes of vulnerability were consistent with the mechanisms implied by the corresponding patterns. The synthesis of the local study provides valuable insights into the tailoring of interventions that reflect the heterogeneity within the social group of smallholders. The conditions necessary to identify typical vulnerability patterns were summarised in five methodological steps. They aim to motivate and to facilitate the application of the selected pattern recognition approach in future vulnerability analyses. The five steps outline the elicitation of relevant cause-effect hypotheses and the quantitative indication of mechanisms as well as an evaluation of robustness, a validation and a ranking of the identified patterns. The precise definition of the hypotheses is essential to appropriately quantify the basic processes as well as to consistently interpret, validate and rank the clusters. In particular, the five steps reflect scale-dependent opportunities, such as the outcome-oriented aspect of validation in the local study. Furthermore, the clusters identified in Northeast Brazil were assessed in the light of important endogenous processes in the smallholder systems which dominate this region. In order to capture these processes, a qualitative dynamic model was developed using generalised rules of labour allocation, yield extraction, budget constitution and the dynamics of natural and technological resources. The model resulted in a cyclic trajectory encompassing four states with differing degree of criticality. The joint assessment revealed aggravating conditions in major parts of the study region due to the overuse of natural resources and the potential for impoverishment. The changes in vulnerability-creating mechanisms identified in Northeast Brazil are well-suited to informing local adjustments to large-scale intervention programmes, such as “Avança Brasil”. Overall, the categorisation of a limited number of typical patterns and dynamics presents an efficient approach to improving our understanding of dryland vulnerability. Appropriate decision-making for sustainable dryland development through vulnerability reduction can be significantly enhanced by pattern-specific entry points combined with insights into changing hotspots of vulnerability and the transferability of successful adaptation strategies. N2 - Die Grenzen ökologischer Funktionen und menschlicher Lebensweisen in Trockengebieten werden häufig durch natürlichen und sozio-ökonomischen Stress, wie extreme Wetterereignisse und ungerechte Handelsbedingungen, weiter verengt. Zur Förderung der Entwicklung in Trockengebieten ist es daher wichtig, die Beziehung zwischen den Stressfaktoren und den sozio-ökologischen Systemen besser zu verstehen. Das Konzept der Vulnerabilität, welches in der vorliegenden Dissertation angewandt wird, beschreibt dieses Verhältnis durch die Exposition, Sensitivität und Anpassungsfähigkeit von Systemen im Hinblick auf Klima-, Markt- und anderen Stress. Bezüglich des Interesses, die Umwelt- und Lebensbedingungen in Trockengebieten zu verbessern, zielt diese Dissertation darauf ab, die vielschichtigen Ursachen und Veränderungen von Vulnerabilität sinnvoll zu verallgemeinern. Eine clusterbasierte Mustererkennung zeigte typische Mechanismen auf, welche Vulnerabilität auf globaler und lokaler Ebene verursachen. Dabei stellt die globale Studie die erste flächendeckende Untersuchung von Vulnerabilität in Trockengebieten mit sub-nationaler Auflösung dar. Die Clusteranalyse identifizierte sieben typische Muster basierend auf der quantitativen Beschreibung von Armut, Wasserknappheit, Bodendegradation, natürlichen Produktionshemmnissen und Isolation. Die Gültigkeit der ermittelten Cluster und die Übertragbarkeit von Anpassungsmaßnahmen innerhalb ähnlicher Gebiete wurden anhand unabhängiger Fallstudien belegt. Die flächendeckende Erfassung erlaubt es, die Vulnerabilität eines Systems in seinem größeren Kontext zu bewerten, auch in weniger gut durch Fallstudien dokumentierten Gebieten. Weiterhin wurde die Klimavulnerabilität von Kleinbauern bezüglich ihrer Nahrungsmittelsicherung im peruanischen Altiplano untersucht. In diesem lokalen Kontext wurden vier Cluster von Haushalten gemäß ihrer Produktionsrisiken, landwirtschaftlichen Ressourcen, der Bildung und ihres nicht-landwirtschaftlichen Einkommens unterschieden. Eine erweiterte Gültigkeitsprüfung unter Nutzung unabhängig erhobener Informationen stellte heraus, dass wetterbedingte Schäden mit den ermittelten Clustern korrelieren und dass haushaltsspezifische Schadensursachen mit den durch die Muster angezeigten Mechanismen übereinstimmen. Die lokale Studie liefert wertvolle Hinweise auf bedarfsgerechte Eingriffe unter Beachtung der Heterogenität innerhalb der sozialen Gruppe der Kleinbauern. Die notwendigen Bedingungen zur Erkennung typischer Muster ergaben fünf methodische Schritte. Ihre Darlegung soll die Anwendung der gewählten Methode in zukünftigen Vulnerabilitätsstudien anregen und erleichtern. Die fünf Schritte umfassen die Ableitung relevanter Ursache-Wirkungs-Hypothesen, die Quantifizierung der Mechanismen, die Bewertung von Robustheit und Gültigkeit sowie die Ordnung der ermittelten Muster nach dem Grad der Vulnerabilität. Dabei ist die genaue Beschreibung der Hypothesen eine wesentliche Voraussetzung für die Quantifizierung der grundlegenden Prozesse sowie eine einheitliche Interpretation, Gültigkeitsprüfung und Ordnung der ermittelten Muster. Besondere Beachtung finden skalenbedingte Aspekte, wie beispielsweise die ergebnisorientierte Gültigkeitsprüfung in der lokalen Studie. Weiterhin wurden die in Nordostbrasilien ermittelten Cluster im Hinblick auf wichtige endogene Prozesse in den dort vorherrschenden kleinbäuerlichen Nutzungssystemen untersucht. Diese Prozesse umfassen die Aufteilung der Arbeitskraft, die landwirtschaftliche Produktion sowie Einkommens- und Ressourcendynamiken. Sie wurden in einem qualitativen dynamischen Modell erfasst, welches eine zyklische Trajektorie mit vier unterschiedlich problematischen Entwicklungszuständen ergab. Als besonders problematischer Aspekt verschärfte sich die Vulnerabilität in weiten Teilen des Untersuchungsgebietes durch die Übernutzung natürlicher Ressourcen und die Möglichkeit weiterer Verarmung. Die in Nordostbrasilien gezeigten Veränderungen sind dazu geeignet, groß angelegte Entwicklungsprogramme, wie zum Beispiel “Avança Brasil”, angemessen an lokale Gegebenheiten anzupassen. Insgesamt ermöglicht es die Kategorisierung einer begrenzten Anzahl typischer Muster und Veränderungen, die Vulnerabilität in Trockengebieten besser zu verstehen. Eine nachhaltige Entwicklung von Trockengebieten basierend auf der Minderung von Vulnerabilität kann durch musterspezifische Ansätze zusammen mit Hinweisen zu Veränderungen im Schweregrad und zur Übertragbarkeit erfolgreicher Anpassungsstrategien wirkungsvoll unterstützt werden. KW - Kausalstruktur KW - Archetyp KW - mehrfache Stressfaktoren KW - ländliche Entwicklung KW - räumlich explizit KW - Causal structure KW - archetype KW - multiple stress factors KW - rural development KW - spatially explicit Y1 - 2011 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-58097 ER - TY - THES A1 - Simsek, Ibrahim T1 - Ink-based preparation of chalcogenide perovskites as thin films for PV applications T1 - Präparation von Chalkogeniden Perowskiten auf Basis von molekularer Tinte als Dünnschichten für PV Anwendungen N2 - The increasing demand for energy in the current technological era and the recent political decisions about giving up on nuclear energy diverted humanity to focus on alternative environmentally friendly energy sources like solar energy. Although silicon solar cells are the product of a matured technology, the search for highly efficient and easily applicable materials is still ongoing. These properties made the efficiency of halide perovskites comparable with silicon solar cells for single junctions within a decade of research. However, the downside of halide perovskites are poor stability and lead toxicity for the most stable ones. On the other hand, chalcogenide perovskites are one of the most promising absorber materials for the photovoltaic market, due to their elemental abundance and chemical stability against moisture and oxygen. In the search of the ultimate solar absorber material, combining the good optoelectronic properties of halide perovskites with the stability of chalcogenides could be the promising candidate. Thus, this work investigates new techniques for the synthesis and design of these novel chalcogenide perovskites, that contain transition metals as cations, e.g., BaZrS3, BaHfS3, EuZrS3, EuHfS3 and SrHfS3. There are two stages in the deposition techniques of this study: In the first stage, the binary compounds are deposited via a solution processing method. In the second stage, the deposited materials are annealed in a chalcogenide atmosphere to form the perovskite structure by using solid-state reactions. The research also focuses on the optimization of a generalized recipe for a molecular ink to deposit precursors of chalcogenide perovskites with different binaries. The implementation of the precursor sulfurization resulted in either binaries without perovskite formation or distorted perovskite structures, whereas some of these materials