TY - RPRT A1 - Šedová, Barbora A1 - Čizmaziová, Lucia A1 - Cook, Athene T1 - A meta-analysis of climate migration literature T2 - CEPA Discussion Papers N2 - The large literature that aims to find evidence of climate migration delivers mixed findings. This meta-regression analysis i) summarizes direct links between adverse climatic events and migration, ii) maps patterns of climate migration, and iii) explains the variation in outcomes. Using a set of limited dependent variable models, we meta-analyze thus-far the most comprehensive sample of 3,625 estimates from 116 original studies and produce novel insights on climate migration. We find that extremely high temperatures and drying conditions increase migration. We do not find a significant effect of sudden-onset events. Climate migration is most likely to emerge due to contemporaneous events, to originate in rural areas and to take place in middle-income countries, internally, to cities. The likelihood to become trapped in affected areas is higher for women and in low-income countries, particularly in Africa. We uniquely quantify how pitfalls typical for the broader empirical climate impact literature affect climate migration findings. We also find evidence of different publication biases. T3 - CEPA Discussion Papers - 29 KW - migration KW - climate change KW - meta-analysis Y1 - 2021 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-499827 SN - 2628-653X IS - 29 ER - TY - JOUR A1 - Zühlke, Martin A1 - Meiling, Till Thomas A1 - Roder, Phillip A1 - Riebe, Daniel A1 - Beitz, Toralf A1 - Bald, Ilko A1 - Löhmannsröben, Hans-Gerd A1 - Janßen, Traute A1 - Erhard, Marcel A1 - Repp, Alexander T1 - Photodynamic inactivation of E. coli bacteria via carbon nanodots JF - ACS omega / American Chemical Society N2 - The increasing development of antibiotic resistance in bacteria has been a major problem for years, both in human and veterinary medicine. Prophylactic measures, such as the use of vaccines, are of great importance in reducing the use of antibiotics in livestock. These vaccines are mainly produced based on formaldehyde inactivation. However, the latter damages the recognition elements of the bacterial proteins and thus could reduce the immune response in the animal. An alternative inactivation method developed in this work is based on gentle photodynamic inactivation using carbon nanodots (CNDs) at excitation wavelengths λex > 290 nm. The photodynamic inactivation was characterized on the nonvirulent laboratory strain Escherichia coli K12 using synthesized CNDs. For a gentle inactivation, the CNDs must be absorbed into the cytoplasm of the E. coli cell. Thus, the inactivation through photoinduced formation of reactive oxygen species only takes place inside the bacterium, which means that the outer membrane is neither damaged nor altered. The loading of the CNDs into E. coli was examined using fluorescence microscopy. Complete loading of the bacterial cells could be achieved in less than 10 min. These studies revealed a reversible uptake process allowing the recovery and reuse of the CNDs after irradiation and before the administration of the vaccine. The success of photodynamic inactivation was verified by viability assays on agar. In a homemade flow photoreactor, the fastest successful irradiation of the bacteria could be carried out in 34 s. Therefore, the photodynamic inactivation based on CNDs is very effective. The membrane integrity of the bacteria after irradiation was verified by slide agglutination and atomic force microscopy. The method developed for the laboratory strain E. coli K12 could then be successfully applied to the important avian pathogens Bordetella avium and Ornithobacterium rhinotracheale to aid the development of novel vaccines. KW - Bacteria KW - Genetics KW - Fluorescence KW - Photodynamics KW - Irradiation Y1 - 2021 U6 - https://doi.org/10.1021/acsomega.1c01700 SN - 2470-1343 VL - 6 IS - 37 SP - 23742 EP - 23749 PB - ACS Publications CY - Washington, DC ER - TY - JOUR A1 - Zurell, Damaris A1 - König, Christian A1 - Malchow, Anne-Kathleen A1 - Kapitza, Simon A1 - Bocedi, Greta A1 - Travis, Justin M. J. A1 - Fandos, Guillermo T1 - Spatially explicit models for decision-making in animal conservation and restoration JF - Ecography : pattern and diversity in ecology / Nordic Ecologic Society Oikos N2 - Models are useful tools for understanding and predicting ecological patterns and processes. Under ongoing climate and biodiversity change, they can greatly facilitate decision-making in conservation and restoration and help designing adequate management strategies for an uncertain future. Here, we review the use of spatially explicit models for decision support and to identify key gaps in current modelling in conservation and restoration. Of 650 reviewed publications, 217 publications had a clear management application and were included in our quantitative analyses. Overall, modelling studies were biased towards static models (79%), towards the species and population level (80%) and towards conservation (rather than restoration) applications (71%). Correlative niche models were the most widely used model type. Dynamic models as well as the gene-to-individual level and the community-to-ecosystem level were underrepresented, and explicit cost optimisation approaches were only used in 10% of the studies. We present a new model typology for selecting models for animal conservation and restoration, characterising model types according to organisational levels, biological processes of interest and desired management applications. This typology will help to more closely link models to management goals. Additionally, future efforts need to overcome important challenges related to data integration, model integration and decision-making. We conclude with five key recommendations, suggesting that wider usage of spatially explicit models for decision support can be achieved by 1) developing a toolbox with multiple, easier-to-use methods, 2) improving calibration and validation of dynamic modelling approaches and 3) developing best-practise guidelines for applying these models. Further, more robust decision-making can be achieved by 4) combining multiple modelling approaches to assess uncertainty, and 5) placing models at the core of adaptive management. These efforts must be accompanied by long-term funding for modelling and monitoring, and improved communication between research and practise to ensure optimal conservation and restoration outcomes. KW - adaptive management KW - biodiversity conservation KW - cost optimisation KW - ecosystem restoration KW - global change KW - predictive models Y1 - 2021 U6 - https://doi.org/10.1111/ecog.05787 SN - 1600-0587 IS - 4 SP - 1 EP - 16 PB - Wiley-Blackwell CY - Oxford ER - TY - JOUR A1 - Ziegler, Joceline A1 - Pfitzner, Bjarne A1 - Schulz, Heinrich A1 - Saalbach, Axel A1 - Arnrich, Bert T1 - Defending against Reconstruction Attacks through Differentially Private Federated Learning for Classification of Heterogeneous Chest X-ray Data JF - Sensors N2 - Privacy regulations and the physical distribution of heterogeneous data are often primary concerns for the development of deep learning models in a medical context. This paper evaluates the feasibility of differentially private federated learning for chest X-ray classification as a defense against data privacy attacks. To the best of our knowledge, we are the first to directly compare the impact of differentially private training on two different neural network architectures, DenseNet121 and ResNet50. Extending the federated learning environments previously analyzed in terms of privacy, we simulated a heterogeneous and imbalanced federated setting by distributing images from the public CheXpert and Mendeley chest X-ray datasets unevenly among 36 clients. Both non-private baseline models achieved an area under the receiver operating characteristic curve (AUC) of 0.940.94 on the binary classification task of detecting the presence of a medical finding. We demonstrate that both model architectures are vulnerable to privacy violation by applying image reconstruction attacks to local model updates from individual clients. The attack was particularly successful during later training stages. To mitigate the risk of a privacy breach, we integrated Rényi differential privacy with a Gaussian noise mechanism into local model training. We evaluate model performance and attack vulnerability for privacy budgets ε∈{1,3,6,10}�∈{1,3,6,10}. The DenseNet121 achieved the best utility-privacy trade-off with an AUC of 0.940.94 for ε=6�=6. Model performance deteriorated slightly for individual clients compared to the non-private baseline. The ResNet50 only reached an AUC of 0.760.76 in the same privacy setting. Its performance was inferior to that of the DenseNet121 for all considered privacy constraints, suggesting that the DenseNet121 architecture is more robust to differentially private training. KW - federated learning KW - privacy and security KW - privacy attack KW - X-ray Y1 - 2022 U6 - https://doi.org/10.3390/s22145195 SN - 1424-8220 VL - 22 PB - MDPI CY - Basel, Schweiz ET - 14 ER - TY - THES A1 - Ziege, Ricardo T1 - Growth dynamics and mechanical properties of E. coli biofilms T1 - Wachstumsdynamik und mechanische Eigenschaften von E. coli Biofilmen N2 - Biofilms are complex living materials that form as bacteria get embedded in a matrix of self-produced protein and polysaccharide fibres. The formation of a network of extracellular biopolymer fibres contributes to the cohesion of the biofilm by promoting cell-cell attachment and by mediating biofilm-substrate interactions. This sessile mode of bacteria growth has been well studied by microbiologists to prevent the detrimental effects of biofilms in medical and industrial settings. Indeed, biofilms are associated with increased antibiotic resistance in bacterial infections, and they can also cause clogging of pipelines or promote bio-corrosion. However, biofilms also gained interest from biophysics due to their ability to form complex morphological patterns during growth. Recently, the emerging field of engineered living materials investigates biofilm mechanical properties at multiple length scales and leverages the tools of synthetic biology to tune the functions of their constitutive biopolymers. This doctoral thesis aims at clarifying how the morphogenesis of Escherichia coli (E. coli) biofilms is influenced by their growth dynamics and mechanical properties. To address this question, I used methods from cell mechanics and materials science. I first studied how biological activity in biofilms gives rise to non-uniform growth patterns. In a second study, I investigated how E. coli biofilm morphogenesis and its mechanical properties adapt to an environmental stimulus, namely the water content of their substrate. Finally, I estimated how the mechanical properties of E. coli biofilms are altered when the bacteria express different extracellular biopolymers. On nutritive hydrogels, micron-sized E. coli cells can build centimetre-large biofilms. During this process, bacterial proliferation and matrix production introduce mechanical stresses in the biofilm, which release through the formation of macroscopic wrinkles and delaminated buckles. To relate these biological and mechanical phenomena, I used time-lapse fluorescence imaging to track cell and matrix surface densities through the early and late stages of E. coli biofilm growth. Colocalization of high cell and matrix densities at the periphery precede the onset of mechanical instabilities at this annular region. Early growth is detected at this outer annulus, which was analysed by adding fluorescent microspheres to the bacterial inoculum. But only when high rates of matrix production are present in the biofilm centre, does overall biofilm spreading initiate along the solid-air interface. By tracking larger fluorescent particles for a long time, I could distinguish several kinematic stages of E. coli biofilm expansion and observed a transition from non-linear to linear velocity profiles, which precedes the emergence of wrinkles at the biofilm periphery. Decomposing particle velocities to their radial and circumferential components revealed a last kinematic stage, where biofilm movement is mostly directed towards the radial delaminated buckles, which verticalize. The resulting compressive strains computed in these regions were observed to substantially deform the underlying agar substrates. The co-localization of higher cell and matrix densities towards an annular region and the succession of several kinematic stages are thus expected to promote the emergence of mechanical instabilities at the biofilm periphery. These experimental findings are predicted to advance future modelling approaches of biofilm morphogenesis. E. coli biofilm morphogenesis is further anticipated to depend on external stimuli from the environment. To clarify how the water could be used to tune biofilm material properties, we quantified E. coli biofilm growth, wrinkling dynamics and rigidity as a function of the water content of the nutritive substrates. Time-lapse microscopy and computational image analysis revealed that substrates with high water content promote biofilm spreading kinetics, while substrates with low water content promote biofilm wrinkling. The wrinkles observed on biofilm cross-sections appeared more bent on substrates with high water content, while they tended to be more vertical on substrates with low water content. Both wet and dry biomass, accumulated over 4 days of culture, were larger in biofilms cultured on substrates with high water content, despite extra porosity within the matrix layer. Finally, the micro-indentation analysis revealed that substrates with low water content supported the formation of stiffer biofilms. This study shows that E. coli biofilms respond to the water content of their substrate, which might be used for tuning their material properties in view of further applications. Biofilm material properties further depend on the composition and structure of the matrix of extracellular proteins and polysaccharides. In particular, E. coli biofilms were suggested to present tissue-like elasticity due to a dense fibre network consisting of amyloid curli and phosphoethanolamine-modified cellulose. To understand the contribution of these components to the emergent mechanical properties of E. coli biofilms, we performed micro-indentation on biofilms grown from bacteria of several strains. Besides showing higher dry masses, larger spreading diameters and slightly reduced water contents, biofilms expressing both main matrix components also presented high rigidities in the range of several hundred kPa, similar to biofilms containing only curli fibres. In contrast, a lack of amyloid curli fibres provides much higher adhesive energies and more viscoelastic fluid-like material behaviour. Therefore, the combination of amyloid curli and phosphoethanolamine-modified cellulose fibres implies the formation of a composite material whereby the amyloid curli fibres provide rigidity to E. coli biofilms, whereas the phosphoethanolamine-modified cellulose rather acts as a glue. These findings motivate further studies involving purified versions of these protein and polysaccharide components to better understand how their interactions benefit biofilm functions. All three studies depict different aspects of biofilm morphogenesis, which are interrelated. The first work reveals the correlation between non-uniform biological activities and the emergence of mechanical instabilities in the biofilm. The second work acknowledges the adaptive nature of E. coli biofilm morphogenesis and its mechanical properties to an environmental stimulus, namely water. Finally, the last study reveals the complementary role of the individual matrix components in the formation of a stable biofilm material, which not only forms complex morphologies but also functions as a protective shield for the bacteria it contains. Our experimental findings on E. coli biofilm morphogenesis and their mechanical properties can have further implications for fundamental and applied biofilm research fields. N2 - Biofilme sind komplexe lebende Materialien, die sich bilden, wenn Bakterien in eine Matrix aus selbstproduzierten Protein- und Polysaccharidfasern eingebettet werden. Die Bildung eines Netzwerks aus extrazellulären Biopolymerfasern trägt zum Zusammenhalt des Biofilms bei, indem sie die Zell-Zell-Anhaftung fördert und die Wechselwirkungen zwischen Biofilm und Substrat vermittelt. Diese sessile Form des Bakterienwachstums wurde von Mikrobiologen eingehend untersucht, um die schädlichen Auswirkungen von Biofilmen in der Medizin und Industrie zu verhindern. Biofilme werden nämlich mit einer erhöhten Antibiotikaresistenz bei bakteriellen Infektionen in Verbindung gebracht, und sie können auch zur Verstopfung von Rohrleitungen führen oder Biokorrosion fördern. Biofilme sind jedoch auch für die Biophysik von Interesse, da sie während ihres Wachstums komplexe morphologische Muster bilden können. In jüngster Zeit werden auf dem aufstrebenden Gebiet der künstlich hergestellten lebenden Materialien die mechanischen Eigenschaften von Biofilmen auf verschiedenen Längenskalen untersucht und die Werkzeuge der synthetischen Biologie genutzt, um die Funktionen ihrer konstitutiven Biopolymere zu beeinflussen. In dieser Doktorarbeit soll geklärt werden, wie die Morphogenese von Escherichia coli (E. coli)-Biofilmen durch deren Wachstumsdynamik und mechanische Eigenschaften beeinflusst wird. Um dieser Frage nachzugehen, habe ich Methoden aus der Zellmechanik und der Materialwissenschaft verwendet. Zunächst habe ich untersucht, wie die biologische Aktivität in Biofilmen zu ungleichmäßigen Wachstumsmustern führt. In einer zweiten Studie untersuchte ich, wie sich die Morphogenese von E. coli-Biofilmen und ihre mechanischen Eigenschaften an einen Umweltstimulus, nämlich den Wassergehalt des Substrats, anpassen. Schließlich habe ich abgeschätzt, wie sich die mechanischen Eigenschaften von E. coli-Biofilmen verändern, wenn die Bakterien verschiedene extrazelluläre Biopolymere exprimieren. Auf nährstoffhaltigen Hydrogelen können mikrometergroße E. coli-Zellen zentimetergroße Biofilme bilden. Während dieses Prozesses führen die bakterielle Vermehrung und die Matrixproduktion zu mechanischen Spannungen im Biofilm, die sich durch die Bildung von makroskopischen Falten und delaminierten Knicken entladen. Um diese biologischen und mechanischen Phänomene miteinander in Beziehung zu setzen, habe ich mit Hilfe von Zeitraffer-Fluoreszenzaufnahmen die Zell- und Matrixoberflächendichte in den frühen und späten Phasen des E. coli-Biofilmwachstums verfolgt. Die Kolokalisierung hoher Zell- und Matrixdichten an der Peripherie geht dem Auftreten mechanischer Instabilitäten in diesem ringförmigen Bereich voraus. An diesem äußeren Ring wird ein frühes Wachstum festgestellt, das durch Zugabe von fluoreszierenden Mikrokugeln zum bakteriellen Inokulum analysiert wurde. Aber nur wenn im Zentrum des Biofilms hohe Raten der Matrixproduktion vorhanden sind, beginnt die Ausbreitung des gesamten Biofilms entlang der Feststoff-Luft-Grenzfläche. Indem ich größere fluoreszierende Partikel über einen längeren Zeitraum verfolgte, konnte ich mehrere kinematische Stadien der E. coli-Biofilmexpansion unterscheiden und einen Übergang von nichtlinearen zu linearen Geschwindigkeitsprofilen beobachten, der dem Auftreten von Falten an der Biofilmperipherie vorausgeht. Die Zerlegung der Partikelgeschwindigkeiten in ihre radialen und umlaufenden Komponenten ergab ein letztes kinematisches Stadium, in dem die Bewegung des Biofilms hauptsächlich auf die radialen delaminierten Knicke gerichtet ist, die sich vertikalisieren. Die in diesen Regionen berechneten Druckspannungen verformen die darunter liegenden Agarsubstrate erheblich. Die gleichzeitige Ansammlung höherer Zell- und Matrixdichten in einer ringförmigen Region und die Abfolge mehrerer kinematischer Stadien dürften somit das Entstehen mechanischer Instabilitäten an der Biofilm-Peripherie fördern. Diese experimentellen Ergebnisse werden voraussichtlich zukünftige Modellierungsansätze der Biofilmmorphogenese voranbringen. Die Morphogenese des E. coli-Biofilms wird voraussichtlich auch von externen Stimuli aus der Umwelt abhängen. Um zu klären, wie das Wasser zur Einstellung der Materialeigenschaften von Biofilmen genutzt werden könnte, haben wir das Wachstum, die Faltenbildung und die Steifigkeit von E. coli-Biofilmen in Abhängigkeit vom Wassergehalt der Nährsubstrate quantifiziert. Zeitraffermikroskopie und computergestützte Bildanalyse zeigten, dass Substrate mit hohem Wassergehalt die Ausbreitungskinetik des Biofilms fördern, während Substrate mit niedrigem Wassergehalt die Faltenbildung des Biofilms begünstigen. Die auf Biofilm-Querschnitten beobachteten Falten erschienen auf Substraten mit hohem Wassergehalt stärker gebogen, während sie auf Substraten mit niedrigem Wassergehalt eher vertikal verliefen. Sowohl die feuchte als auch die trockene Biomasse, die während der 4-tägigen Kultur akkumuliert wurde, war in Biofilmen, die auf Substraten mit hohem Wassergehalt gezüchtet wurden, größer, trotz der zusätzlichen Porosität innerhalb der Matrixschicht. Schließlich ergab die Mikroindentationsanalyse, dass Substrate mit niedrigem Wassergehalt die Bildung von steiferen Biofilmen begünstigten. Diese Studie zeigt, dass E. coli-Biofilme auf den Wassergehalt ihres Substrats reagieren, was für die Abstimmung ihrer Materialeigenschaften im Hinblick auf weitere Anwendungen genutzt werden könnte. Die Materialeigenschaften von Biofilmen hängen außerdem von der Zusammensetzung und Struktur der Matrix aus extrazellulären Proteinen und Polysacchariden ab. Insbesondere wurde vermutet, dass E. coli-Biofilme aufgrund eines dichten Fasernetzwerks aus Amyloid-Curli und Phosphoethanolamin-modifizierter Cellulose eine gewebeähnliche Elastizität aufweisen. Um den Beitrag dieser Komponenten zu den entstehenden mechanischen Eigenschaften von E. coli-Biofilmen zu verstehen, führten wir an Biofilmen, die aus Bakterien verschiedener Stämme gewachsen waren, Mikroeindrücke durch. Biofilme, die beide Hauptmatrixkomponenten enthalten, wiesen nicht nur eine höhere Trockenmasse, einen größeren Ausbreitungsdurchmesser und einen leicht verringerten Wassergehalt auf, sondern auch eine hohe Steifigkeit im Bereich von mehreren hundert kPa, ähnlich wie Biofilme, die nur Curli-Fasern enthalten. Das Fehlen von Amyloid-Curli-Fasern führt dagegen zu deutlich höheren Adhäsionsenergien und einem viskoelastischeren, flüssigkeitsähnlichen Materialverhalten. Die Kombination von Amyloid-Curli-Fasern und Phosphoethanolamin-modifizierten Cellulosefasern impliziert daher die Bildung eines Verbundmaterials, bei dem die Amyloid-Curli-Fasern den E. coli-Biofilmen Steifigkeit verleihen, während die Phosphoethanolamin-modifizierte Cellulose eher als Klebstoff wirkt. Diese Ergebnisse motivieren zu weiteren Studien mit gereinigten Versionen dieser Protein- und Polysaccharidkomponenten, um besser zu verstehen, wie ihre Interaktionen die Funktionen des Biofilms unterstützen. Alle drei Studien zeigen verschiedene Aspekte der Biofilm-Morphogenese, die miteinander verbunden sind. Die erste Arbeit zeigt den Zusammenhang zwischen ungleichmäßigen biologischen Aktivitäten und dem Auftreten mechanischer Instabilitäten im Biofilm auf. Die zweite Arbeit bestätigt die Anpassungsfähigkeit der Morphogenese des E. coli-Biofilms und seiner mechanischen Eigenschaften an einen Umweltreiz, nämlich Wasser. Die letzte Studie schließlich zeigt die komplementäre Rolle der einzelnen Matrixkomponenten bei der Bildung eines stabilen Biofilmmaterials, das nicht nur komplexe Morphologien bildet, sondern auch als Schutzschild für die darin enthaltenen Bakterien fungiert. Unsere experimentellen Erkenntnisse über die Morphogenese von E. coli-Biofilmen und ihre mechanischen Eigenschaften können weitere Auswirkungen auf grundlegende und angewandte Biofilm-Forschungsbereiche haben. KW - biofilm KW - E. coli KW - living materials KW - mechanobiology KW - E. coli KW - Biofilm KW - lebende Materialien KW - Mechanobiologie Y1 - 2022 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-559869 ER - TY - THES A1 - Zhou, Shuo T1 - Biological evaluation and sulfation of polymer networks from glycerol glycidyl ether N2 - Cardiovascular diseases are the main cause of death worldwide, and their prevalence is expected to rise in the coming years. Polymer-based artificial replacements have been widely used for the treatment of cardiovascular diseases. Coagulation and thrombus formation on the interfaces between the materials and the human physiological environment are key issues leading to the failure of the medical device in clinical implantation. The surface properties of the materials have a strong influence on the protein adsorption and can direct the blood cell adhesion behavior on the interfaces. Furthermore, implant-associated infections will be induced by bacterial adhesion and subsequent biofilm formation at the implantation site. Thus, it is important to improve the hemocompatibility of an implant by altering the surface properties. One of the effective strategies is surface passivation to achieve protein/cell repelling ability to reduce the risk of thrombosis. This thesis consists of synthesis, functionalization, sterilization, and biological evaluation of bulk poly(glycerol glycidyl ether) (polyGGE), which is a highly crosslinked polyether-based polymer synthesized by cationic ring-opening polymerization. PolyGGE is hypothesized to be able to resist plasma protein adsorption and bacterial adhesion due to analogous chemical structure as polyethylene glycol and hyperbranched polyglycerol. Hydroxyl end groups of polyGGE provide possibilities to be functionalized with sulfates to mimic the anti-thrombogenic function of the endothelial glycocalyx. PolyGGE was synthesized by polymerization of the commercially available monomer glycerol glycidyl ether, which was characterized as a mixture of mono-, di- and tri-glycidyl ether. Cationic ring opening-polymerization of this monomer was carried out by ultraviolet (UV) initiation of the photo-initiator diphenyliodonium hexafluorophosphate. With the increased UV curing time, more epoxides in the side chains of the monomers participated in chemical crosslinking, resulting in an increase of Young’s modulus, while the value of elongation at break of polyGGE first increased due to the propagation of the polymer chains then decreased with the increase of crosslinking density. Eventually, the chain propagation can be effectively terminated by potassium hydroxide aqueous solution. PolyGGE exhibited different tensile properties in hydrated conditions at body temperature compared to the values in the dry state at room temperature. Both Young’s modulus and values of elongation at break were remarkably reduced when tested in water at 37 °C, which was above the glass transition temperature of polyGGE. At physiological conditions, entanglements of the ployGGE networks unfolded and the free volume of networks were replaced by water molecules as softener, which increased the mobility of the polymer chains, resulting in a lower Young’s modulus. Protein adsorption analysis was performed on polyGGE films with 30 min UV curing using an enzyme-linked immunosorbent assay. PolyGGE could effectively prevent the adsorption of human plasma fibrinogen, albumin, and fibronectin at the interface of human plasma and polyGGE films. The protein resistance of polyGGE was comparable to the negative controls: the hemocompatible polydimethylsiloxane (PDMS), showing its potential as a coating material for cardiovascular implants. Moreover, antimicrobial tests of bacterial activity using isothermal microcalorimetry and the microscopic image of direct bacteria culturing demonstrated that polyGGE could directly interfere biofilm formation and growth of both Gram-negative and antibiotic-resistant Gram-positive bacteria, indicating the potential application of polyGGE for combating the risk of hospital-acquired infections and preventing drug-resistant superbug spreading. To investigate its cell compatibility, polyGGE films were extracted by different solvents (ethanol, chloroform, acetone) and cell culture medium. Indirect cytotoxicity tests showed extracted polyGGE films still had toxic effects on L929 fibroblast cells. High-performance liquid chromatography/electrospray ionization mass spectrometry revealed the occurrence of organochlorine-containing compounds released during the polymer-cell culture medium interaction. A constant level of those organochlorine-containing compounds was confirmed from GGE monomer by a specific peak of C-Cl stretching in infrared spectra of GGE. This is assumed to be the main reason causing the increased cell membrane permeability and decreased metabolic activity, leading to cell death. Attempts as changing solvents were made to remove toxic substances, however, the release of these small molecules seems to be sluggish. The densely crosslinked polyGGE networks can possibly contribute to the trapping of organochlorine-containing