are reported in the literature as they are more favorable in the needle-like non-perovskite configuration. Lastly, there are two categories for the evaluation of the produced materials: The first category is about the determination of the physical properties of the deposited layer, e.g., crystal structure, secondary phase formation, impurities, etc. For the second category, optoelectronic properties are measured and compared to an ideal absorber layer, e.g., band gap, conductivity, surface photovoltage, etc. N2 - Der stetig wachsende Energieverbrauch in der aktuellen technologischen Ära und die kürzliche Entscheidung der Politik auf Nuklearenergie zu verzichten hat die Menschheit dazu geleitet sich auf alternative umweltfreundliche Energiequellen wie Solare Energie zu fokussieren. Obwohl Silizium Solarzellen das Produkt einer ausgereiften Technologie sind geht die Suche nach hocheffizienten Materialien, die einfach umzusetzen sind weiter. Diese Eigenschaften führten zur Vergleichbarkeit von Halogeniden Perowskiten mit Silizium in Einfachsolarzellen innerhalb eines Jahrzehnts der Forschung. Allerdings mangelt es bei Halogeniden Perowskiten an Stabilität und jene stabile haben eine Blei-Toxizität. Andererseits bieten Chalkogenide Perowskite aussichtsreiche Eigenschaften als Absorber Materialien für den Photovoltaik Markt auf Grund des hohen Vorkommens der Elemente auf dem Planeten und ihrer chemischen Stabilität in Luft. Auf der Suche nach dem ultimativen Absorber Material für Solarzellen könnte sich eine Kombination der guten optoelektronischen Eigenschaften von Halogeniden Perowskiten mit der Stabilität von Chalkogeniden als guter Kandidat herausstellen. Infolgedessen untersucht diese Arbeit neue Methoden für die Synthese und das Design dieser neuartigen Chalkogeniden Perowskite, welche Übergangsmetalle als Kationen enthalten, z.B. BaZrS3, BaHfS3, EuZrS3, EuHfS3 and SrHfS3. Es gibt zwei Schritte in den Methoden der Deposition in dieser Untersuchung: Im ersten Schritt werden die binären Verbindungen durch eine Lösungsmittelprozessierung auf dem Substrat aufgebracht. Daraufhin wird im zweiten Schritt das aufgetragene Material in einer Chalkogeniden Atmosphäre getempert, um die Perowskit Struktur durch Festkörperreaktion zu bilden. Die Untersuchung fokussiert sich außerdem auf die Optimierung eines generalisierten Rezeptes für molekulare Tinte zur Deposition eines Präkursors aus unterschiedlichen binären Verbindungen. Die Implementierung der Präkursor Schwefelung führt entweder zu einer Formation der binären Verbindungen ohne Perowskit Struktur oder in der verzerrten Perowskit Struktur, obwohl für manche dieser Materialien laut Literatur die nadelförmige nicht-Perowskit Struktur günstiger sein sollte. Zuletzt gibt es zwei Kategorien für die Evaluierung der hergestellten Materialien: Die erste Kategorie behandelt die Determinierung der physikalischen Eigenschaften der deponierten Dünnschicht, z.B. Kristallstruktur, Sekundärphasen, Unreinheiten. In der zweiten Kategorie werden die optoelektronischen Eigenschaften gemessen und mit einem idealen Absorber verglichen, z.B. Bandlücke, Leitfähigkeit, Oberflächen Photospannung, etc. KW - chalcogenide KW - perovskite KW - Perowskite KW - Chalkogenide Y1 - 2022 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-572711 ER - TY - BOOK A1 - Skopeteas, Stavros A1 - Fiedler, Ines A1 - Hellmuth, Sam A1 - Schwarz, Anne A1 - Stoel, Ruben A1 - Fanselow, Gisbert A1 - Féry, Caroline A1 - Krifka, Manfred T1 - Questionnaire on information structure (OUIS): reference manual N2 - Contents: Chapter 1. Introduction 1 Information Structure 2 Grammatical Correlates of Information Structure 3 Structure of the Questionnaire 4 Experimental Tasks 5 Technicalities 6 Archiving 7 Acknowledgments Chapter 2. General Questions 1 General Information 2 Phonology 3 Morphology and Syntax Chapter 3. Experimental tasks 1 Changes (Given/New in Intransitives and Transitives) 2 Giving (Given/New in Ditransitives) 3 Visibility (Given/New, Animacy and Type/Token Reference) 4 Locations (Given/New in Locative Expressions) 5 Sequences (Given/New/Contrast in Transitives) 6 Dynamic Localization (Given/New in Dynamic Loc. Descriptions) 7 Birthday Party (Weight and Discourse Status) 8 Static Localization (Macro-Planning and Given/New in Locatives) 9 Guiding (Presentational Utterances) 10 Event Cards (All New) 11 Anima (Focus types and Animacy) 12 Contrast (Contrast in pairing events) 13 Animal Game (Broad/Narrow Focus in NP) 14 Properties (Focus on Property and Possessor) 15 Eventives (Thetic and Categorical Utterances) 16 Tell a Story (Contrast in Text) 17 Focus Cards (Selective, Restrictive, Additive, Rejective Focus) 18 Who does What (Answers to Multiple Constituent Questions) 19 Fairy Tale (Topic and Focus in Coherent Discourse) 20 Map Task (Contrastive and Selective Focus in Spontaneous Dialogue) 21 Drama (Contrastive Focus in Argumentation) 22 Events in Places (Spatial, Temporal and Complex Topics) 23 Path Descriptions (Topic Change in Narrative) 24 Groups (Partial Topic) 25 Connections (Bridging Topic) 26 Indirect (Implicational Topic) 27 Surprises (Subject-Topic Interrelation) 28 Doing (Action Given, Action Topic) 29 Influences (Question Priming) Chapter 4. Translation tasks 1 Basic Intonational Properties 2 Focus Translation 3 Topic Translation 4 Quantifiers Chapter 5. Information structure summary survey 1 Preliminaries 2 Syntax 3 Morphology 4 Prosody 5 Summary: Information structure Chapter 6. Performance of Experimental Tasks in the Field 1 Field sessions 2 Field Session Metadata 3 Informants’ Agreement T3 - Interdisciplinary studies on information structure : ISIS ; working papers of the SFB 632 - 4 Y1 - 2006 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-12413 SN - 978-3-939469-14-8 PB - Universitätsverlag Potsdam CY - Potsdam ER - TY - JOUR A1 - Smirnov, Lev A. A1 - Bolotov, Maxim A1 - Bolotov, Dmitri A1 - Osipov, Grigory V. A1 - Pikovsky, Arkady T1 - Finite-density-induced motility and turbulence of chimera solitons JF - New Journal of Physics N2 - We consider a one-dimensional oscillatory medium with a coupling through a diffusive linear field. In the limit of fast diffusion this setup reduces to the classical Kuramoto–Battogtokh model. We demonstrate that for a finite diffusion stable chimera solitons, namely localized synchronous domain in an infinite asynchronous environment, are possible. The solitons are stable also for finite density of oscillators, but in this case they sway with a nearly constant speed. This finite-density-induced motility disappears in the continuum limit, as the velocity of the solitons is inverse proportional to the density. A long-wave instability of the homogeneous asynchronous state causes soliton turbulence, which appears as a sequence of soliton mergings and creations. As the instability of the asynchronous state becomes stronger, this turbulence develops into a spatio-temporal intermittency. KW - chimera KW - soliton KW - finite-size effects Y1 - 2022 U6 - https://doi.org/10.1088/1367-2630/ac63d9 SN - 1367-2630 VL - 24 PB - IOP CY - London ER - TY - BOOK A1 - Smirnov, Sergey A1 - Reijers, Hajo A. A1 - Nugteren, Thijs A1 - Weske, Mathias T1 - Business process model abstraction : theory and practice N2 - Business process management aims at capturing, understanding, and improving work in organizations. The central artifacts are process models, which serve different purposes. Detailed process models are used to analyze concrete working procedures, while high-level models show, for instance, handovers between departments. To provide different views on process models, business process model abstraction has emerged. While several approaches have been proposed, a number of abstraction use case that are both relevant for industry and scientifically challenging are yet to be addressed. In this paper we systematically develop, classify, and consolidate different use cases for business process model abstraction. The reported work is based on a study with BPM users in the health insurance sector and validated with a BPM consultancy company and a large BPM vendor. The identified fifteen abstraction use cases reflect the industry demand. The related work on business process model abstraction is evaluated against the use cases, which leads to a research agenda. T3 - Technische Berichte des Hasso-Plattner-Instituts für Digital Engineering an der Universität Potsdam - 35 Y1 - 2010 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-41782 SN - 978-3-86956-054-0 PB - Universitätsverlag Potsdam CY - Potsdam ER - TY - BOOK A1 - Smirnov, Sergey A1 - Weidlich, Matthias A1 - Mendling, Jan A1 - Weske, Mathias T1 - Action patterns in business process models N2 - Business process management experiences a large uptake by the industry, and process models play an important role in the analysis and improvement of processes. While an increasing number of staff becomes involved in actual modeling practice, it is crucial to assure model quality and homogeneity along with providing suitable aids for creating models. In this paper we consider the problem of offering recommendations to the user during the act of modeling. Our key contribution is a concept for defining and identifying so-called action patterns - chunks of actions often appearing together in business