compounds. These results provide valuable information for exploring the potentially toxic substances, leaching from polyGGE networks, and propose a feasible strategy for minimizing the cytotoxicity via reducing their crosslinking density. Sulfamic acid/ N-Methyl-2-pyrrolidone (NMP) were selected as the reagents for the sulfation of polyGGE surfaces. Fourier transform attenuated total reflection infrared spectroscopy (ATR-FT-IR) was used to monitor the functionalization kinetics and the results confirmed the successful sulfate grafting on the surface of polyGGE with the covalent bond -C-O-S-. X-ray photoelectron spectroscopy was used to determine the element composition on the surface and the cross-section of the functionalized polyGGE and sulfation within 15 min guarantees the sulfation only takes place on the surface while not occurring in the bulk of the polymer. The concentration of grafted sulfates increased with the increasing reaction time. The hydrophilicity of the surface of polyGGE was highly increased due to the increase of negatively charged end groups. Three sterilization techniques including autoclaving, gamma irradiation, and ethylene oxide (EtO) sterilization were used for polyGGE sulfates. Results from ATR-FT-IR and Toluidine Blue O quantitative assay demonstrated the total loss of the sulfates after autoclave sterilization, which was also confirmed by the increased water contact angle. Little influence on the concentration of sulfates was found for gamma-irradiated and autoclaving sterilized polyGGE sulfates. To investigate the thermal influence on polyGGE sulfates, one strategy was to use poly(hydroxyethyl acrylate) sulfates (PHEAS) for modeling. The thermogravimetric analysis profile of PHEAS demonstrated that sulfates are not thermally stable independent of the substrate materials and decomposition of sulfates occurs at around 100 °C. Although gamma irradiation also showed little negative effect on the sulfate content, the color change in the polyGGE sulfates indicates chemical or physical change might occur in the polymer. EtO sterilization was validated as the most suitable sterilization technique to maintain the chemical structure of polyGGE sulfates. In conclusion, the conducted work proved that bulk polyGGE can be used as an antifouling coating material and shows its antimicrobial potential. Sulfates functionalization can be effectively realized using sulfamic acid/NMP. EtO sterilization is the most suitable sterilization technique for grafted sulfates. Besides, this thesis also offers a good strategy for the analysis of toxic leachable substances using suitable physicochemical characterization techniques. Future work will focus on minimizing/eliminating the release of toxic substances via reducing the crosslinking density. Another interesting aspect is to study whether grafted sulfates can meet the need for anti-thrombogenicity. N2 - Herz-Kreislauf-Erkrankungen sind weltweit die Haupttodesursache, und es wird erwartet, dass ihre Prävalenz in den kommenden Jahren zunehmen wird. Künstlicher Ersatz auf Polymerbasis wird in großem Umfang für die Behandlung von Herz-Kreislauf-Erkrankungen eingesetzt. Gerinnung und Thrombenbildung an den Grenzflächen zwischen den Materialien und der menschlichen physiologischen Umgebung sind ein Hauptproblem, das zum Versagen des Medizinprodukts bei der klinischen Implantation führt. Die Oberflächeneigenschaften der Materialien haben einen starken Einfluss auf die Proteinadsorption und können das Adhäsionsverhalten von Blutzellen an den Grenzflächen steuern. Darüber hinaus werden Implantat-assoziierte Infektionen durch bakterielle Adhäsion und anschließende Biofilmbildung an der Implantationsstelle ausgelöst. Daher ist es wichtig, die Hämokompatibilität eines Implantats durch Veränderung der Oberflächeneigenschaften zu verbessern. Eine der wirksamen Strategien ist die Oberflächenpassivierung, um die Fähigkeit zur Protein-/Zellabweisung zu erreichen und so das Thromboserisiko zu verringern. Diese Arbeit befasst sich mit der Synthese, Funktionalisierung, Sterilisation und biologischen Bewertung von Poly(glycerin glycidyl ether) (polyGGE), einem stark vernetzten Polymer auf Polyetherbasis, das durch kationische Ringöffnungspolymerisation hergestellt wird. Es wird angenommen, dass PolyGGE aufgrund seiner ähnlichen chemischen Struktur wie Polyethylenglykol und hyperverzweigtes Polyglycerin der Adsorption von Plasmaproteinen und der Anhaftung von Bakterien widerstehen kann. Die Hydroxyl-Endgruppen von PolyGGE können mit Sulfaten funktionalisiert werden, um die antithrombogene Funktion der endothelialen Glykokalyx zu imitieren. PolyGGE wurde durch Polymerisation des kommerziell erhältlichen Monomers Glycerin Glycidyl ether synthetisiert, das als Mischung aus Mono-, Di- und Triglycidylether charakterisiert wurde. Die kationische Ringöffnungspolymerisation dieses Monomers wurde mit Hilfe des Photoinitiators Diphenyliodoniumhexafluorophosphat durch Ultraviolett (UV) ausgelöst. Mit zunehmender UV-Härtungszeit nahmen mehr Epoxide in den Seitenketten der Monomere an der chemischen Vernetzung teil, was zu einem Anstieg des Elastizitätsmoduls führte, während der Wert der Bruchdehnung von polyGGE zunächst aufgrund der Ausbreitung der Polymerketten anstieg und dann mit zunehmender Vernetzungsdichte abnahm. Schließlich kann die Kettenausbreitung durch wässrige Kaliumhydroxidlösung wirksam gestoppt werden. PolyGGE wies im hydratisierten Zustand bei Körpertemperatur andere Zugeigenschaften auf als im trockenen Zustand bei Raumtemperatur. Sowohl der Elastizitätsmodul als auch die Werte der Bruchdehnung waren deutlich reduziert, wenn sie in Wasser bei 37 °C getestet wurden, was oberhalb der Glasübergangstemperatur von PolyGGE lag. Unter physiologischen Bedingungen entfalteten sich die Verflechtungen der PolyGGE-Netzwerke und das freie Volumen der Netzwerke wurde durch Wassermoleküle als Weichmacher ersetzt, was die Mobilität der Polymerketten erhöhte und zu einem niedrigeren Elastizitätsmodul führte. Die Proteinadsorptionsanalyse wurde an PolyGGE-Filmen mit 30-minütiger UV-Härtung unter Verwendung eines Enzymimmunoassays durchgeführt. PolyGGE konnte die Adsorption von Fibrinogen, Albumin und Fibronektin aus menschlichem Plasma an der Grenzfläche zwischen menschlichem Plasma und PolyGGE-Filmen wirksam verhindern. Die Proteinresistenz von PolyGGE war vergleichbar mit den Negativkontrollen: dem hämokompatiblen Polydimethylsiloxan, was sein Potenzial als Beschichtungsmaterial für kardiovaskuläre Implantate zeigt. Darüber hinaus zeigten antimikrobielle Tests der bakteriellen Aktivität mittels isothermischer Mikrokalorimetrie und das mikroskopische Bild der direkten Bakterienkultur, dass PolyGGE die Biofilmbildung und das Wachstum sowohl von gramnegativen als auch von antibiotikaresistenten grampositiven Bakterien direkt stören kann, was auf die potenzielle Anwendung von PolyGGE zur Bekämpfung des Risikos von Krankenhausinfektionen und zur Verhinderung der Ausbreitung arzneimittelresistenter Superbugs hinweist. Um die Zellkompatibilität zu untersuchen, wurden polyGGE-Folien mit verschiedenen Lösungsmitteln (Ethanol, Chloroform, Aceton) und Zellkulturmedium extrahiert. Indirekte Zytotoxizitätstests zeigten, dass die extrahierten polyGGE-Filme immer noch eine toxische Wirkung auf L929-Fibroblastenzellen hatten. Die Hochleistungsflüssigkeitschromatographie/Elektrospray-Ionisations-Massenspektrometrie zeigte das Auftreten von chlororganischen Derivaten, die während der Interaktion zwischen Polymer und Zellkulturmedium freigesetzt wurden. Ein konstantes Niveau dieser chlororganischen Derivate wurde vom GGE-Monomer durch einen spezifischen C-Cl-Streckungspeak im Infrarotspektrum von GGE bestätigt. Es wird angenommen, dass dies der Hauptgrund für die erhöhte Permeabilität der Zellmembran und die verringerte Stoffwechselaktivität ist, was zum Zelltod führt. Es wurden Versuche unternommen, die Lösungsmittel zu wechseln, um die toxischen Substanzen zu entfernen, aber die Freisetzung dieser kleinen Moleküle scheint nur langsam zu erfolgen. Die dicht vernetzten polyGGE-Netzwerke können möglicherweise zum Einschluss chloridhaltiger Verbindungen beitragen. Diese Ergebnisse liefern wertvolle Informationen für die Erforschung potenzieller toxischer Substanzen, die aus PolyGGE-Netzwerken ausgewaschen werden, und schlagen eine praktikable Strategie zur Minimierung der Zytotoxizität durch Verringerung der Vernetzungsdichte vor. Als Reagenzien für die Sulfatierung von PolyGGE-Oberflächen wurden Sulfaminsäure und N-Methyl-2-Pyrrolidon (NMP) gewählt. Die Fourier-Transformations-Infrarotspektroskopie mit abgeschwächter Totalreflexion (ATR-FT-IR) wurde zur Überwachung der Funktionalisierungskinetik eingesetzt, und die Ergebnisse bestätigten die erfolgreiche Sulfatpfropfung auf der Oberfläche von PolyGGE mit der kovalenten Bindung -C-O-S-. Mit Hilfe der Röntgen-Photoelektronenspektroskopie wurde die Elementzusammensetzung auf der Oberfläche und der Querschnitt des funktionalisierten PolyGGE bestimmt, und die Sulfatierung innerhalb von 15 Minuten garantiert, dass die Sulfatierung nur auf der Oberfläche stattfindet, während sie in der Masse des Polymers nicht vorkommt. Die Konzentration der gepfropften Sulfate nahm mit zunehmender Reaktionszeit zu. Die Hydrophilie der Oberfläche von polyGGE wurde durch die Zunahme negativ geladener Endgruppen stark erhöht. Für die PolyGGE-Sulfate wurden drei Sterilisationstechniken verwendet: Autoklavieren, Gammastrahlenbestrahlung und Ethylenoxid (EtO)-Sterilisation. Die Ergebnisse der quantitativen ATR-FT-IR und Toluidinblau O-Untersuchung zeigten den vollständigen Verlust der Sulfate nach der Sterilisation im Autoklaven, was auch durch den erhöhten Wasserkontaktwinkel bestätigt wurde. Bei den mit Gammastrahlen und im Autoklaven sterilisierten PolyGGE-Sulfaten wurde nur ein geringer Einfluss auf die Sulfatkonzentration festgestellt. Um den thermischen Einfluss auf PolyGGE-Sulfate zu untersuchen, bestand eine Strategie darin, ein Poly(hydroxyethylacrylat)-Sulfat (PHEAS) für die Modellierung zu verwenden. Das Profil der thermogravimetrischen Analyse von PHEAS zeigte, dass Sulfate unabhängig von den Substratmaterialien thermisch nicht stabil sind und die Zersetzung der Sulfate bei etwa 100 °C stattfindet. Obwohl die Gammasterilisation ebenfalls kaum negative Auswirkungen auf den Sulfatgehalt hat, deutet die Farbveränderung der PolyGGE-Sulfate darauf hin, dass chemische oder physikalische Veränderungen im Polymer auftreten könnten. Die EtO-Sterilisation erwies sich als die am besten geeignete Sterilisationstechnik, um die chemische Struktur der PolyGGE-Sulfate zu erhalten. Zusammenfassend lässt sich sagen, dass die durchgeführte Arbeit bewiesen hat, dass PolyGGE als Antifouling-Beschichtungsmaterial verwendet werden kann und sein antimikrobielles Potenzial zeigt. Die Funktionalisierung der Sulfate kann mit Sulfaminsäure/NMP effektiv durchgeführt werden. Die EtO-Sterilisation ist die am besten geeignete Sterilisationstechnik für gepfropfte Sulfate. Darüber hinaus bietet diese Arbeit auch eine gute Strategie für die Analyse toxischer auslaugbarer Substanzen mit Hilfe geeigneter physikalisch-chemischer Charakterisierungstechniken. Zukünftige Arbeiten werden sich darauf konzentrieren, die Freisetzung toxischer Substanzen durch Verringerung der Vernetzungsdichte zu minimieren bzw. zu eliminieren. Ein weiterer interessanter Aspekt ist die Untersuchung, ob gepfropfte Sulfate den Anforderungen an die Anti-Thrombogenität gerecht werden können. KW - Sulfation KW - Antifouling KW - antimicrobial KW - Polyether Y1 - 2022 ER - TY - CHAP A1 - Zhou, Neng-Fa T1 - What I have learned from all these solver competitions N2 - In this talk, I would like to share my experiences gained from participating in four CSP solver competitions and the second ASP solver competition. In particular, I’ll talk about how various programming techniques can make huge differences in solving some of the benchmark problems used in the competitions. These techniques include global constraints, table constraints, and problem-specific propagators and labeling strategies for selecting variables and values. I’ll present these techniques with experimental results from B-Prolog and other CLP(FD) systems. Y1 - 2010 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-41431 ER - TY - THES A1 - Zhang, Shuhao T1 - Synthesis and self-assembly of protein-polymer conjugates for the preparation of biocatalytically active membranes T1 - Synthese und Selbstassemblierung von Protein/Polymer-Konjugaten für die Herstellung einer biokatalytisch aktiven Membran N2 - This thesis covers the synthesis of conjugates of 2-Deoxy-D-ribose-5-phosphate aldolase (DERA) with suitable polymers and the subsequent immobilization of these conjugates in thin films via two different approaches. 