processes. In particular, we specify action patterns and demonstrate how they can be identified from existing process model repositories using association rule mining techniques. Action patterns can then be used to suggest additional actions for a process model. Our approach is challenged by applying it to the collection of process models from the SAP Reference Model. N2 - Die zunehmende Bedeutung des Geschäftsprozessmanagements führt dazu, dass eine steigende Anzahl von Mitarbeitern eines Unternehmens mit der Erstellung von Prozessmodellen betraut ist. Um trotz dieser Tendenz die Qualität der Prozessmodelle, sowie ihre Homogenität sicherzustellen, sind entsprechende Modellierungshilfen unabdingbar. In diesem Bericht stellen wir einen Ansatz vor, welcher die Prozessmodellierung durch Empfehlungen unterstützt. Jene basieren auf sogenannten Aktionsmustern, welche typische Arbeitsblöcke darstellen. Neben der Definition dieser Aktionsmuster zeigen wir eine Methode zur Identifikation dieser Muster auf. Mittels Techniken der Assoziationsanalyse können die Muster automatisch aus einer Sammlung von Prozessmodellen extrahiert werden. Die Anwendbarkeit unseres Ansatzes wird durch eine Fallstudie auf Basis des SAP Referenzmodells illustriert. T3 - Technische Berichte des Hasso-Plattner-Instituts für Digital Engineering an der Universität Potsdam - 30 Y1 - 2009 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-33586 SN - 978-3-86956-009-0 PB - Universitätsverlag Potsdam CY - Potsdam ER - TY - CHAP A1 - Smith, Nathan T1 - Independent signs of lower mass-loss rates for O-type stars N2 - I discuss observational evidence – independent of the direct spectral diagnostics of stellar winds themselves – suggesting that mass-loss rates for O stars need to be revised downward by roughly a factor of three or more, in line with recent observed mass-loss rates for clumped winds. These independent constraints include the large observed mass-loss rates in LBV eruptions, the large masses of evolved massive stars like LBVs and WNH stars, WR stars in lower metallicity environments, observed rotation rates of massive stars at different metallicity, supernovae that seem to defy expectations of high mass-loss rates in stellar evolution, and other clues. I pay particular attention to the role of feedback that would result from higher mass-loss rates, driving the star to the Eddington limit too soon, and therefore making higher rates appear highly implausible. Some of these arguments by themselves may have more than one interpretation, but together they paint a consistent picture that steady line-driven winds of O-type stars have lower mass-loss rates and are significantly clumped. Y1 - 2007 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-17659 ER - TY - JOUR A1 - Smith, Neil T1 - Marxism and Geography in the Anglophone World JF - Geographische Revue : Zeitschrift für Literatur und Diskussion N2 - Content: Activism: The Origins of Marxism in English-language Geography After the Revolution: Critique, Institutionalization and Backlash Marxist Geography Today: Scale, Labour Geography, Activism Conclusion Y1 - 2001 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-24357 SN - 1438-3039 VL - 3 IS - 2 SP - 5 EP - 21 ER - TY - JOUR A1 - Smith, Taylor A1 - Zotta, Ruxandra-Maria A1 - Boulton, Chris A. A1 - Lenton, Timothy M. A1 - Dorigo, Wouter A1 - Boers, Niklas T1 - Reliability of resilience estimation based on multi-instrument time series JF - Earth System Dynamics N2 - Many widely used observational data sets are comprised of several overlapping instrument records. While data inter-calibration techniques often yield continuous and reliable data for trend analysis, less attention is generally paid to maintaining higher-order statistics such as variance and autocorrelation. A growing body of work uses these metrics to quantify the stability or resilience of a system under study and potentially to anticipate an approaching critical transition in the system. Exploring the degree to which changes in resilience indicators such as the variance or autocorrelation can be attributed to non-stationary characteristics of the measurement process – rather than actual changes in the dynamical properties of the system – is important in this context. In this work we use both synthetic and empirical data to explore how changes in the noise structure of a data set are propagated into the commonly used resilience metrics lag-one autocorrelation and variance. We focus on examples from remotely sensed vegetation indicators such as vegetation optical depth and the normalized difference vegetation index from different satellite sources. We find that time series resulting from mixing signals from sensors with varied uncertainties and covering overlapping time spans can lead to biases in inferred resilience changes. These biases are typically more pronounced when resilience metrics are aggregated (for example, by land-cover type or region), whereas estimates for individual time series remain reliable at reasonable sensor signal-to-noise ratios. Our work provides guidelines for the treatment and aggregation of multi-instrument data in studies of critical transitions and resilience. Y1 - 2023 U6 - https://doi.org/10.5194/esd-14-173-2023 SN - 2190-4987 VL - 14 SP - 173 EP - 183 PB - Copernicus Publications CY - Göttingen ER - TY - CHAP A1 - Sonneborn, G. T1 - Imaging and spectroscopy with the James Webb Space Telescope N2 - The James Webb Space Telescope (JWST) is a large, infrared-optimized space telescope scheduled for launch in 2013. JWST will find the first stars and galaxies that formed in the early universe, connecting the Big Bang to our own Milky Way galaxy. JWST will peer through dusty clouds to see stars forming planetary systems, connecting the MilkyWay to our own Solar System. JWST’s instruments are designed to work primarily in the infrared range of 1 - 28 μm, with some capability in the visible range. JWST will have a large mirror, 6.5 m in diameter, and will be diffraction-limited at 2 μm (0.1 arcsec resolution). JWST will be placed in an L2 orbit about 1.5 million km from the Earth. The instruments will provide imaging, coronography, and multi-object and integral-field spectroscopy across the 1 - 28 μm wavelength range. The breakthrough capabilities of JWST will enable new studies of massive star winds from the Milky Way to the early universe. Y1 - 2007 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-17983 ER - TY - JOUR A1 - Spikes, Montrai A1 - Rodríguez-Silva, Rodet A1 - Bennett, Kerri-Ann A1 - Bräger, Stefan A1 - Josaphat, James A1 - Torres-Pineda, Patricia A1 - Ernst, Anja A1 - Havenstein, Katja A1 - Schlupp, Ingo A1 - Tiedemann, Ralph T1 - A phylogeny of the genus Limia (Teleostei: Poeciliidae) suggests a single-lake radiation nested in a Caribbean-wide allopatric speciation scenario JF - BMC Research Notes N2 - Objective The Caribbean is an important global biodiversity hotspot. Adaptive radiations there lead to many speciation events within a limited period and hence are particularly prominent biodiversity generators. A prime example are freshwater fish of the genus Limia, endemic to the Greater Antilles. Within Hispaniola, nine species have been described from a single isolated site, Lake Miragoâne, pointing towards extraordinary sympatric speciation. This study examines the evolutionary history of the Limia species in Lake Miragoâne, relative to their congeners throughout the Caribbean. Results For 12 Limia species, we obtained almost complete sequences of the mitochondrial cytochrome b gene, a well-established marker for lower-level taxonomic relationships. We included sequences of six further Limia species from GenBank (total N  = 18 species). Our phylogenies are in concordance with other published phylogenies of Limia. There is strong support that the species found in Lake Miragoâne in Haiti are monophyletic, confirming a recent local radiation. Within Lake Miragoâne, speciation is likely extremely recent, leading to incomplete lineage sorting in the mtDNA. Future studies using multiple unlinked genetic markers are needed to disentangle the relationships within the Lake Miragoâne clade. KW - Cytochrome b KW - Island biogeography KW - Fresh water fish KW - Phylogeny Y1 - 2021 U6 - https://doi.org/10.1186/s13104-021-05843-x SN - 1756-0500 VL - 14 SP - 1 EP - 8 PB - BMC Research Notes / Biomed Central CY - London ER - TY - JOUR A1 - Sposini, Vittoria A1 - Krapf, Diego A1 - Marinari, Enzo A1 - Sunyer, Raimon A1 - Ritort, Felix A1 - Taheri, Fereydoon A1 - Selhuber-Unkel, Christine A1 - Benelli, Rebecca A1 - Weiss, Matthias A1 - Metzler, Ralf A1 - Oshanin, Gleb T1 - Towards a robust criterion of anomalous diffusion JF - Communications Physics N2 - Anomalous-diffusion, the departure of the spreading dynamics of diffusing particles from the traditional law of Brownian-motion, is a signature feature of a large number of complex soft-matter and biological systems. Anomalous-diffusion emerges due to a variety of physical mechanisms, e.g., trapping interactions or the viscoelasticity of the environment. However, sometimes systems dynamics are erroneously claimed to be anomalous, despite the fact that the true motion is Brownian—or vice versa. This ambiguity in establishing whether the dynamics as normal or anomalous can have far-reaching consequences, e.g., in predictions for reaction- or relaxation-laws. Demonstrating that a system exhibits normal- or anomalous-diffusion is highly desirable for a vast host of applications. Here, we present a criterion for anomalous-diffusion based on the method of power-spectral analysis of single trajectories. The robustness of this criterion is studied for trajectories of fractional-Brownian-motion, a ubiquitous stochastic process for the description of anomalous-diffusion, in the presence of two types of measurement errors. In particular, we find that our criterion is very robust for subdiffusion. Various tests on surrogate data in absence or presence of additional positional noise demonstrate the efficacy of this method in practical contexts. Finally, we provide a proof-of-concept based on diverse experiments exhibiting both normal and anomalous-diffusion. Y1 - 2022 U6 - https://doi.org/10.1038/s42005-022-01079-8 SN - 2399-3650 VL - 5 PB - Springer Nature CY - London ER - TY - CHAP A1 - St-Louis, N. T1 - Discussion: Binaries, colliding winds, LBVs and high energy radiation N2 - Clumping in hot-star winds : proceedings of an international workshop held in Potsdam, Germany, 18. - 22. June 2007 Y1 - 2007 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-18155 ER - TY - CHAP A1 - St-Louis, N. A1 - Moffat, Anthony F. J. T1 - Do clumping corrections increase with decreasing mass-loss rates? N2 - We report on new mass-loss rate estimates for O stars in six massive binaries using the amplitude of orbital-phase dependent, linear-polarimetric variability caused by electron scattering off free electrons in the winds. Our estimated mass-loss rates for luminous O stars are independent of clumping. They suggest similar clumping corrections as for WR stars and do not support the recently proposed reduction in mass-loss rates of O stars by one or two orders of magnitude. Y1 - 2007 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-17696 ER - TY - THES A1 - Stanke, Sandra T1 - AC electrokinetic immobilization of influenza viruses and antibodies on nanoelectrode arrays for on-chip immunoassays T1 - AC elektrokinetische Immobilisierung von Influenzaviren und Antikörpern auf Nanoelektrodenarrays für on-Chip Immunoassays N2 - In the present thesis, AC electrokinetic forces, like dielectrophoresis and AC electroosmosis, were demonstrated as a simple and fast method to functionalize the surface of nanoelectrodes with submicrometer sized biological objects. These nanoelectrodes have a cylindrical shape with a diameter of 500 nm arranged in an array of 6256 electrodes. Due to its medical relevance influenza virus as well as anti-influenza antibodies were chosen as a model organism. Common methods to bring antibodies or proteins to biosensor surfaces are complex and time-consuming. In the present work, it was demonstrated that by applying AC electric fields influenza viruses and antibodies can be immobilized onto the nanoelectrodes within seconds without any prior chemical modification of neither the surface nor the immobilized biological object. The distribution of these immobilized objects is not uniform over the entire array, it exhibits a decreasing gradient from the outer row to the inner ones. Different causes for this gradient have been discussed, such as the vortex-shaped fluid motion above the nanoelectrodes generated by, among others, electrothermal fluid flow. It was demonstrated that parts of the accumulated material are permanently immobilized to the electrodes. This is a unique characteristic of the presented system since in the literature the AC electrokinetic immobilization is almost entirely presented as a method just for temporary immobilization. The spatial distribution of the immobilized viral material or the anti-influenza antibodies at the electrodes was observed by either the combination of fluorescence microscopy and deconvolution or by super-resolution microscopy (STED). On-chip immunoassays were performed to examine the suitability of the functionalized electrodes as a potential affinity-based biosensor. Two approaches were pursued: A) the influenza virus as the bio-receptor or B) the influenza virus as the analyte. Different sources of error were eliminated by ELISA and passivation experiments. Hence, the activity of the immobilized object was inspected by incubation with the analyte. This resulted in the successful detection of anti-influenza antibodies by the immobilized viral material. On the other hand, a detection of influenza virus particles by the immobilized anti-influenza antibodies was not possible. The latter might be due to lost activity or wrong orientation of the antibodies. Thus, further examinations on the activity of by AC electric fields immobilized antibodies should follow. When combined with microfluidics and an electrical read-out system, the functionalized chips possess the potential to serve as a rapid, portable, and cost-effective point-of-care (POC) device. This device can be utilized as a basis for diverse applications in diagnosing and treating influenza, as well as various other pathogens. N2 - In der vorliegenden Arbeit wurden AC elektrokinetische Kräfte, wie die Dielektrophorese und die AC Elektroosmose, als einfache und schnelle Methode zur Funktionalisierung der Oberfläche von Nanoelektroden mit biologischen Objekten in Submikrometergröße demonstriert. Diese Nanoelektroden haben eine zylindrische Form mit einem Durchmesser von 500 nm und sind in einem Array aus 6256 Elektroden angeordnet. Aufgrund ihrer medizinischen Relevanz wurden Influenzaviren sowie anti-Influenza Antikörper als Modellorganismus ausgewählt. Gängige Methoden, um Antikörper oder Proteine auf Biosensoroberflächen zu bringen, sind komplex und zeitaufwändig. In der vorliegenden Arbeit wurde gezeigt, dass durch die Anwendung elektrischer Wechselfelder Influenzaviren und Antikörper innerhalb von Sekunden auf den Nanoelektroden immobilisiert werden können, ohne dass zuvor eine chemische Modifikation der Oberfläche noch des immobilisierten biologischen Objekts erforderlich ist. Die Verteilung dieser immobilisierten Objekte ist über das gesamte Array ungleichmäßig. Es kommt zur Ausbildung eines Gradienten, welcher von der äußeren zur den inneren Reihen hin abnimmt. Verschiedene Ursachen für diesen Gradienten wurden diskutiert, beispielsweise der Vortex-förmige Flüssigkeitsstrom über den Nanoelektroden, der unter anderem durch elektrothermische Flüssigkeitsbewegung erzeugt wird. Es wurde gezeigt, dass Teile des akkumulierten Materials dauerhaft an den Elektroden immobilisiert sind. Dies ist ein Alleinstellungsmerkmal des vorgestellten Systems, da in der Literatur die AC elektrokinetische Immobilisierung fast ausschließlich als Methode nur zur temporären Immobilisierung dargestellt wird. Die räumliche Verteilung des immobilisierten Virusmaterials bzw. der anti-Influenza Antikörper an den Elektroden wurde entweder durch die Kombination aus Fluoreszenzmikroskopie und Dekonvolution oder durch super-resolution Mikroskopie (STED) betrachtet. Es wurden On-Chip-Immunoassays durchgeführt, um die Eignung der funktionalisierten Elektroden für einen potenziellen affinitätsbasierten Biosensor zu untersuchen. Dabei wurden zwei Ansätze verfolgt: A) Influenzaviren als Biorezeptor oder B) Influenzavirus als Analyt. Verschiedene Fehlerquellen wurden mittels ELISA und Passivierungsexperimente eliminiert. Infolgedessen wurde die Aktivität der immobilisierten Objekte durch Inkubation mit dem Analyten überprüft. Dies führte zum erfolgreichen Nachweis von anti-Influenza Antikörpern mittels immobilisiertem Virusmaterial. Andererseits war ein Nachweis von Influenzaviruspartikeln durch die immobilisierten anti-Influenza Antikörper nicht möglich. Letzteres könnte auf einen Aktivitätsverlust oder eine falsche Ausrichtung der Antikörper zurückzuführen sein. Daher sollten weitere Untersuchungen zur Aktivität von durch elektrische Wechselfelder immobilisierte Antikörper folgen. In Kombination mit Mikrofluidik und einem elektrischen Auslesesystem besitzen die funktionalisierten Chips das Potenzial, als schnelle, tragbare und kostengünstige Point-of-Care-Einheit (POC) zu dienen. Dieses Einheit kann als Grundlage für vielfältige Anwendungen bei der Diagnose und Behandlung von Influenza und verschiedenen anderen Krankheitserregern genutzt werden. KW - AC electrokinetics KW - AC Elektrokinetik KW - AC electroosmosis KW - AC Elektroosmosis KW - dielectrophoresis KW - Dielektrophorese KW - virus KW - Virus KW - influenza KW - Influenza KW - antibody KW - Antikörper KW - nanoelectrodes KW - Nanoelektroden KW - lab-on-chip KW - lab-on-chip KW - LOC KW - LOC KW - point-of-care KW - point-of-care KW - POC KW - POC KW - immunoassay KW - Immunoassay Y1 - 2023 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-617165 ER - TY - THES A1 - Steding, Svenja T1 - Geochemical and Hydraulic Modeling of Cavernous Structures in Potash Seams T1 - Geochemische und hydraulische Modellierung kavernöser Strukturen in Kaliflözen N2 - Salt deposits offer a variety of usage types. These include the mining of rock salt and potash salt as important raw materials, the storage of energy in man-made underground caverns, and the disposal of hazardous substances in former mines. The most serious risk with any