2-Deoxy-D-ribose-5-phosphate aldolase (DERA) is a biocatalyst that is capable of converting acetaldehyde and a second aldehyde as acceptor into enantiomerically pure mono- and diyhydroxyaldehydes, which are important structural motifs in a number of pharmaceutically active compounds. Conjugation and immobilization renders the enzyme applicable for utilization in a continuously run biocatalytic process which avoids the common problem of product inhibition. Within this thesis, conjugates of DERA and poly(N-isopropylacrylamide) (PNIPAm) for immobilization via a self-assembly approach were synthesized and isolated, as well as conjugates with poly(N,N-dimethylacrylamide) (PDMAA) for a simplified and scalable spray-coating approach. For the DERA/PNIPAm-conjugates different synthesis routes were tested, including grafting-from and grafting-to, both being common methods for the conjugation. Furthermore, both lysines and cysteines were addressed for the conjugation in order to find optimum conjugation conditions. It turned out that conjugation via lysine causes severe activity loss as one lysine plays a key role in the catalyzing mechanism. The conjugation via the cysteines by a grafting-to approach using pyridyl disulfide (PDS) end-group functionalized polymers led to high conjugation efficiencies in the presence of polymer solubilizing NaSCN. The resulting conjugates maintained enzymatic activity and also gained high acetaldehyde tolerance which is necessary for their use later on in an industrial relevant process after their immobilization. The resulting DERA/PNIPAm conjugates exhibited enhanced interfacial activity at the air/water interface compared to the single components, which is an important pre-requisite for the immobilization via the self-assembly approach. Conjugates with longer polymer chains formed homogeneous films on silicon wafers and glass slides while the ones with short chains could only form isolated aggregates. On top of that, long chain conjugates showed better activity maintenance upon the immobilization. The crosslinking of conjugates, as well as their fixation on the support materials, are important for the mechanical stability of the films obtained from the self-assembly process. Therefore, in a second step, we introduced the UV-crosslinkable monomer DMMIBA to the PNIPAm polymers to be used for conjugation. The introduction of DMMIBA reduced the lower critical solution temperature (LCST) of the polymer and thus the water solubility at ambient conditions, resulting in lower conjugation efficiencies and in turn slightly poorer acetaldehyde tolerance of the resulting conjugates. Unlike the DERA/PNIPAm, the conjugates from the copolymer P(NIPAM-co-DMMIBA) formed continuous, homogenous films only after the crosslinking step via UV-treatment. For a firm binding of the crosslinked films, a functionalization protocol for the model support material cyclic olefin copolymer (COC) and the final target support, PAN based membranes, was developed that introduces analogue UV-reactive groups to the support surface. The conjugates immobilized on the modified COC films maintained enzymatic activity and showed good mechanical stability after several cycles of activity assessment. Conjugates with longer polymer chains, however, showed a higher degree of crosslinking after the UV-treatment leading to a pronounced loss of activity. A porous PAN membrane onto which the conjugates were immobilized as well, was finally transferred to a dead end filtration membrane module to catalyze the aldol reaction of the industrially relevant mixture of acetaldehyde and hexanal in a continuous mode. Mono aldol product was detectable, but yields were comparably low and the operational stability needs to be further improved Another approach towards immobilization of DERA conjugates that was followed, was to generate the conjugates in situ by simply mixing enzyme and polymer and spray coat the mixture onto the membrane support. Compared to the previous approach, the focus was more put on simplicity and a possible scalability of the immobilization. Conjugates were thus only generated in-situ and not further isolated and characterized. For the conjugation, PDMAA equipped with N-2-thiolactone acrylamide (TlaAm) side chains was used, an amine-reactive comonomer that can react with the lysine residues of DERA, as well as with amino groups introduced to a desired support surface. Furthermore disulfide formation after hydrolysis of the Tla groups causes a crosslinking effect. The synthesized copolymer poly(N,N-Dimethylacrylamide-co-N-2-thiolactone acrylamide) (P(DMAA-co-TlaAm)) thus serves a multiple purpose including protein binding, crosslinking and binding to support materials. The mixture of DERA and polymer could be immobilized on the PAN support by spray-coating under partial maintenance of enzymatic activity. To improve the acetaldehyde tolerance, the polymer in used was further equipped with cysteine reactive PDS end-groups that had been used for the conjugation as described in the first part of the thesis. The generated conjugates indeed showed good acetaldehyde tolerance and were thus used to be coated onto PAN membrane supports. Post treatment with a basic aqueous solution of H2O2 was supposed to further crosslink the spray-coated film hydrolysis and oxidation of the thiolactone groups. However, a washing off of the material was observed. Optimization is thus still necessary. N2 - Die vorliegende Arbeit beschreibt die Synthese von Konjugaten aus 2-Deoxy-D-ribose-5-phosphat aldolase (DERA) und geeigneten Polymeren sowie deren nachfolgende Immobilisierung in dünnen Filmen mittels zwei verschiedener Herangehensweisen. DERA ist ein Biokatalysator, der in der Lage ist, Acetaldehyd mit einem weiteren Aldehyd zu enantiomerenreinen Mono- und Dihydroxyaldehyden zu verknüpfen. Diese Verbindungen sind wichtige Strukturmotive für eine Reihe von pharmazeutisch aktiven Verbindungen. Konjugation und Immobilisierung machen das Enzym nutzbar für den Einsatz in einem kontinuierlich betriebenen, biokatalytischen Prozess, welcher das bekannte Problem der Produktinhibierung umgeht. In der vorliegenden Arbeit wurden einerseits Konjugate aus DERA und Poly(N-isopropylacrylamid) (PNIPAm) für die Immobilisierung mittels eines Selbstassemblierungsverfahrens synthetisiert und isoliert, sowie andererseits entsprechende Konjugate mit Poly(N,N-dimethylacrylamid) (PDMAA) für ein vereinfachtes und skalierbares Immobilisierungsverfahren mittels Sprühauftrag hergestellt. Für die DERA/PNIPAm-Konjugate wurden verschiedene Syntheserouten getestet, einschließlich grafting-from und grafting-to. Beide Methoden werden standardmäßig für entsprechende Konjugationen eingesetzt. Weiterhin wurden sowohl die Lysine als auch die Cysteine des Enzyms für die Konjugation herangezogen, um optimale Konjugationsbedingungen zu finden. Konjugation über die Lysine verursachte deutliche Aktivitätsverluste, da ein Lysin auch die Schlüsselrolle im katalytischen Mechanismus des Enzyms spielt. Die Konjugation über die Cysteine sowie einen grafting-to-Ansatz unter Nutzung eines entsprechenden Polymers mit cysteinreaktiver Pyridyldisulfid-Endgruppe (PDS) führte zu einer hohen Konjugationseffizienz, sofern polymersolubilisierendes NaSCN eingesetzt wurde. Die resultierenden Konjugate behielten ihre enzymatische Aktivität bei deutlich gesteigerter Toleranz gegenüber Acetaldehyd. Beide Aspekte sind wichtig für den Einsatz des Enzyms in einem industriell relevanten Prozess nach dem Immobilisierungsschritt. Die DERA/PNIPAm-Konjugate zeigten eine erhöhte Oberflächenaktivität im Vergleich zu den Einzelkomponenten, was eine wichtige Voraussetzung für die Immobilisierung über eine Selbstassemblierung darstellt. Konjugate mit relativ langen Polymerketten bildeten nach dem Selbstassemblierungsschritt homogene Filme auf Silizium-Wafern und Glass-Objektträgern während Konjugate mit kurzen Ketten nur isolierte Aggregate bildeten. Darüber hinaus zeigten die Konjugate mit längeren Ketten einen besseren Erhalt der Enzymaktivität im Zuge der Immobilisierung. Die nachträgliche Vernetzung der Konjugate, sowie ihre feste Anbindung an die Trägermaterialien sind wichtige Voraussetzungen für die mechanische Stabilität des aus dem Selbstassemblierungsschritt erhaltenen Films. Aus diesem Grund wurde in einem zweiten Schritt das UV-vernetzbare Monomer DMMIBA in das für die Konjugation vorgesehene, PNIPAm-basierte Polymer eingeführt. Die Einbindung von DMMIBA setzte die untere kritische Lösungstemperatur (LCST) und damit die Löslichkeit des Polymers in Wasser bei Raumtemperatur herab. Dies führte zu niedrigeren Konjugationseffizienzen und damit zu einer etwas schlechteren Acetaldehydtoleranz der resultierenden Konjugate. Anders als im Fall von DERA/PNIPAm, bildeten die mit P(NIPAM-co-DMMIBA) synthetisierten Konjugate einen homogenen Film nur nach Vernetzung mittels UV-Behandlung aus. Für eine feste Anbindung des vernetzten Films wurde ein Funktionalisierungsprotokoll für das Modell-Trägermaterial aus cycloolefinischem Copolymer (COC) und das letztliche Zielmaterial, PAN-basierte Membranen, entwickelt, welches analoge UV-reaktive Gruppen auf der Trägeroberfläche erzeugt. Die auf COC immobilisierten Konjugate bewahrten ihre Enzymaktivität und zeigten eine gute mechanische Stabilität nach mehreren Aktivitäts-Messzyklen. Der Einsatz von Konjugaten mit längeren Polymerketten führte jedoch zu Filmen mit zu hohem Vernetzungsgrad was einen deutlichen Aktivitätsverlust bedingte. Eine poröse, PAN-basierte Membran, auf welcher die Konjugate ebenso immobilisiert wurden, wurde schlussendlich in ein Dead-End-Filtrationsmodul überführt, um die Aldolreaktion eines industriell relevanten Gemisches aus Acetaldehyd und Hexanal in einem kontinuierlich betriebenen Verfahren durchzuführen. Es konnte Monoaldolprodukt detektiert werden, jedoch waren die Ausbeuten vergleichsweise niedrig, während sich die operative Stabilität als verbesserungswürdig erwies. Ein weiterer Immobilisierungsansatz für DERA-Konjugate, beinhaltete die in-situ-Generierung der Konjugate durch einfaches Vermischen von Enzym und Polymer gefolgt von unmittelbaren Auftrag des Materials auf ein Membranträgermaterial mittels Sprühen. Im Vergleich zum ersten Ansatz lag der Fokus hier mehr auf der Einfachheit und prinzipiellen Skalierbarkeit der Immobilisierung. Daher wurden die Konjugate hier nur in-situ erzeugt und nicht weiter isoliert sowie charakterisiert. Für die Konjugation wurde PDMAA herangezogen, welches mit Thiolactongruppen entlang der Seitenkette ausgerüstet ist. Die Thiolactongruppen sind reaktiv gegenüber Aminen und können daher sowohl mit den Lysineinheiten der DERA reagieren als auch mit Aminogruppen, die im Vorfeld auf dem Trägermaterial erzeugt wurden. Darüber hinaus können durch Hydrolyse der Thiolactoneinheiten sowie anschließender Ausbildung von Disulfidbrücken Vernetzungspunkte erzeugt werden. Das hergestellte Copolymer poly(N,N-Dimethylacrylamide-co-N-2-thiolactone acrylamide) (P(DMAA-co-TlaAm) übernimmt daher mehrere Aufgaben einschließlich Proteinbindung, Vernetzung und Anbindung an das Trägermaterial. Mischungen aus DERA und Polymer konnten durch Sprühauftrag auf funktionalisierten PAN-Trägermaterialien unter teilweisem Erhalt der Enzymaktivität immobilisiert werden. Um auch hier die Acetaldehydtoleranz zu verbessern, wurde das Polymer in einem zweiten Schritt wieder mit PDS-Endgruppen ausgerüstet, die schon zuvor im ersten Teil der Arbeit für die Konjugatsynthese mittels grafting-to herangezogen wurden. Die hergestellten Konjugate zeigten eine gute Acetaldehydtoleranz und wurden daher verwendet, um PAN-Membranen zu beschichten. Eine Nachbehandlung mittels einer basischen Wasserstoffperoxidlösung sollte den aufgesprühten Film vernetzen. Im Ergebnis wurde jedoch ein großer Teil des aufgebrachten Materials im Zuge dieses Schritts heruntergewaschen. Eine weitere Optimierung dieses Schritts ist daher noch notwendig. KW - 2-deoxy-D-ribose-5-phoshphate aldolase KW - enzyme immobilization KW - enzymatically active membrane KW - enzyme/polymer conjugate KW - self-assembly Y1 - 2019 ER - TY - THES A1 - Zeuschner, Steffen Peer T1 - Magnetoacoustics observed with ultrafast x-ray diffraction N2 - In the present thesis I investigate the lattice dynamics of thin film hetero structures of magnetically ordered materials upon femtosecond laser excitation as a probing and manipulation scheme for the spin system. The quantitative assessment of laser induced thermal dynamics as well as generated picosecond acoustic pulses and their respective impact on the magnetization dynamics of thin films is a challenging endeavor. All the more, the development and implementation of effective experimental tools and comprehensive models are paramount to propel future academic and technological progress. In all experiments in the scope of this cumulative dissertation, I examine the crystal lattice of nanoscale thin films upon the excitation with femtosecond laser pulses. The relative change of the lattice constant due to thermal expansion or picosecond strain pulses is directly monitored by an ultrafast X-ray diffraction (UXRD) setup with a femtosecond laser-driven plasma X-ray source (PXS). Phonons and spins alike exert stress on the lattice, which responds according to the elastic properties of the material, rendering the lattice a versatile sensor for all sorts of ultrafast interactions. On the one hand, I investigate materials with strong magneto-elastic properties; The highly magnetostrictive rare-earth compound TbFe2, elemental Dysprosium or the technological relevant Invar material FePt. On the other hand I conduct a comprehensive study on the lattice dynamics of Bi1Y2Fe5O12 (Bi:YIG), which exhibits high-frequency coherent spin dynamics upon femtosecond laser excitation according to the literature. Higher order standing spinwaves (SSWs) are triggered by coherent and incoherent motion of atoms, in other words phonons, which I quantified with UXRD. We are able to unite the experimental observations of the lattice and magnetization dynamics qualitatively and quantitatively. This is done with a combination of multi-temperature, elastic, magneto-elastic, anisotropy and micro-magnetic modeling. The collective data from UXRD, to probe the lattice, and time-resolved magneto-optical Kerr effect (tr-MOKE) measurements, to monitor the magnetization, were previously collected at different experimental setups. To improve the precision of the quantitative assessment of lattice and magnetization dynamics alike, our group implemented a combination of UXRD and tr-MOKE in a singular experimental setup, which is to my knowledge, the first of its kind. I helped with the conception and commissioning of this novel experimental station, which allows the simultaneous observation of lattice and magnetization dynamics on an ultrafast timescale under identical excitation conditions. Furthermore, I developed a new X-ray diffraction measurement routine which significantly reduces the measurement time of UXRD experiments by up to an order of magnitude. It is called reciprocal space slicing (RSS) and utilizes an area detector to monitor the angular motion of X-ray diffraction peaks, which is associated with lattice constant changes, without a time-consuming scan of the diffraction angles with the goniometer. RSS is particularly useful for ultrafast diffraction experiments, since measurement time at large scale facilities like synchrotrons and free electron lasers is a scarce and expensive resource. However, RSS is not limited to ultrafast experiments and can even be extended to other diffraction techniques with neutrons or electrons. N2 - In der vorliegenden Arbeit untersuche ich die Gitterdynamik von magnetisch geordneten und dünnen Filmen, deren Spinsystem mit Femtosekunden-Laserpulsen angeregt und untersucht wird. Die Quantifizierung der laserinduzierten thermischen Dynamik, der erzeugten Pikosekunden-Schallpulse sowie deren jeweiliger Einfluss auf die Magnetisierungsdynamik ist ein schwieriges Unterfangen. Umso mehr ist die Entwicklung und Anwendung von effizienten experimentellen Konzepten und umfangreichen Modellen grundlegend für das Antreiben des zukünftigen wissenschaftlichen und technologischen Fortschritt. In jedem Experiment dieser kummulativen Dissertation untersuche ich das Kristallgitter von Nanometer dünnen Filmen nach der Anregung mit Femtosekunden-Laserpulsen. Die relative Änderung der Gitterkonstante, hervorgerufen durch thermische Ausdehnung oder Pikosekunden-Schallpulse, wird dabei direkt mittels ultraschneller Röntgenbeugung (UXRD) gemessen. Der Aufbau nutzt zur Bereitstellung von ultrakurzen Röntgenpulsen eine lasergetriebene Plasma-Röntgenquelle (PXS). Phononen und Spins üben gleichermaßen einen Druck auf das Gitter aus, welches entsprechend der elastsischen Eigenschaften des Materials reagiert, was das Gitter zu einem vielseitigen Sensor für ultraschenlle Wechselwirkungen macht. Zum einen untersuche ich Materialien mit starken magnetoelastischen Eigentschaften: die stark magnetostriktive Seltenen-Erden-Verbindung TbFe2, elementares Dysprosium oder das technologisch relavante Invar-Material FePt. Zum anderen habe ich eine umfangreiche Studie der Gitterdynamik von Bi1Y2Fe5O12 (Bi:YIG) angestellt, in dem der Literatur zufolge hochfrequente kohärente Spindynamiken durch Femtosekunden-Laseranregung zu beobachten sind. Diese stehenden Spinwellen (SSWs) höherer Ordnung entstehen durch die kohärente und inkohärente Bewegung von Atomen, in anderen Worten Phononen, welche ich durch UXRD vermessen habe. Somit sind wir in der Lage, die experimentellen Beobachtungen der Gitter- und Spindynamik qualitativ und quantitativ zu vereinigen. Dies geschieht durch eine Kombination von Viel-Temperatur- und Anisotropiemodellierung sowie elastische, magnetoelastische, und mikromagnetsiche Modelle. Die gemeinsamen Daten von UXRD und der zeitaufgelösten magnetooptischen Kerr-Effekt Messungen (tr-MOKE), um jeweils die Gitter- und Spindynamik zu messen, wurden in der Vergangenheit noch an unterschiedlichen experimentellen Aufbauten gemessen. Um die Quantifizierung präziser zu gestalten, haben wir in unserer Arbeitsgruppe UXRD und tr-MOKE in einem einzigen Aufbau kombiniert, welcher somit meines Wissens der erste seiner Art ist. Ich half bei dem Entwurf und der Inbetriebnahme des neuen Aufbaus, welcher die gleichzeitige Messung von Gitter- und Spindynamik auf einer ultraschnellen Zeitskala unter identischen Anregungsbedingungen ermöglicht. Außerdem entwickelte ich eine neue Messroutine für Röntgenbeugung, welche die Messzeit von UXRD-Experimenten um bis zu einer Größenordnungen reduziert. Es nennt sich das Schneiden des reziproken Raumes (reciprocal space slicing, RSS) und nutzt den Vorteil von Flächendetektoren die Bewegung von Beugungsreflexen zu detektieren, was von einer Änderung der Gitterkonstante einhergeht, ohne zeitintensive Scans der Beugungswinkel mit dem Goniometer durchzuführen. RSS ist besonders nützlich für ultraschnelle Beugungsexperimente, weil die Messzeit an Großgeräten wie Synchrotrons oder Freie Elektronen Laser eine seltene und teure Ressource ist. Darüber hinaus ist RSS nicht zwangsläufig auf die Anwendung in ultraschnellen Experimenten beschränkt und kann sogar auf andere Beugungsexperimente, wie die mit Neutronen und Elektronen, ausgeweitet werden. KW - ultrafast KW - X-ray diffraction KW - thin films KW - magnetoelasticity KW - ultraschnell KW - Röntgenbeugung KW - dünne Filme KW - Magnetoelastizität Y1 - 2022 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-561098 ER - TY - THES A1 - Zeitz, Maria T1 - Modeling the future resilience of the Greenland Ice Sheet T1 - Numerische Modellierung der zukünftigen Resilienz des grönländischen Eisschildes BT - from the flow of ice to the interplay of feedbacks N2 - The Greenland Ice Sheet is the second-largest mass of ice on Earth. Being almost 2000 km long, more than 700 km wide, and more than 3 km thick at the summit, it holds enough ice to raise global sea levels by 7m if melted completely. Despite its massive size, it is particularly vulnerable to anthropogenic climate change: temperatures over the Greenland Ice Sheet have increased by more than 2.7◦C in the past 30 years, twice as much as the global mean temperature. Consequently, the ice sheet has been significantly losing mass since the 1980s and the rate of loss has increased sixfold since then. Moreover, it is one of the potential tipping elements of the Earth System, which might undergo irreversible change once a warming threshold is exceeded. This thesis aims at extending the understanding of the resilience of the Greenland Ice Sheet against global warming by analyzing processes and feedbacks relevant to its centennial to multi-millennial stability using ice sheet modeling. One of these feedbacks, the melt-elevation-feedback is driven by the temperature rise with decreasing altitudes: As the ice sheet melts, its thickness and surface elevation decrease, exposing the ice surface to warmer air and thus increasing the melt rates even further. The glacial isostatic adjustment (GIA) can partly mitigate this melt-elevation feedback as the bedrock lifts in response to an ice load decrease, forming the negative GIA feedback. In my thesis, I show that the interaction between these two competing feedbacks can lead to qualitatively different dynamical responses of the Greenland Ice Sheet to warming – from permanent loss to incomplete recovery, depending on the feedback parameters. My research shows that the interaction of those feedbacks can initiate self-sustained oscillations of the ice volume while the climate forcing remains constant. Furthermore, the increased surface melt changes the optical properties of the snow or ice surface, e.g. by lowering their albedo, which in turn enhances melt rates – a process known as the melt-albedo feedback. Process-based ice sheet models often neglect this melt-albedo feedback. To close this gap, I implemented a simplified version of the diurnal Energy Balance Model, a computationally efficient approach that can capture the first-order effects of the melt-albedo feedback, into the Parallel Ice Sheet Model (PISM). Using the coupled model, I show in warming experiments that the melt-albedo feedback almost doubles the ice loss until the year 2300 under the low greenhouse gas emission scenario RCP2.6, compared to simulations where the melt-albedo feedback is neglected, and adds up to 58% additional ice loss under the high emission scenario RCP8.5. Moreover, I find that the melt-albedo feedback dominates the ice loss until 2300, compared to the melt-elevation feedback. Another process that could influence the resilience of the Greenland Ice Sheet is the warming induced softening of the ice and the resulting increase in flow. In my thesis, I show with PISM how the uncertainty in Glen’s flow law impacts the simulated response to warming. In a flow line setup at fixed climatic mass balance, the uncertainty in flow parameters leads to a range of ice loss comparable to the range caused by different warming levels. While I focus on fundamental processes, feedbacks, and their interactions in the first three projects of my thesis, I also explore the impact of specific climate scenarios on the sea level rise contribution of the Greenland Ice Sheet. To increase the carbon budget flexibility, some warming scenarios – while still staying within the limits of the Paris Agreement – include a temporal overshoot of global warming. I show that an overshoot by 0.4◦C increases the short-term and long-term ice loss from Greenland by several centimeters. The long-term increase is driven by the warming at high latitudes, which persists even when global warming is reversed. This leads to a substantial long-term commitment of the sea level rise contribution from the Greenland Ice Sheet. Overall, in my thesis I show that the melt-albedo feedback is most relevant for the ice loss of the Greenland Ice Sheet on centennial timescales. In contrast, the melt-elevation feedback and its interplay with the GIA feedback become increasingly relevant on millennial timescales. All of these influence the resilience of the Greenland Ice Sheet against global warming, in the near future and on the long term. N2 - Das grönländische Eisschild ist die zweitgrößte Eismasse der Erde. Es fasst genug Eis, um den globalen Meeresspiegel um 7m anzuheben, wenn er vollständig schmilzt. Trotz seiner Größe ist es durch den vom Menschen verursachten Klimawandel immens gefährdet: Die Temperaturen über Grönland sind in den letzten 30 Jahren um mehr als 2,7◦C gestiegen, doppelt so stark wie im globalen Mittel. Daher verliert das Eisschild seit den 1980er Jahren an Masse und die Verlustrate hat sich seitdem versechsfacht. Zudem ist das grönländische Eisschild ein Kippelement des Erdsystems, es könnte sich unwiederbringlich verändern, wenn die globale Erwärmung einen Schwellwert überschreiten sollte. Ziel dieser Arbeit ist es, das Verständnis für die Resilienz des grönländischen Eisschildes zu erweitern, indem relevante Rückkopplungen und Prozesse analysiert werden. Eine dieser Rückkopplungen, die positive Schmelz-Höhen-Rückkopplung wird durch den Temperaturanstieg bei abnehmender Höhe angetrieben: Wenn der Eisschild schmilzt, nehmen seine Dicke und die Oberflächenhöhe ab, wodurch die Eisoberfläche wärmerer Luft ausgesetzt wird und die Schmelzraten noch weiter ansteigen. Die glaziale isostatische Anpassung (GIA) kann die Schmelz-Höhen-Rückkopplung teilweise abschwächen, da sich der Erdmantel als Reaktion auf die abnehmende Eislast hebt und so die negative GIA-Rückkopplung bildet. Ich zeige, dass die Interaktion zwischen diesen beiden konkurrierenden Rückkopplungen zu qualitativ unterschiedlichem dynamischen Verhalten des grönländischen Eisschildes bei Erwärmung führen kann - von permanentem Verlust bis hin zu unvollständiger Erholung. Das Zusammenspiel dieser Rückkopplungen kann zudem Oszillationen des Eisvolumens in einem konstanten Klima auslösen. Die verstärkte Oberflächenschmelze ändert die optischen Eigenschaften von Schnee und Eis und verringert deren Albedo, was wiederum die Schmelzraten erhöht – die sogenannte Schmelz-Albedo Rückkopplung. Da viele Eisschildmodelle diese vernachlässigen, habe ich eine vereinfachte Version des tageszeitlichen Energiebilanzmodells, welches die Effekte der Schmelz-Albedo-Rückkopplung erster Ordnung erfassen kann, in das Eisschildmodell PISM implementiert. Mithilfe des gekoppelten Modells zeige ich, dass die Schmelz-Albedo-Rückkopplung den Eisverlust bis zum Jahr 2300 im moderaten Klimaszenario RCP2.6 fast verdoppelt und im RCP8.5-Szenario, welches von starken Emissionen ausgeht, bis zu 58% zusätzlichen Eisverlust verursacht, im Vergleich zu Simulationen in denen die Schmelz-Albedo-Rückkopplung vernachlässigt wird. Bis zum Jahr 2300 trägt die Schmelz-Albedo-Rückkopplung mehr zum Eisverlust bei als die Schmelz-Höhen-Rückkopplung. Ein weiterer Prozess, der die Widerstandsfähigkeit des grönländischen Eisschilds beeinflussen könnte, ist die Erweichung des Eises bei steigenden Temperaturen, sowie die daraus resultierende Zunahme des Eisflusses. In meiner Dissertation zeige ich, wie sich die parametrische Unsicherheit in dem Flussgesetz auf die Ergebnisse von PISM Simulationen bei Erwärmung auswirkt. In einem idealisierten, zweidimensionalen Experiment mit fester klimatischer Massenbilanz führt die Unsicherheit in den Strömungsparametern zu einer Bandbreite des Eisverlustes, die mit der Bandbreite durch unterschiedliche Erwärmungen vergleichbar ist. Neben den grundsätzlichen Prozessen und Rückkopplungen untersuchte ich auch die Auswirkungen konkreter Klimaszenarien auf den Eisverlust von Grönland. Um die Flexibilität des Kohlenstoffbudgets zu erhöhen sehen einige Erwärmungsszenarien eine temporäre Überschreitung der globalen Temperaturen über das Ziel von 1,5◦C vor. Ich zeige, dass eine solche Temperaturerhöhung den kurz- und langfristigen Eisverlust von Grönland um mehrere Zentimeter erhöht. Der langfristige Meeresspiegelanstieg ist auf die anhaltende Temperaturerhöhung in hohen Breitengraden zurückzuführen. Solche Prozesse führen zu einem langfristigen und bereits festgelegtem Meeresspiegelanstieg, selbst wenn die Temperaturen nicht weiter steigen. Insgesamt zeige ich in meiner Arbeit, dass die Schmelz-Albedo-Rückkopplung für den Eisverlust des grönländischen Eisschilds in den nächsten Jahrhunderten am wichtigsten ist. Im Gegensatz dazu werden die Schmelz-Höhen-Rückkopplung und ihr Zusammenspiel mit der GIA-Rückkopplung auf längeren Zeiträumen immer relevanter. KW - Greenland Ice Sheet KW - ice-flow modeling KW - sea-level rise KW - Grönländisches Eisschild KW - Computersimulation KW - Meeresspiegelanstieg Y1 - 2022 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-568839 ER - TY - CHAP A1 - Zeilinger, Gerold A1 - Mutti, Maria A1 - Strecker, Manfred A1 - Rehak, Katrin A1 - Bookhagen, Bodo A1 - Schwab, Marco T1 - Integration of digital elevation models and satellite images to investigate geological processes. N2 - In order to better understand the geological boundary conditions for ongoing or past surface processes geologists face two important questions: 1) How can we gain additional knowledge about geological processes by analyzing digital elevation models (DEM) and satellite images and 2) Do these efforts present a viable approach for more efficient research. Here, we will present case studies at a variety of scales and levels of resolution to illustrate how we can substantially complement and enhance classical geological approaches with remote sensing techniques. Commonly, satellite and DEM based studies are being used in a first step of assessing areas of geologic interest. While in the past the analysis of satellite imagery (e.g. Landsat TM) and aerial photographs was carried out to characterize the regional geologic characteristics, particularly structure and lithology, geologists have increasingly ventured into a process-oriented approach. This entails assessing structures and geomorphic features with a concept that includes active tectonics or tectonic activity on time scales relevant to humans. In addition, these efforts involve analyzing and quantifying the processes acting at the surface by integrating different remote sensing and topographic data (e.g. SRTM-DEM, SSM/I, GPS, Landsat 7 ETM, Aster, Ikonos…). A combined structural and geomorphic study in the hyperarid Atacama desert demonstrates the use of satellite and digital elevation data for assessing geological structures formed by long-term (millions of years) feedback mechanisms between erosion and crustal bending (Zeilinger et al., 2005). The medium-term change of landscapes during hundred thousands to millions years in a more humid setting is shown in an example from southern Chile. Based on an analysis of rivers/watersheds combined with landscapes parameterization by using digital elevation models, the geomorphic evolution and change in drainage pattern in the coastal Cordillera can be quantified