of these usage types comes from the contact with groundwater or surface water. It causes an uncontrolled dissolution of salt rock, which in the worst case can result in the flooding or collapse of underground facilities. Especially along potash seams, cavernous structures can spread quickly, because potash salts show a much higher solubility than rock salt. However, as their chemical behavior is quite complex, previous models do not account for these highly soluble interlayers. Therefore, the objective of the present thesis is to describe the evolution of cavernous structures along potash seams in space and time in order to improve hazard mitigation during the utilization of salt deposits. The formation of cavernous structures represents an interplay of chemical and hydraulic processes. Hence, the first step is to systematically investigate the dissolution and precipitation reactions that occur when water and potash salt come into contact. For this purpose, a geochemical reaction model is used. The results show that the minerals are only partially dissolved, resulting in a porous sponge like structure. With the saturation of the solution increasing, various secondary minerals are formed, whose number and type depend on the original rock composition. Field data confirm a correlation between the degree of saturation and the distance from the center of the cavern, where solution is entering. Subsequently, the reaction model is coupled with a flow and transport code and supplemented by a novel approach called ‘interchange’. The latter enables the exchange of solution and rock between areas of different porosity and mineralogy, and thus ultimately the growth of the cavernous structure. By means of several scenario analyses, cavern shape, growth rate and mineralogy are systematically investigated, taking also heterogeneous potash seams into account. The results show that basically four different cases can be distinguished, with mixed forms being a frequent occurrence in nature. The classification scheme is based on the dimensionless numbers Péclet and Damköhler, and allows for a first assessment of the hazard potential. In future, the model can be applied to any field case, using measurement data for calibration. The presented research work provides a reactive transport model that is able to spatially and temporally characterize the propagation of cavernous structures along potash seams for the first time. Furthermore, it allows to determine thickness and composition of transition zones between cavern center and unaffected salt rock. The latter is particularly important in potash mining, so that natural cavernous structures can be located at an early stage and the risk of mine flooding can thus be reduced. The models may also contribute to an improved hazard prevention in the construction of storage caverns and the disposal of hazardous waste in salt deposits. Predictions regarding the characteristics and evolution of cavernous structures enable a better assessment of potential hazards, such as integrity or stability loss, as well as of suitable mitigation measures. N2 - Salzlagerstätten bieten eine Vielzahl an Nutzungsmöglichkeiten. Diese umfassen den Abbau von Steinsalz und Kalisalz als wichtige Rohstoffe, die Speicherung von Energie in künstlich erzeugten Hohlräumen, sowie die Entsorgung gefährlicher Substanzen in stillgelegten Bergwerken. Die größte Gefahr bei jeder dieser Nutzungsarten ist der Kontakt mit Grund- oder Oberflächenwasser. Er bewirkt eine unkontrollierte Lösung des Salzgesteins, was im schlimmsten Fall zur Flutung oder zum Einsturz unterirdischer Infrastrukturen führt. Insbesondere entlang von Kaliflözen können sich kavernöse Strukturen schnell ausbreiten, da Kalisalze eine wesentlich höhere Löslichkeit besitzen als Steinsalz. Ihr chemisches Verhalten ist jedoch komplex, weshalb bisherige Modelle diese hochlöslichen Zwischenschichten vernachlässigen. Ziel der vorliegenden Doktorarbeit ist es daher, die Ausbreitung kavernöser Strukturen entlang von Kaliflözen räumlich und zeitlich zu beschreiben und damit die Möglichkeiten zur Gefahrenprävention bei der Nutzung von Salzlagerstätten zu verbessern. Die Bildung kavernöser Strukturen ist ein Zusammenspiel chemischer und hydraulischer Prozesse. Zunächst wird daher mithilfe eines geochemischen Reaktionsmodells systematisch untersucht, welche Lösungs- und Fällungsreaktionen beim Kontakt von Wasser und Kalisalz auftreten. Die Ergebnisse zeigen, dass nur ein Teil der Minerale gelöst wird, wodurch sich eine poröse, schwammartige Struktur bildet. Mit zunehmender Aufsättigung der Lösung treten verschiedene Sekundärminerale auf, deren Anzahl und Art vom Ausgangsgestein abhängen. Felddaten belegen dabei eine Korrelation zwischen Sättigungsgrad und Abstand vom Kavernenzentrum, wo die Lösung ein- und austritt. Anschließend wird das Reaktionsmodell mit einem Strömungs- und Transportcode gekoppelt und um einen neuartigen Ansatz namens "interchange" ergänzt. Dieser ermöglicht den Austausch von Lösung und Gestein zwischen Bereichen unterschiedlicher Porosität und Mineralogie, und damit letztlich das Wachstum der kavernösen Struktur. In mehreren Szenarienanalysen werden Kavernenform, Ausbreitungsgeschwindigkeit und Mineralogie systematisch untersucht und dabei auch heterogene Kaliflöze betrachtet. Die Ergebnisse zeigen, dass grundsätzlich vier Fälle zu unterscheiden sind, wobei in der Natur häufig Mischformen auftreten. Die Klassifizierung erfolgt auf Basis der dimensionslosen Kennzahlen Péclet und Damköhler und ermöglicht eine erste Abschätzung des Gefahrenpotentials. In Zukunft kann das Modell auf beliebige Feldbeispiele angewandt und mithilfe von Messdaten kalibriert werden. Die vorliegende Arbeit liefert ein reaktives Transportmodell, mit dem die Ausbreitung kavernöser Strukturen entlang von Kaliflözen erstmals räumlich und zeitlich beschrieben werden kann. Auch Mächtigkeit und Zusammensetzung der Übergangszone zwischen Kavernenzentrum und unberührtem Salzgestein können damit bestimmt werden. Letzteres ist insbesondere im Kalibergbau von Bedeutung, um natürliche kavernöse Strukturen rechtzeitig zu lokalisieren und damit das Risiko für eine Flutung von Bergwerken zu verringern. Auch bei der Herstellung von Speicherkavernen und der Einlagerung gefährlicher Substanzen im Salzgestein können die Modelle zu einer besseren Gefahrenprävention beitragen. Sie ermöglichen Prognosen über Beschaffenheit und Ausbreitungsverhalten kavernöser Strukturen, wodurch sowohl potentielle Gefahren, wie der Verlust von Dichtigkeit oder Stabilität, als auch geeignete Gegenmaßnahmen besser abschätzbar werden. KW - reactive transport KW - reaktiver Transport KW - salt rock KW - Salzgestein KW - water rock interactions KW - Wasser-Gesteins-Wechselwirkungen KW - density-driven flow KW - dichtegetriebene Strömung KW - PHREEQC Y1 - 2022 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-548182 ER - TY - GEN A1 - Steinfath, Matthias A1 - Gärtner, Tanja A1 - Lisec, Jan A1 - Meyer, Rhonda C. A1 - Altmann, Thomas A1 - Willmitzer, Lothar A1 - Selbig, Joachim T1 - Prediction of hybrid biomass in Arabidopsis thaliana by selected parental SNP and metabolic markers T2 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe N2 - A recombinant inbred line (RIL) population, derived from two Arabidopsis thaliana accessions, and the corresponding testcrosses with these two original accessions were used for the development and validation of machine learning models to predict the biomass of hybrids. Genetic and metabolic information of the RILs served as predictors. Feature selection reduced the number of variables (genetic and metabolic markers) in the models by more than 80% without impairing the predictive power. Thus, potential biomarkers have been revealed. Metabolites were shown to bear information on inherited macroscopic phenotypes. This proof of concept could be interesting for breeders. The example population exhibits substantial mid-parent biomass heterosis. The results of feature selection could therefore be used to shed light on the origin of heterosis. In this respect, mainly dominance effects were detected. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 1324 KW - Quantitative Trait Locus KW - feature selection KW - Partial Little Square KW - recombinant inbred line KW - Quantitative Trait Locus analysis Y1 - 2009 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-431115 SN - 1866-8372 IS - 1324 ER - TY - JOUR A1 - Steinfath, Matthias A1 - Gärtner, Tanja A1 - Lisec, Jan A1 - Meyer, Rhonda Christiane A1 - Altmann, Thomas A1 - Willmitzer, Lothar A1 - Selbig, Joachim T1 - Prediction of hybrid biomass in Arabidopsis thaliana by selected parental SNP and metabolic markers JF - Theoretical and applied genetics : TAG ; international journal of plant breeding research N2 - A recombinant inbred line (RIL) population, derived from two Arabidopsis thaliana accessions, and the corresponding testcrosses with these two original accessions were used for the development and validation of machine learning models to predict the biomass of hybrids. Genetic and metabolic information of the RILs served as predictors. Feature selection reduced the number of variables (genetic and metabolic markers) in the models by more than 80% without impairing the predictive power. Thus, potential biomarkers have been revealed. Metabolites were shown to bear information on inherited macroscopic phenotypes. This proof of concept could be interesting for breeders. The example population exhibits substantial mid-parent biomass heterosis. The results of feature selection could therefore be used to shed light on the origin of heterosis. In this respect, mainly dominance effects were detected. KW - Quantitative Trait Locus KW - feature selection KW - Partial Little Square KW - recombinant inbred line KW - Quantitative Trait Locus analysis Y1 - 2009 U6 - https://doi.org/10.1007/s00122-009-1191-2 SN - 0040-5752 SN - 1432-2242 VL - 120 SP - 239 EP - 247 PB - Springer CY - Berlin ER - TY - THES A1 - Stettner, Samuel T1 - Exploring the seasonality of rapid Arctic changes from space T1 - Erkundung der Saisonalität schneller arktischer Veränderungen aus dem Weltraum BT - monitoring of permafrost disturbance, snow cover and vegetation in tundra environments with TerraSAR-X BT - Überwachung von Permafroststörungen, Schneebedeckung und Vegetation in Tundra-Umgebungen mit TerraSAR-X N2 - Arctic warming has implications for the functioning of terrestrial Arctic ecosystems, global climate and socioeconomic systems of northern communities. A research gap exists in high spatial resolution monitoring and understanding of the seasonality of permafrost degradation, spring snowmelt and vegetation phenology. This thesis explores the diversity and utility of dense TerraSAR-X (TSX) X-Band time series for monitoring ice-rich riverbank erosion, snowmelt, and phenology of Arctic vegetation at long-term study sites in the central Lena Delta, Russia and on Qikiqtaruk (Herschel Island), Canada. In the thesis the following three research questions are addressed: • Is TSX time series capable of monitoring the dynamics of rapid permafrost degradation in ice-rich permafrost on an intra-seasonal scale and can these datasets in combination with climate data identify the climatic drivers of permafrost degradation? • Can multi-pass and multi-polarized TSX time series adequately monitor seasonal snow cover and snowmelt in small Arctic catchments and how does it perform compared to optical satellite data and field-based measurements? • Do TSX time series reflect the phenology of Arctic vegetation and how does the recorded signal compare to in-situ greenness data from RGB time-lapse camera data and vegetation height from field surveys? To answer the research questions three years of TSX backscatter data from 2013 to 2015 for the Lena Delta study site and from 2015 to 2017 for the Qikiqtaruk study site were used in quantitative and qualitative analysis complimentary with optical satellite data and in-situ time-lapse imagery. The dynamics of intra-seasonal ice-rich riverbank erosion in the central Lena Delta, Russia were quantified using TSX backscatter data at 2.4 m spatial resolution in HH polarization and validated with 0.5 m spatial resolution optical satellite data and field-based time-lapse camera data. Cliff top lines were automatically extracted from TSX intensity images using threshold-based segmentation and vectorization and combined in a geoinformation system with manually digitized cliff top lines from the optical satellite data and rates of erosion extracted from time-lapse cameras. The results suggest that the cliff top eroded at a constant rate throughout the entire erosional season. Linear mixed models confirmed that erosion was coupled with air temperature and precipitation at an annual scale, seasonal fluctuations did not influence 22-day erosion rates. The results highlight the potential of HH polarized X-Band backscatter data for high temporal resolution monitoring of rapid permafrost degradation. The distinct signature of wet snow in backscatter intensity images of TSX data was exploited to generate wet snow cover extent (SCE) maps on Qikiqtaruk at high temporal resolution. TSX SCE showed high similarity to Landsat 8-derived SCE when using cross-polarized VH data. Fractional snow cover (FSC) time series were extracted from TSX and optical SCE and compared to FSC estimations from in-situ time-lapse imagery. The TSX products showed strong agreement with the in-situ data and significantly improved the temporal resolution compared to the Landsat 8 time series. The final combined FSC time series revealed two topography-dependent snowmelt patterns that corresponded to in-situ measurements. Additionally TSX was able to detect snow patches longer in the season than Landsat 8, underlining the advantage of TSX for detection of old snow. The TSX-derived snow information provided valuable insights into snowmelt dynamics on Qikiqtaruk previously not available. The sensitivity of TSX to vegetation structure associated with phenological changes was explored on Qikiqtaruk. Backscatter and coherence time series were compared to greenness data extracted from in-situ digital time-lapse cameras and detailed vegetation parameters on 30 areas of interest. Supporting previous results, vegetation height corresponded to backscatter intensity in co-polarized HH/VV at an incidence angle of 31°. The dry, tall shrub dominated ecological class showed increasing backscatter with increasing greenness when using the cross polarized VH/HH channel at 32° incidence angle. This is likely driven by volume scattering of emerging and expanding leaves. Ecological classes with more prostrate vegetation and higher bare ground contributions showed decreasing backscatter trends over the growing season in the co-polarized VV/HH channels likely a result of surface drying instead of a vegetation structure signal. The results from shrub dominated areas are promising and provide a complementary data source for high temporal monitoring of vegetation phenology. Overall this thesis demonstrates that dense time series of TSX with optical remote sensing and in-situ time-lapse data are complementary and can be used to monitor rapid and seasonal processes in Arctic landscapes at high spatial and temporal resolution. N2 - Die Erwärmung der Arktis hat Auswirkungen auf die Stabilität und Funktion terrestrischer arktischer Ökosysteme, auf das globale Klima, sowie auf sozioökonomische Systeme nördlicher Gemeinden. Es besteht eine Forschungslücke bei der Überwachung der Saisonalität von Permafrostdegradation, Schneebedeckung und Vegetationsphänologie. Diese Dissertation untersucht den Nutzen von TerraSAR-X (TSX) X-Band Daten für die Überwachung eisreicher Ufererosion, Schneeschmelze, sowie Phänologie arktischer Vegetation im zentralen Lena Delta in Russland und auf Qikiqtaruk (Herschel Island), Kanada. Die Dynamik intrasaisonaler eisreicher Ufererosion im zentralen Lena-Delta in Russland wurde mit TSX Rückstreuintensitätsbildern quantifiziert und mit optischen Satelliten-Daten und Feldmessungen validiert. Kliff Kanten wurden automatisch aus TSX-Intensitätsbildern extrahiert und in einem Geoinformationssystem mit manuell digitalisierten Kliff Kanten aus optischen Satellitendaten, sowie mit Erosionsraten aus Zeitrafferkameras zusammengeführt. Die Ergebnisse deuten darauf hin, dass sich die Kliff Kante während der gesamten Auftauzeit mit konstanter Geschwindigkeit zurückzog. Die Verwendung von linearen Mischmodellen bestätigte, dass die Erosion im jährlichen Maßstab mit der Lufttemperatur und dem Niederschlag gekoppelt war, saisonale Schwankungen beeinflussten die Erosionsrate nicht. Die Ergebnisse stützen die Verwendung von TSX zur Überwachung schneller Permafrostdegradation mit hoher zeitlicher Auflösung. Die eindeutige Signatur von nassem Schnee in TSX Rückstreuintensitätsbildern wurde genutzt, um Schneeverteilungskarten (SCE) auf Qikiqtaruk in hoher zeitlicher Auflösung zu erzeugen. Aus TSX abgeleitete SCE zeigten eine große Ähnlichkeit zu SCE aus Landsat 8 Daten. Zeitreihen von prozentualer Schneebedeckung (FSC) wurden aus TSX und optischen SCE extrahiert und mit FSC-Schätzungen aus in-situ Zeitrafferkamera Daten verglichen. Auch hier zeigte TSX eine starke Übereinstimmung mit den in-situ-Daten und verbesserte die zeitliche Auflösung im Vergleich zur Landsat 8 Zeitreihe erheblich. Aus einer finalen kombinierten FSC-Zeitreihe konnten zwei Muster von Schneeschmelzen in ausgewählten Einzugsgebieten abgeleitet werden, die sich mit den in-situ Messungen deckten. Zusätzlich konnte TSX später in der Saison Schnee länger erkennen als Landsat 8, was den Vorteil von TSX zur Erkennung von Altschnee unterstreicht. Die TSX-abgeleiteten Schnee-Informationen lieferten wertvolle Einblicke in die Schneeschmelz-Dynamik auf Qikiqtaruk, welche zuvor nicht verfügbar waren. Die Empfindlichkeit von TSX für Vegetationsstruktur, die mit phänologischen Veränderungen einhergeht, wurde auf Qikiqtaruk untersucht. Rückstreu- und Kohärenzzeitreihen wurden aus 30 Testgebieten extrahiert. Die Rückstreu- und Kohärenzsignale wurden mit Vitalitäts-Daten verglichen, die aus in-situ-Zeitrafferkamera Zeitreihen extrahiert wurden. Die Ergebnisse zeigten einen Zusammenhang zwischen Vegetationshöhe und der Rückstreuintensität in HH / VV polarisierten Daten bei einem Einfallswinkel von 31 °. Ferner zeigte die ökologische Klasse mit einer Kombination von hohen Sträuchern und trockenen Oberflächenbedingungen eine zunehmende Rückstreuung mit zunehmende Pflanzenvitalität, wenn der kreuzpolarisierte