and put into the context of seismotectonic segmentation of a tectonically active region. This has far-reaching implications for earthquake rupture scenarios and hazard mitigation (K. Rehak, see poster on IMAF Workshop). Two examples illustrate short-term processes on decadal, centennial and millennial time scales: One study uses orogen scale precipitation gradients derived from remotely sensed passive microwave data (Bookhagen et al., 2005a). They demonstrate how debris flows were triggered as a response of slopes to abnormally strong rainfall in the interior parts of the Himalaya during intensified monsoons. The area of the orogen that receives high amounts of precipitation during intensified monsoons also constitutes numerous landslide deposits of up to 1km3 volume that were generated during intensified monsoon phase at about 27 and 9 ka (Bookhagen et al., 2005b). Another project in the Swiss Alps compared sets of aerial photographs recorded in different years. By calculating high resolution surfaces the mass transport in a landslide could be reconstructed (M. Schwab, Universität Bern). All these examples, although representing only a short and limited selection of projects using remote sense data in geology, have as a common approach the goal to quantify geological processes. With increasing data resolution and new sensors future projects will even enable us to recognize more patterns and / or structures indicative of geological processes in tectonically active areas. This is crucial for the analysis of natural hazards like earthquakes, tsunamis and landslides, as well as those hazards that are related to climatic variability. The integration of remotely sensed data at different spatial and temporal scales with field observations becomes increasingly important. Many of presently highly populated places and increasingly utilized regions are subject to significant environmental pressure and often constitute areas of concentrated economic value. Combined remote sensing and ground-truthing in these regions is particularly important as geologic, seismicity and hydrologic data may be limited here due to the recency of infrastructural development. Monitoring ongoing processes and evaluating the remotely sensed data in terms of recurrence of events will greatly enhance our ability to assess and mitigate natural hazards.
Dokument 1: Foliensatz | Dokument 2: Abstract
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-7063 ER - TY - CHAP A1 - Zarrieß, Sina A1 - Seeker, Wolfgang T1 - Finite-state rule deduction for parsing non-constituent coordination N2 - In this paper, we present a finite-state approach to constituency and therewith an analysis of coordination phenomena involving so-called non-constituents. We show that non-constituents can be seen as parts of fully-fledged constituents and therefore be coordinated in the same way. We have implemented an algorithm based on finite state automata that generates an LFG grammar assigning valid analyses to non-constituent coordination structures in the German language. Y1 - 2008 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-27254 ER - TY - CHAP A1 - Yli-Jyrä, Anssi T1 - Applications of diamonded double negation N2 - Nested complementation plays an important role in expressing counter- i.e. star-free and first-order definable languages and their hierarchies. In addition, methods that compile phonological rules into finite-state networks use double-nested complementation or “double negation”. This paper reviews how the double-nested complementation extends to a relatively new operation, generalized restriction (GR), coined by the author (Yli-Jyrä and Koskenniemi 2004). This operation encapsulates a double-nested complementation and elimination of a concatenation marker, diamond, whose finite occurrences align concatenations in the arguments of the operation. The paper demonstrates that the GR operation has an interesting potential in expressing regular languages, various kinds of grammars, bimorphisms and relations. This motivates a further study of optimized implementation of the operator. Y1 - 2008 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-27109 ER - TY - CHAP A1 - Yli-Jyrä, Anssi T1 - Transducers from parallel replace rules and modes with generalized lenient composition N2 - Generalized Two-Level Grammar (GTWOL) provides a new method for compilation of parallel replacement rules into transducers. The current paper identifies the role of generalized lenient composition (GLC) in this method. Thanks to the GLC operation, the compilation method becomes bipartite and easily extendible to capture various application modes. In the light of three notions of obligatoriness, a modification to the compilation method is proposed. We argue that the bipartite design makes implementation of parallel obligatoriness, directionality, length and rank based application modes extremely easy, which is the main result of the paper. Y1 - 2008 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-27246 ER - TY - THES A1 - Yishai, Oren T1 - Engineering the reductive glycine pathway in Escherichia coli Y1 - 2019 ER - TY - JOUR A1 - Ye, Fangyuan A1 - Zhang, Shuo A1 - Warby, Jonathan A1 - Wu, Jiawei A1 - Gutierrez-Partida, Emilio A1 - Lang, Felix A1 - Shah, Sahil A1 - Saglamkaya, Elifnaz A1 - Sun, Bowen A1 - Zu, Fengshuo A1 - Shoai, Safa A1 - Wang, Haifeng A1 - Stiller, Burkhard A1 - Neher, Dieter A1 - Zhu, Wei-Hong A1 - Stolterfoht, Martin A1 - Wu, Yongzhen T1 - Overcoming C₆₀-induced interfacial recombination in inverted perovskite solar cells by electron-transporting carborane JF - Nature Communications N2 - Inverted perovskite solar cells still suffer from significant non-radiative recombination losses at the perovskite surface and across the perovskite/C₆₀ interface, limiting the future development of perovskite-based single- and multi-junction photovoltaics. Therefore, more effective inter- or transport layers are urgently required. To tackle these recombination losses, we introduce ortho-carborane as an interlayer material that has a spherical molecular structure and a three-dimensional aromaticity. Based on a variety of experimental techniques, we show that ortho-carborane decorated with phenylamino groups effectively passivates the perovskite surface and essentially eliminates the non-radiative recombination loss across the perovskite/C₆₀ interface with high thermal stability. We further demonstrate the potential of carborane as an electron transport material, facilitating electron extraction while blocking holes from the interface. The resulting inverted perovskite solar cells deliver a power conversion efficiency of over 23% with a low non-radiative voltage loss of 110 mV, and retain >97% of the initial efficiency after 400 h of maximum power point tracking. Overall, the designed carborane based interlayer simultaneously enables passivation, electron-transport and hole-blocking and paves the way toward more efficient and stable perovskite solar cells. Y1 - 2022 U6 - https://doi.org/10.1038/s41467-022-34203-x SN - 2041-1723 VL - 13 PB - Springer Nature CY - London ER - TY - GEN A1 - Ye, Fangyuan A1 - Zhang, Shuo A1 - Warby, Jonathan A1 - Wu, Jiawei A1 - Gutierrez-Partida, Emilio A1 - Lang, Felix A1 - Shah, Sahil A1 - Saglamkaya, Elifnaz A1 - Sun, Bowen A1 - Zu, Fengshuo A1 - Shoaee, Safa A1 - Wang, Haifeng A1 - Stiller, Burkhard A1 - Neher, Dieter A1 - Zhu, Wei-Hong A1 - Stolterfoht, Martin A1 - Wu, Yongzhen T1 - Overcoming C₆₀-induced interfacial recombination in inverted perovskite solar cells by electron-transporting carborane T2 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe N2 - Inverted perovskite solar cells still suffer from significant non-radiative recombination losses at the perovskite surface and across the perovskite/C₆₀ interface, limiting the future development of perovskite-based single- and multi-junction photovoltaics. Therefore, more effective inter- or transport layers are urgently required. To tackle these recombination losses, we introduce ortho-carborane as an interlayer material that has a spherical molecular structure and a three-dimensional aromaticity. Based on a variety of experimental techniques, we show that ortho-carborane decorated with phenylamino groups effectively passivates the perovskite surface and essentially eliminates the non-radiative recombination loss across the perovskite/C₆₀ interface with high thermal stability. We further demonstrate the potential of carborane as an electron transport material, facilitating electron extraction while blocking holes from the interface. The resulting inverted perovskite solar cells deliver a power conversion efficiency of over 23% with a low non-radiative voltage loss of 110 mV, and retain >97% of the initial efficiency after 400 h of maximum power point tracking. Overall, the designed carborane based interlayer simultaneously enables passivation, electron-transport and hole-blocking and paves the way toward more efficient and stable perovskite solar cells. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 1317 Y1 - 2022 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-587705 SN - 1866-8372 IS - 1317 ER - TY - JOUR A1 - Yang, Jingdan A1 - Kim, Jae-Hyun A1 - Tuomainen, Outi A1 - Rattanasone, Nan Xu T1 - Bilingual Mandarin-English preschoolers’ spoken narrative skills and contributing factors BT - A remote online story-retell study JF - Frontiers in Psyhology N2 - This study examined the spoken narrative skills of a group of bilingual Mandarin–English speaking 3–6-year-olds (N = 25) in Australia, using a remote online story-retell task. Bilingual preschoolers are an understudied population, especially those who are speaking typologically distinct languages such as Mandarin and English which have fewer structural overlaps compared to language pairs that are typologically closer, reducing cross-linguistic positive transfer. We examined these preschoolers’ spoken narrative skills as measured by macrostructures (the global organization of a story) and microstructures (linguistic structures, e.g., total number of utterances, nouns, verbs, phrases, and modifiers) across and within each language, and how various factors such as age and language experiences contribute to individual variability. The results indicate that our bilingual preschoolers acquired spoken narrative skills similarly across their two languages, i.e., showing similar patterns of productivity for macrostructure and microstructure elements in both of their two languages. While chronological age was positively correlated with macrostructures in both languages (showing developmental effects), there were no significant correlations between measures of language experiences and the measures of spoken narrative skills (no effects for language input/output). The findings suggest that although these preschoolers acquire two typologically diverse languages in different learning environments, Mandarin at home with highly educated parents, and English at preschool, they displayed similar levels of oral narrative skills as far as these macro−/micro-structure measures are concerned. This study provides further evidence for the feasibility of remote online assessment of preschoolers’ narrative skills. KW - narrative skills KW - Mandarin-English bilinguals KW - preschoolers KW - macrostructure KW - microstructure Y1 - 2022 U6 - https://doi.org/10.3389/fpsyg.2022.797602 SN - 1664-1078 VL - 13 PB - Frontiers Media SA CY - Lausanne, Schweiz ER - TY - JOUR A1 - Xu, Pengbo A1 - Zhou, Tian A1 - Metzler, Ralf A1 - Deng, Weihua T1 - Stochastic harmonic trapping of a Lévy walk BT - transport and first-passage dynamics under soft resetting strategies JF - New journal of physics : the open-access journal for physics / Deutsche Physikalische Gesellschaft ; IOP, Institute of Physics N2 - We introduce and study a Lévy walk (LW) model of particle spreading with a finite propagation speed combined with soft resets, stochastically occurring periods in which an harmonic external potential is switched on and forces the particle towards a specific position. Soft resets avoid instantaneous relocation of particles that in certain physical settings may be considered unphysical. Moreover, soft resets do not have a specific resetting point but lead the particle towards a resetting point by a restoring Hookean force. Depending on the exact choice for the LW waiting time density and the probability density of the periods when the harmonic potential is switched on, we demonstrate a rich emerging response behaviour including ballistic motion and superdiffusion. When the confinement periods of the soft-reset events are dominant, we observe a particle localisation with an associated non-equilibrium steady state. In this case the stationary particle probability density function turns out to acquire multimodal states. Our derivations are based on Markov chain ideas and LWs with multiple internal states, an approach that may be useful and flexible for the investigation of other generalised random walks with soft and hard resets. The spreading efficiency of soft-rest LWs is characterised by the first-passage time statistic. KW - diffusion KW - anomalous diffusion KW - stochastic resetting KW - Levy walks Y1 - 2022 U6 - https://doi.org/10.1088/1367-2630/ac5282 SN - 1367-2630 VL - 24 IS - 3 SP - 1 EP - 28 PB - Deutsche Physikalische Gesellschaft CY - Bad Honnef ER - TY - JOUR A1 - Wutzler, Bianca A1 - Hudson, Paul A1 - Thieken, Annegret T1 - Adaptation strategies of flood-damaged businesses in Germany JF - Frontiers in Water N2 - Flood risk management in Germany follows an integrative approach in which both private households and businesses can make an important contribution to reducing flood damage by implementing property-level adaptation measures. While the flood adaptation behavior of private households has already been widely researched, comparatively less attention has been paid to the adaptation strategies of businesses. However, their ability to cope with flood risk plays an important role in the social and economic development of a flood-prone region. Therefore, using quantitative survey data, this study aims to identify different strategies and adaptation drivers of 557 businesses damaged by a riverine flood in 2013 and 104 businesses damaged by pluvial or flash floods between 2014 and 2017. Our results indicate that a low perceived self-efficacy may be an important factor that can reduce the motivation of businesses to adapt to flood risk. Furthermore, property-owners tended to act more proactively than tenants. In addition, high experience with previous flood