VH / HH-Kanal bei 32 ° Einfallswinkel verwendet wurde. Die Ergebnisse aus strauchdominierten Klassen sind vielversprechend und liefern eine ergänzende Datenquelle für zeitlich hochaufgelöste Beobachtung der Vegetationsphänologie. Insgesamt zeigt diese Arbeit, dass TSX X-Band-Daten schnelle und saisonale Prozesse in arktischen Landschaften mit hoher räumlicher und zeitlicher Auflösung überwachen können. KW - SAR KW - remote sensing KW - arctic KW - SAR KW - Fernerkundung KW - Arktis Y1 - 2018 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-425783 ER - TY - GEN A1 - Stiegler, Jonas A1 - Lins, Alisa A1 - Dammhahn, Melanie A1 - Kramer-Schadt, Stephanie A1 - Ortmann, Sylvia A1 - Blaum, Niels T1 - Personality drives activity and space use in a mammalian herbivore T2 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe N2 - Background Animal personality has emerged as a key concept in behavioral ecology. While many studies have demonstrated the influence of personality traits on behavioral patterns, its quantification, especially in wild animal populations, remains a challenge. Only a few studies have established a link between personality and recurring movements within home ranges, although these small-scale movements are of key importance for identifying ecological interactions and forming individual niches. In this regard, differences in space use among individuals might reflect different exploration styles between behavioral types along the shy-bold continuum. Methods We assessed among-individual differences in behavior in the European hare (Lepus europaeus), a characteristic mammalian herbivore in agricultural landscapes using a standardized box emergence test for captive and wild hares. We determined an individuals’ degree of boldness by measuring the latencies of behavioral responses in repeated emergence tests in captivity. During capture events of wild hares, we conducted a single emergence test and recorded behavioral responses proven to be stable over time in captive hares. Applying repeated novel environment tests in a near-natural enclosure, we further quantified aspects of exploration and activity in captive hares. Finally, we investigated whether and how this among-individual behavioral variation is related to general activity and space use in a wild hare population. Wild and captive hares were treated similarly and GPS-collared with internal accelerometers prior to release to the wild or the outdoor enclosure, respectively. General activity was quantified as overall dynamic body acceleration (ODBA) obtained from accelerometers. Finally, we tested whether boldness explained variation in (i) ODBA in both settings and (ii) variation in home ranges and core areas across different time scales of GPS-collared hares in a wild population. Results We found three behavioral responses to be consistent over time in captive hares. ODBA was positively related to boldness (i.e., short latencies to make first contact with the new environment) in both captive and wild hares. Space use in wild hares also varied with boldness, with shy individuals having smaller core areas and larger home ranges than bold conspecifics (yet in some of the parameter space, this association was just marginally significant). Conclusions Against our prediction, shy individuals occupied relatively large home ranges but with small core areas. We suggest that this space use pattern is due to them avoiding risky, and energy-demanding competition for valuable resources. Carefully validated, activity measurements (ODBA) from accelerometers provide a valuable tool to quantify aspects of animal personality along the shy-bold continuum remotely. Without directly observing—and possibly disturbing—focal individuals, this approach allows measuring variability in animal personality, especially in species that are difficult to assess with experiments. Considering that accelerometers are often already built into GPS units, we recommend activating them at least during the initial days of tracking to estimate individual variation in general activity and, if possible, match them with a simple novelty experiment. Furthermore, information on individual behavioral types will help to facilitate mechanistic understanding of processes that drive spatial and ecological dynamics in heterogeneous landscapes. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 1299 KW - Animal personality KW - Movement ecology KW - Inter-individual differences KW - ODBA KW - Energy expenditure KW - European hare Y1 - 2023 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-577327 SN - 1866-8372 SP - 1 EP - 12 PB - Universitätsverlag Potsdam CY - Potsdam ER - TY - JOUR A1 - Stiegler, Jonas A1 - Lins, Alisa A1 - Dammhahn, Melanie A1 - Kramer-Schadt, Stephanie A1 - Ortmann, Sylvia A1 - Blaum, Niels T1 - Personality drives activity and space use in a mammalian herbivore JF - Movement Ecology N2 - Background Animal personality has emerged as a key concept in behavioral ecology. While many studies have demonstrated the influence of personality traits on behavioral patterns, its quantification, especially in wild animal populations, remains a challenge. Only a few studies have established a link between personality and recurring movements within home ranges, although these small-scale movements are of key importance for identifying ecological interactions and forming individual niches. In this regard, differences in space use among individuals might reflect different exploration styles between behavioral types along the shy-bold continuum. Methods We assessed among-individual differences in behavior in the European hare (Lepus europaeus), a characteristic mammalian herbivore in agricultural landscapes using a standardized box emergence test for captive and wild hares. We determined an individuals’ degree of boldness by measuring the latencies of behavioral responses in repeated emergence tests in captivity. During capture events of wild hares, we conducted a single emergence test and recorded behavioral responses proven to be stable over time in captive hares. Applying repeated novel environment tests in a near-natural enclosure, we further quantified aspects of exploration and activity in captive hares. Finally, we investigated whether and how this among-individual behavioral variation is related to general activity and space use in a wild hare population. Wild and captive hares were treated similarly and GPS-collared with internal accelerometers prior to release to the wild or the outdoor enclosure, respectively. General activity was quantified as overall dynamic body acceleration (ODBA) obtained from accelerometers. Finally, we tested whether boldness explained variation in (i) ODBA in both settings and (ii) variation in home ranges and core areas across different time scales of GPS-collared hares in a wild population. Results We found three behavioral responses to be consistent over time in captive hares. ODBA was positively related to boldness (i.e., short latencies to make first contact with the new environment) in both captive and wild hares. Space use in wild hares also varied with boldness, with shy individuals having smaller core areas and larger home ranges than bold conspecifics (yet in some of the parameter space, this association was just marginally significant). Conclusions Against our prediction, shy individuals occupied relatively large home ranges but with small core areas. We suggest that this space use pattern is due to them avoiding risky, and energy-demanding competition for valuable resources. Carefully validated, activity measurements (ODBA) from accelerometers provide a valuable tool to quantify aspects of animal personality along the shy-bold continuum remotely. Without directly observing—and possibly disturbing—focal individuals, this approach allows measuring variability in animal personality, especially in species that are difficult to assess with experiments. Considering that accelerometers are often already built into GPS units, we recommend activating them at least during the initial days of tracking to estimate individual variation in general activity and, if possible, match them with a simple novelty experiment. Furthermore, information on individual behavioral types will help to facilitate mechanistic understanding of processes that drive spatial and ecological dynamics in heterogeneous landscapes. KW - Animal personality KW - Movement ecology KW - Inter-individual differences KW - ODBA KW - Energy expenditure KW - European hare Y1 - 2022 U6 - https://doi.org/10.1186/s40462-022-00333-6 SN - 2051-3933 VL - 10 PB - BioMed Central (BMC), Springer Nature CY - London ER - TY - GEN A1 - Stieglitz, Stefan A1 - Fuchß, Christoph A1 - Hillmann, Oliver A1 - Lattemann, Christoph T1 - Mobile learning by using ad hoc messaging network N2 - The requirements of modern e-learning techniques change. Aspects such as community interaction, flexibility, pervasive learning and increasing mobility in communication habits become more important. To meet these challenges e-learning platforms must provide support on mobile learning. Most approaches try to adopt centralised and static e-learning mechanisms to mobile devices. However, often technically it is not possible for all kinds of devices to be connected to a central server. Therefore