events and low perceived response costs could strengthen proactive adaptation behavior. These findings should be considered in business-tailored risk communication. KW - risk management KW - climate change adaptation KW - floods KW - disaster risk reduction KW - Germany KW - precaution KW - emergency management Y1 - 2022 U6 - https://doi.org/10.3389/frwa.2022.932061 SN - 2624-9375 PB - Frontiers Media SA CY - Lausanne, Schweiz ER - TY - JOUR A1 - Wright, Michelle F. A1 - Wachs, Sebastian A1 - Huang, Zheng T1 - Adolescents’ Popularity-Motivated Aggression and Prosocial Behaviors: The Roles of Callous-Unemotional Traits and Social Status Insecurity JF - Frontiers in Psychology N2 - As competition over peer status becomes intense during adolescence, some adolescents develop insecure feelings regarding their social standing among their peers (i.e., social status insecurity). These adolescents sometimes use aggression to defend or promote their status. The aim of this study was to examine the relationships among social status insecurity, callous-unemotional (CU) traits, and popularity-motivated aggression and prosocial behaviors among adolescents, while controlling for gender. Another purpose was to examine the potential moderating role of CU traits in these relationships. Participants were 1,047 (49.2% girls; Mage = 12.44 years; age range from 11 to 14 years) in the 7th or 8th grades from a large Midwestern city. They completed questionnaires on social status insecurity, CU traits, and popularity-motivated relational aggression, physical aggression, cyberaggression, and prosocial behaviors. A structural regression model was conducted, with gender as a covariate. The model had adequate fit. Social status insecurity was associated positively with callousness, unemotional, and popularity-motivated aggression and related negatively to popularity-motivated prosocial behaviors. High social status insecurity was related to greater popularity-motivated aggression when adolescents had high callousness traits. The findings have implications for understanding the individual characteristics associated with social status insecurity. KW - social status insecurity KW - callousness KW - unemotional KW - uncaring KW - callous-unemotional traits KW - aggression KW - cyberaggression KW - prosocial Y1 - 2021 U6 - https://doi.org/10.3389/fpsyg.2021.606865 SN - 1664-1078 SP - 1 EP - 8 PB - Frontiers CY - Lausanne, Schweiz ER - TY - CHAP A1 - Wolska, Magdalena A1 - Kruijff-Korbayová, Ivana T1 - Modeling anaphora in informal mathematical dialogue N2 - We analyze anaphoric phenomena in the context of building an input understanding component for a conversational system for tutoring mathematics. In this paper, we report the results of data analysis of two sets of corpora of dialogs on mathematical theorem proving. We exemplify anaphoric phenomena, identify factors relevant to anaphora resolution in our domain and extensions to the input interpretation component to support it. Y1 - 2006 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-10455 ER - TY - JOUR A1 - Wochatz, Monique A1 - Schraplau, Anne A1 - Engel, Tilman A1 - Zecher, Mahli Megan A1 - Sharon, Hadar A1 - Alt, Yasmin A1 - Mayer, Frank A1 - Kalron, Alon T1 - Application of eccentric training in various clinical populations BT - Protocol for a multi-centered pilot and feasibility study in people with low back pain and people with multiple sclerosis JF - PLoS ONE N2 - Physical activity and exercise are effective approaches in prevention and therapy of multiple diseases. Although the specific characteristics of lengthening contractions have the potential to be beneficial in many clinical conditions, eccentric training is not commonly used in clinical populations with metabolic, orthopaedic, or neurologic conditions. The purpose of this pilot study is to investigate the feasibility, functional benefits, and systemic responses of an eccentric exercise program focused on the trunk and lower extremities in people with low back pain (LBP) and multiple sclerosis (MS). A six-week eccentric training program with three weekly sessions is performed by people with LBP and MS. The program consists of ten exercises addressing strength of the trunk and lower extremities. The study follows a four-group design (N = 12 per group) in two study centers (Israel and Germany): three groups perform the eccentric training program: A) control group (healthy, asymptomatic); B) people with LBP; C) people with MS; group D (people with MS) receives standard care physiotherapy. Baseline measurements are conducted before first training, post-measurement takes place after the last session both comprise blood sampling, self-reported questionnaires, mobility, balance, and strength testing. The feasibility of the eccentric training program will be evaluated using quantitative and qualitative measures related to the study process, compliance and adherence, safety, and overall program assessment. For preliminary assessment of potential intervention effects, surrogate parameters related to mobility, postural control, muscle strength and systemic effects are assessed. The presented study will add knowledge regarding safety, feasibility, and initial effects of eccentric training in people with orthopaedic and neurological conditions. The simple exercises, that are easily modifiable in complexity and intensity, are likely beneficial to other populations. Thus, multiple applications and implementation pathways for the herein presented training program are conceivable. Y1 - 2022 U6 - https://doi.org/10.1371/journal.pone.0270875 SN - 1932-6203 VL - 17 IS - 12 PB - Public Library of Science CY - San Francisco, California, USA ER - TY - THES A1 - Witt, Tanja Ivonne T1 - Camera Monitoring at volcanoes T1 - Kameramonitoring an Vulkanen BT - Identification and characterization of lava fountain activity and near-vent processes and their relevance for early warning systems BT - Identifikation und Charakterizierung der Aktivität von Lavafontänen und Near-Vent Prozesse und deren Relevanz für Frühwarnsysteme N2 - Basaltic fissure eruptions, such as on Hawai'i or on Iceland, are thought to be driven by the lateral propagation of feeder dikes and graben subsidence. Associated solid earth processes, such as deformation and structural development, are well studied by means of geophysical and geodetic technologies. The eruptions themselves, lava fountaining and venting dynamics, in turn, have been much less investigated due to hazardous access, local dimension, fast processes, and resulting poor data availability. This thesis provides a detailed quantitative understanding of the shape and dynamics of lava fountains and the morphological changes at their respective eruption sites. For this purpose, I apply image processing techniques, including drones and fixed installed cameras, to the sequence of frames of video records from two well-known fissure eruptions in Hawai'i and Iceland. This way I extract the dimensions of multiple lava fountains, visible in all frames. By putting these results together and considering the acquisition times of the frames I quantify the variations in height, width and eruption velocity of the lava fountains. Then I analyse these time-series in both time and frequency domains and investigate the similarities and correlations between adjacent lava fountains. Following this procedure, I am able to link the dynamics of the individual lava fountains to physical parameters of the magma transport in the feeder dyke of the fountains. The first case study in this thesis focuses on the March 2011 Pu'u'O'o eruption, Hawai'i, where a continuous pulsating behaviour at all eight lava fountains has been observed. The lava fountains, even those from different parts of the fissure that are closely connected, show a similar frequency content and eruption behaviour. The regular pattern in the heights of lava fountain suggests a controlling process within the magma feeder system like a hydraulic connection in the underlying dyke, affecting or even controlling the pulsating behaviour. The second case study addresses the 2014-2015 Holuhraun fissure eruption, Iceland. In this case, the feeder dyke is highlighted by the surface expressions of graben-like structures and fault systems. At the eruption site, the activity decreases from a continuous line of fire of ~60 vents to a limited number of lava fountains. This can be explained by preferred upwards magma movements through vertical structures of the pre-eruptive morphology. Seismic tremors during the eruption reveal vent opening at the surface and/or pressure changes in the feeder dyke. The evolving topography of the cinder cones during the eruption interacts with the lava fountain behaviour. Local variations in the lava fountain height and width are controlled by the conduit diameter, the depth of the lava pond and the shape of the crater. Modelling of the fountain heights shows that long-term eruption behaviour is controlled mainly by pressure changes in the feeder dyke. This research consists of six chapters with four papers, including two first author and two co-author papers. It establishes a new method to analyse lava fountain dynamics by video monitoring. The comparison with the seismicity, geomorphologic and structural expressions of fissure eruptions shows a complex relationship between focussed flow through dykes, the morphology of the cinder cones, and the lava fountain dynamics at the vents of a fissure eruption. N2 - Basaltische Spalteneruptionen, wie auf Hawaii oder Island, werden vermutlich durch die laterale Ausbreitung von Förderdikes und damit verbundener Grabenbildung verursacht. Prozesse der festen Erde sind mittels geophysikalischer und geodätischer Technologien gut erforscht. Die Ausbrüche selbst, d.h. die Lavafontä}nen und die Ventdynamik wiederum wurden aufgrund des gefährlichen Zugangs, der lokalen Dimension, der schnellen Prozesse und der daraus resultierenden schlechten Datenverfügbarkeit kaum untersucht. Diese Arbeit liefert ein detailliertes quantitatives Verständnis über Form und Dynamik von Lavafontänen und der morphologischen Veränderungen an ihren jeweiligen Eruptionsstellen. Mittels Bildverarbeitungstechniken, einschließlich Dronen und festen Kameras, wurden von mir die Videoframes von zwei bekannten Spaltausbrüchen auf Hawaii und Island ausgewertet. Auf diese Weise extrahiere ich die Dimensionen mehrerer Lavafontänen, die in allen Frames sichtbar sind. Durch die Zusammenstellung dieser Ergebnisse und unter Berücksichtigung der Erfassungszeiten quantifiziere ich die Schwankungen in Höhe, Breite und Eruptionsgeschwindigkeit. Dann analysiere ich diese Zeitreihen im Zeit- und Frequenzbereich und untersuche die Ähnlichkeiten und Zusammenhänge zwischen benachbarten Lavafontänen. Anschließend verknüpfte ich die Dynamik der einzelnen Lavafontänen mit den physikalischen Parametern des Magmatransports im Förderdike. Die erste Fallstudie dieser Arbeit konzentriert sich auf die Pu'u'O'o Ausbruch, Hawaii im März 2011, bei der ein kontinuierliches pulsierendes Verhalten an allen Lavafontänen beobachtet werden konnte. Lavafontänen verschiedener Teilsegmenten der Spalte sind eng miteinander verbunden, sie weisen Ähnlichkeiten im Frequenzgehalt und Ausbruchsverhalten auf. Das regelmäßige Muster in den Lavafontänenhöhen deutet auf eine hydraulische Verbindung im darunter liegenden Dike als steuernden Prozess innerhalb des Magma-Fördersystems hin. Die zweite Fallstudie befasst sich mit dem Holuhraun-Ausbruch 2014/2015. In diesem Fall wird der horizontale Förderdike durch grabenartige Strukturen und Bruchsysteme an der Oberfläche hervorgehoben. An der Ausbruchsstelle nimmt die Aktivität von einer kontinuierlichen Feuerlinie auf einzelne Lavafontänen ab. Dies lässt sich durch eine bevorzugte Aufwärtsbewegung des Magmas durch vertikale Strukturen der prä-eruptiven Morphologie erklären. Seismische Erschütterungen während des Ausbruchs zeigen Ventöffnungen an der Oberfläche und/oder Druckveränderungen im Förderdike. Die sich während des Ausbruchs entwickelnde Topographie der Schlackenkegel interagiert mit dem Verhalten der Lavafontänen. Lokale Schwankungen in Höhe und Breite der Lavafontäne werden jedoch durch den Schlotdurchmesser, die Tiefe des Lavaponds und die Form des Kraters gesteuert. Die Modellierung der Fontänenhöhe zeigt, dass das langfristige Ausbruchsverhalten vor allem durch Druckänderungen im Förderdike gesteuert wird. Diese Forschungsarbeit besteht aus sechs Kapiteln mit je zwei Papern als Erst- bzw. Co-Autor. Es etabliert eine neue Methode zur Analyse der Dynamik von Lavafontänen durch Videoüberwachung. Der Vergleich mit der Seismizität, den geomorphologischen und strukturellen Ausprägungen von Spalteneruptionen zeigt einen komplexen Zusammenhang zwischen der Dikeströmung, der Vulkanmorphologie und der Dynamik der Lavafontänen an einer Spalteneruption. KW - volcanology KW - Spalteneruption KW - fissure eruption KW - Vulkanologie KW - lava fountains KW - video analysis KW - basaltic volcanoes KW - Lavafontänen KW - Videoanalyse KW - Basalt-Vulkane Y1 - 2018 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-421073 ER - TY - INPR A1 - Witt, Annette A1 - Kurths, Jürgen A1 - Krause, F. A1 - Fischer, K. T1 - On the validity of a model for the reversals of the Earth‘s magnetic field N2 - We have used techniques of nonlinear dynamics to compare a special model for the reversals of the Earth's magnetic field with the observational data. Although this model is rather simple, there is no essential difference to the data by means of well-known characteristics, such as correlation function and probability distribution. Applying methods of symbolic dynamics we have found that the considered model is not able to describe the dynamical properties of the observed process. These significant differences are expressed by algorithmic complexity and Renyi information. T3 - NLD Preprints - 4 Y1 - 1994 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-13460 ER - TY - JOUR A1 - Witt, Andreas T1 - Multiple hierarchies BT - new aspects of an old solution JF - Interdisciplinary studies on information structure : ISIS ; working papers of the SFB 632 N2 - In this paper, we present the Multiple Annotation approach, which solves two problems: the problem of annotating overlapping structures, and the problem that occurs when documents should be annotated according to different, possibly heterogeneous tag sets. This approach has many advantages: it is based on XML, the modeling of alternative annotations is possible, each level can be viewed separately, and new levels can be added at any