we introduce an application of a mobile e-learning network which operates totally decentralised with the help of an underlying ad hoc network architecture. Furthermore the concept of ad hoc messaging network (AMNET) is used as basis system architecture for our approach to implement a platform for pervasive mobile e-learning. T3 - Zweitveröffentlichungen der Universität Potsdam : Wirtschafts- und Sozialwissenschaftliche Reihe - paper 015 KW - Mobile learning KW - ad hoc learning KW - community KW - e-learning platform KW - AMNET KW - ad hoc messaging network KW - pervasive learning Y1 - 2007 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-19960 SN - 1867-5808 ER - TY - GEN A1 - Stone, Kate A1 - Nicenboim, Bruno A1 - Vasishth, Shravan A1 - Rösler, Frank T1 - Understanding the effects of constraint and predictability in ERP T2 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe N2 - Intuitively, strongly constraining contexts should lead to stronger probabilistic representations of sentences in memory. Encountering unexpected words could therefore be expected to trigger costlier shifts in these representations than expected words. However, psycholinguistic measures commonly used to study probabilistic processing, such as the N400 event-related potential (ERP) component, are sensitive to word predictability but not to contextual constraint. Some research suggests that constraint-related processing cost may be measurable via an ERP positivity following the N400, known as the anterior post-N400 positivity (PNP). The PNP is argued to reflect update of a sentence representation and to be distinct from the posterior P600, which reflects conflict detection and reanalysis. However, constraint-related PNP findings are inconsistent. We sought to conceptually replicate Federmeier et al. (2007) and Kuperberg et al. (2020), who observed that the PNP, but not the N400 or the P600, was affected by constraint at unexpected but plausible words. Using a pre-registered design and statistical approach maximising power, we demonstrated a dissociated effect of predictability and constraint: strong evidence for predictability but not constraint in the N400 window, and strong evidence for constraint but not predictability in the later window. However, the constraint effect was consistent with a P600 and not a PNP, suggesting increased conflict between a strong representation and unexpected input rather than greater update of the representation. We conclude that either a simple strong/weak constraint design is not always sufficient to elicit the PNP, or that previous PNP constraint findings could be an artifact of smaller sample size. T3 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe - 829 KW - N400 KW - anterior PNP KW - posterior P600 KW - probabilistic processing KW - constraint KW - predictability KW - entropy Y1 - 2023 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-587594 SN - 1866-8364 IS - 829 ER - TY - JOUR A1 - Stone, Kate A1 - Nicenboim, Bruno A1 - Vasishth, Shravan A1 - Rösler, Frank T1 - Understanding the effects of constraint and predictability in ERP JF - Neurobiology of language N2 - Intuitively, strongly constraining contexts should lead to stronger probabilistic representations of sentences in memory. Encountering unexpected words could therefore be expected to trigger costlier shifts in these representations than expected words. However, psycholinguistic measures commonly used to study probabilistic processing, such as the N400 event-related potential (ERP) component, are sensitive to word predictability but not to contextual constraint. Some research suggests that constraint-related processing cost may be measurable via an ERP positivity following the N400, known as the anterior post-N400 positivity (PNP). The PNP is argued to reflect update of a sentence representation and to be distinct from the posterior P600, which reflects conflict detection and reanalysis. However, constraint-related PNP findings are inconsistent. We sought to conceptually replicate Federmeier et al. (2007) and Kuperberg et al. (2020), who observed that the PNP, but not the N400 or the P600, was affected by constraint at unexpected but plausible words. Using a pre-registered design and statistical approach maximising power, we demonstrated a dissociated effect of predictability and constraint: strong evidence for predictability but not constraint in the N400 window, and strong evidence for constraint but not predictability in the later window. However, the constraint effect was consistent with a P600 and not a PNP, suggesting increased conflict between a strong representation and unexpected input rather than greater update of the representation. We conclude that either a simple strong/weak constraint design is not always sufficient to elicit the PNP, or that previous PNP constraint findings could be an artifact of smaller sample size. KW - N400 KW - anterior PNP KW - posterior P600 KW - probabilistic processing KW - constraint KW - predictability KW - entropy Y1 - 2022 U6 - https://doi.org/10.1162/nol_a_00094 SN - 2641-4368 VL - 4 IS - 2 SP - 221 EP - 256 PB - MIT Press CY - Cambridge, MA, USA ER - TY - JOUR A1 - Stone, Kate A1 - Vasishth, Shravan A1 - Malsburg, Titus von der T1 - Does entropy modulate the prediction of German long-distance verb particles? JF - PLOS ONE N2 - In this paper we examine the effect of uncertainty on readers’ predictions about meaning. In particular, we were interested in how uncertainty might influence the likelihood of committing to a specific sentence meaning. We conducted two event-related potential (ERP) experiments using particle verbs such as turn down and manipulated uncertainty by constraining the context such that readers could be either highly certain about the identity of a distant verb particle, such as turn the bed […] down, or less certain due to competing particles, such as turn the music […] up/down. The study was conducted in German, where verb particles appear clause-finally and may be separated from the verb by a large amount of material. We hypothesised that this separation would encourage readers to predict the particle, and that high certainty would make prediction of a specific particle more likely than lower certainty. If a specific particle was predicted, this would reflect a strong commitment to sentence meaning that should incur a higher processing cost if the prediction is wrong. If a specific particle was less likely to be predicted, commitment should be weaker and the processing cost of a wrong prediction lower. If true, this could suggest that uncertainty discourages predictions via an unacceptable cost-benefit ratio. However, given the clear predictions made by the literature, it was surprisingly unclear whether the uncertainty manipulation affected the two ERP components studied, the N400 and the PNP. Bayes factor analyses showed that evidence for our a priori hypothesised effect sizes was inconclusive, although there was decisive evidence against a priori hypothesised effect sizes larger than 1μV for the N400 and larger than 3μV for the PNP. We attribute the inconclusive finding to the properties of verb-particle dependencies that differ from the verb-noun dependencies in which the N400 and PNP are often studied. Y1 - 2022 U6 - https://doi.org/10.1371/journal.pone.0267813 SN - 1932-6203 SP - 1 EP - 25 PB - PLOS ONE CY - San Francisco, California, US ER - TY - JOUR A1 - Stuchtey, Fidelis Christin A1 - Block, Andrea A1 - Osei, Francis A1 - Wippert, Pia-Maria T1 - Lipid Biomarkers in Depression: Does Antidepressant Therapy Have an Impact? JF - Healthcare : open access journal N2 - Studies have revealed mixed results on how antidepressant drugs affect lipid profiles of patients with major depression disorder (MDD). Even less is known about how patients respond to a switch of antidepressant medication with respect to their metabolic profile. For this, effects of a switch in antidepressants medication on lipid markers were studied in MDD patients. 15 participants (females = 86.67%; males = 13.33%; age: 49.45 ± 7.45 years) with MDD and a prescribed switch in their antidepressant medication were recruited at a psychosomatic rehabilitation clinic. Participants were characterized (with questionnaires and blood samples) at admission to the rehabilitation clinic (baseline, T0) and followed up with a blood sample two weeks (T1) later. HDL, LDL, total cholesterol, and triglycerides were determined (T0), and their change analyzed (Wilcoxon test) at follow up (T1). Decrements in HDL (p = 0.041), LDL (p < 0.001), and total cholesterol (p < 0.001) were observed two weeks after a switch in antidepressant medication. Triglycerides showed no difference (p = 0.699). Overall, LDL, HDL, and total cholesterol are affected by a change in antidepressant drugs in patients with MDD. These observations are of clinical relevance for medical practitioners in the planning and management of treatment strategies for MDD patients. KW - major depressive disorder KW - antidepressants KW - high density lipoprotein cholesterol KW - HDL KW - low density lipoprotein cholesterol KW - LDL KW - cholesterol KW - triglycerides KW - lipids Y1 - 2022 U6 - https://doi.org/10.3390/healthcare10020333 SN - 2227-9032 VL - 10 SP - 1 EP - 11 PB - MDPI CY - Basel, Schweiz ET - 2 ER -