time. The files can be regarded as an interrelated unit, with the text serving as the implicit link. Two representations of the information contained in the multiple files (one in Prolog and one in XML) are described. These representations serve as a base for several applications. Y1 - 2005 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-8657 SN - 1866-4725 SN - 1614-4708 IS - 2 SP - 55 EP - 85 ER - TY - BOOK A1 - Wist, Dominic A1 - Schaefer, Mark A1 - Vogler, Walter A1 - Wollowski, Ralf T1 - STG decomposition : internal communication for SI implementability N2 - STG decomposition is a promising approach to tackle the complexity problems arising in logic synthesis of speed independent circuits, a robust asynchronous (i.e. clockless) circuit type. Unfortunately, STG decomposition can result in components that in isolation have irreducible CSC conflicts. Generalising earlier work, it is shown how to resolve such conflicts by introducing internal communication between the components via structural techniques only. N2 - STG-Dekomposition ist ein bewährter Ansatz zur Bewältigung der Komplexitätsprobleme bei der Logiksynthese von SI (speed independent) Schaltungen – ein robuster asynchroner (d.h. ohne Taktsignal arbeitender digitaler) Schaltungstyp. Allerdings können dabei Komponenten mit irreduziblen CSC-Konflikten entstehen. Durch Verallgemeinerung früherer Arbeiten wird gezeigt, wie solche Konflikte durch Einführung interner Kommunikation zwischen den Komponenten gelöst werden können, und zwar ausschließlich durch Verwendung an der Graphenstruktur ansetzender Verfahren. T3 - Technische Berichte des Hasso-Plattner-Instituts für Digital Engineering an der Universität Potsdam - 32 KW - Asynchrone Schaltung KW - Petrinetz KW - Signalflankengraph (SFG oder STG) KW - STG-Dekomposition KW - speed independent KW - CSC KW - Controller-Resynthese KW - Asynchronous circuit KW - petri net KW - signal transition graph KW - STG decomposition KW - speed independent KW - CSC KW - control resynthesis Y1 - 2010 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-40786 SN - 978-3-86956-037-3 PB - Universitätsverlag Potsdam CY - Potsdam ER - TY - THES A1 - Wischnewski, Juliane T1 - Reconstructing climate variability on the Tibetan Plateau : comparing aquatic and terrestrial signals T1 - Klimarekonstruktionen auf dem Tibet Plateau : aquatische und terrestrische Signale im Vergleich N2 - Spatial and temporal temperature and moisture patterns across the Tibetan Plateau are very complex. The onset and magnitude of the Holocene climate optimum in the Asian monsoon realm, in particular, is a subject of considerable debate as this time period is often used as an analogue for recent global warming. In the light of contradictory inferences regarding past climate and environmental change on the Tibetan Plateau, I have attempted to explain mismatches in the timing and magnitude of change. Therefore, I analysed the temporal variation of fossil pollen and diatom spectra and the geochemical record from palaeo-ecological records covering different time scales (late Quaternary and the last 200 years) from two core regions in the NE and SE Tibetan Plateau. For interpretation purposes I combined my data with other available palaeo-ecological data to set up corresponding aquatic and terrestrial proxy data sets of two lake pairs and two sets of sites. I focused on the direct comparison of proxies representing lacustrine response to climate signals (e.g., diatoms, ostracods, geochemical record) and proxies representing changes in the terrestrial environment (i.e., terrestrial pollen), in order to asses whether the lake and its catchments respond at similar times and magnitudes to environmental changes. Therefore, I introduced the established numerical technique procrustes rotation as a new approach in palaeoecology to quantitatively compare raw data of any two sedimentary records of interest in order to assess their degree of concordance. Focusing on the late Quaternary, sediment cores from two lakes (Kuhai Lake 35.3°N; 99.2°E; 4150 m asl; and Koucha Lake 34.0°N; 97.2°E; 4540 m asl) on the semi-arid northeastern Tibetan Plateau were analysed to identify post-glacial vegetation and environmental changes, and to investigate the responses of lake ecosystems to such changes. Based on the pollen record, five major vegetation and climate changes could be identified: (1) A shift from alpine desert to alpine steppe indicates a change from cold, dry conditions to warmer and more moist conditions at 14.8 cal. ka BP, (2) alpine steppe with tundra elements points to conditions of higher effective moisture and a stepwise warming climate at 13.6 cal. ka BP, (3) the appearance of high-alpine meadow vegetation indicates a further change towards increased moisture, but with colder temperatures, at 7.0 cal. ka BP, (4) the reoccurrence of alpine steppe with desert elements suggests a return to a significantly colder and drier phase at 6.3 cal. ka BP, and (5) the establishment of alpine steppe-meadow vegetation indicates a change back to relatively moist conditions at 2.2 cal. ka BP. To place the reconstructed climate inferences from the NE Tibetan Plateau into the context of Holocene moisture evolution across the Tibetan Plateau, I applied a five-scale moisture index and average link clustering to all available continuous pollen and non-pollen palaeoclimate records from the Tibetan Plateau, in an attempt to detect coherent regional and temporal patterns of moisture evolution on the Plateau. However, no common temporal or spatial pattern of moisture evolution during the Holocene could be detected, which can be assigned to the complex responses of different proxies to environmental changes in an already very heterogeneous mountain landscape, where minor differences in elevation can result in marked variations in microenvironments. Focusing on the past 200 years, I analysed the sedimentary records (LC6 Lake 29.5°N, 94.3°E, 4132 m asl; and Wuxu Lake 29.9°N, 101.1°E, 3705 m asl) from the southeastern Tibetan Plateau. I found that despite presumed significant temperature increases over that period, pollen and diatom records from the SE Tibetan Plateau reveal only very subtle changes throughout their profiles. The compositional species turnover investigated over the last 200 years appears relatively low in comparison to the species reorganisations during the Holocene. The results indicate that climatically induced ecological thresholds are not yet crossed, but that human activity has an increasing influence, particularly on the terrestrial ecosystem. Forest clearances and reforestation have not caused forest decline in our study area, but a conversion of natural forests to semi-natural secondary forests. The results from the numerical proxy comparison of the two sets of two pairs of Tibetan lakes indicate that the use of different proxies and the work with palaeo-ecological records from different lake types can cause deviant stories of inferred change. Irrespective of the timescale (Holocene or last 200 years) or region (SE or NE Tibetan Plateau) analysed, the agreement in terms of the direction, timing, and magnitude of change between the corresponding terrestrial data sets is generally better than the match between the corresponding lacustrine data sets, suggesting that lacustrine proxies may partly be influenced by in-lake or local catchment processes whereas the terrestrial proxy reflects a more regional climatic signal. The current disaccord on coherent temporal and spatial climate patterns on the Tibetan Plateau can partly be ascribed to the complexity of proxy response and lake systems on the Tibetan Plateau. Therefore, a multi-proxy, multi-site approach is important in order to gain a reliable climate interpretation for the complex mountain landscape of the Tibetan Plateau. N2 - Die räumlichen und zeitlichen Temperatur- und Feuchtigkeitsmuster auf dem Tibet-Plateau sind sehr komplex. Im Einzugsbereich der asiatischen Monsune sind insbesondere der Beginn und das Ausmaß des Klimaoptimums während des Holozäns von wissenschaftlichem Interesse, da diese Periode oft als Analogie für die derzeitige globale Klimaerwärmung herangezogen wird. In Hinblick auf sich teilweise widersprechende Paläoklima- und Umweltrekonstruktionen für das Tibet-Plateau, ist es mein Ziel, die bestehenden Unstimmigkeiten bezüglich des Zeitpunktes und des Ausmaßes des Umweltwandels zu erklären. Dafür wurden von mir zeitliche Variationen fossiler Pollen- und Diatomeenspektren und geochemische Untersuchungen an Seesedimenten unterschiedlicher Zeitskalen (Spätquartär und die letzten 200 Jahre) aus zwei Kernregionen auf dem NO und SO Tibet-Plateau analysiert. Zur Unterstützung der Interpretation wurden die hier erhobenen Daten mit bereits vorhandenen paläoökologischen Aufzeichnungen der Lokalitäten kombiniert, um Datensätze der entsprechenden aquatischen und terrestrischen Proxy-Daten (Stellvertreterdaten) zweier Seenpaare aus den beiden Regionen gegenüberstellen zu können. Hierbei konzentrierte ich mich auf den direkten Vergleich von Proxies, die die Seenentwicklung reflektieren (z.B. Diatomeen, Ostracoden, geochemische Eigenschaften), mit Proxies, die Veränderungen der terrestrischen Umgebung des Sees beschreiben (terrestrische Pollen). Durch diesen Vergleich lässt sich beurteilen, ob Veränderungen im See selbst mit Umweltveränderungen in dem jeweiligen Einzugsgebiet zeitlich übereinstimmen. Dafür habe ich die bereits etablierte numerische Methode Procrustes-Rotation als neuen Ansatz in der Paläoökologie eingeführt. Damit ist ein quantitativer Vergleich von Rohdaten zweier beliebiger sedimentärer Datensätze möglich, um den Grad der Übereinstimmung zu prüfen. Um die in dieser Arbeit rekonstruierten Umwelt- und Klimaereignisse des nordöstlichen Tibet-Plateaus in einen größeren Zusammenhang hinsichtlich holozäner Klimaentwicklung des gesamten Plateaus setzen zu können, und um schlüssige zeitliche und räumliche Klimatrends auf dem Plateau erkennen zu können, habe ich auf alle vorhandenen Paläoklimadatensätze einen Fünf-Skalen Feuchtigkeitsindex und eine Clusteranalyse angewandt. Es konnten jedoch keine einheitlichen zeitlichen und räumlichen Trends der holozänen Klimaentwicklung nachgewiesen werden, was meiner Analyse entsprechend, auf die komplexen Reaktionen verschiedener Proxies auf Umweltveränderungen in einer ohnehin sehr heterogen Berglandschaft, zurückgeführt werden kann. Die Ergebnisse des numerischen Proxy-Vergleichs beider Seenpaare zeigen, dass die Verwendung von verschiedenen Proxies und die Arbeit mit paläo-ökologischen Datensätzen unterschiedlicher See-Typen zu abweichenden Klimaableitungen führen können. Unabhängig vom untersuchten Zeitraum (Holozän oder die letzten 200 Jahren) oder der Region (SO oder NO Tibet-Plateau), ist die Übereinstimmung zweier Datensätze hinsichtlich der Richtung, des Zeitpunktes und des Ausmaßes der abgeleiteten Paläo-Umweltverhältnisse in der Regel zwischen den entsprechenden terrestrischen Datensätzen besser als zwischen den entsprechenden lakustrinen Datensätzen. Die derzeitige Uneinigkeit über stimmige zeitliche und räumliche Klimatrends auf dem Tibet-Plateau kann daher teilweise der Komplexität der verschieden Proxies und ihrer individuellen Empfindlichkeiten gegenüber Umweltveränderungen sowie der unterschiedlichen Reaktionsweise verschiedenartiger See-Systeme auf dem Plateau zugeschrieben werden. Meine Ergebnisse zeigen, dass ein „Multi-Proxy-Multi-Site-Ansatz“ für zuverlässige Paläoklimaableitungen für das Tibet-Plateau von zentraler Bedeutung ist. KW - Tibet Plateau KW - Holozän KW - Pollen KW - Diatomeen KW - Prokrustes Analyse KW - Tibetan Plateau KW - Holocene KW - Pollen KW - Diatoms KW - Procrustes rotation analysis Y1 - 2011 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-52453 ER - TY - JOUR A1 - Wippert, Pia-Maria A1 - Niederer, Daniel A1 - Drießlein, David A1 - Beck, Heidrun A1 - Banzer, Winfried Eberhard A1 - Schneider, Christian A1 - Schiltenwolf, Marcus A1 - Mayer, Frank T1 - Psychosocial Moderators and Mediators of Sensorimotor Exercise in Low Back Pain: A Randomized Multicenter Controlled Trial JF - Frontiers in Psychiatry N2 - The effects of exercise interventions on unspecific chronic low back pain (CLBP) have been investigated in many studies, but the results are inconclusive regarding exercise types, efficiency, and sustainability. This may be because the influence of psychosocial factors on exercise induced adaptation regarding CLBP is neglected. Therefore, this study assessed psychosocial characteristics, which moderate and mediate the effects of sensorimotor exercise on LBP. A single-blind 3-arm multicenter randomized controlled trial was conducted for 12-weeks. Three exercise groups, sensorimotor exercise (SMT), sensorimotor and behavioral training (SMT-BT), and regular routines (CG) were randomly assigned to 662 volunteers. Primary outcomes (pain intensity and disability) and psychosocial characteristics were assessed at baseline (M1) and follow-up (3/6/12/24 weeks, M2-M5). Multiple regression models were used to analyze whether psychosocial characteristics are moderators of the relationship between exercise and pain, meaning that psychosocial factors and exercise interact. Causal mediation analysis were conducted to analyze, whether psychosocial characteristics mediate the exercise effect on pain. A total of 453 participants with intermittent pain (mean age = 39.5 ± 12.2 years, f = 62%) completed the training. It was shown, that depressive symptomatology (at M4, M5), vital exhaustion (at M4), and perceived social support (at M5) are significant moderators of the relationship between exercise and the reduction of pain intensity. Further depressive mood (at M4), social-satisfaction (at M4), and anxiety (at M5 SMT) significantly moderate the exercise effect on pain disability. The amount of moderation was of clinical relevance. In contrast, there were no psychosocial variables which mediated exercise effects on pain. In conclusion it was shown, that psychosocial variables can be moderators in the relationship between sensorimotor exercise induced adaptation on CLBP which may explain conflicting results in the past regarding the merit of exercise interventions in CLBP. Results suggest further an early identification of psychosocial risk factors by diagnostic tools, which may essential support the planning of personalized exercise therapy. Level of Evidence: Level I. Clinical Trial Registration: DRKS00004977, LOE: I, MiSpEx: grant-number: 080102A/11-14. https://www.drks.de/drks_web/navigate.do?navigationId=trial.HTML&TRIAL_ID=DRKS00004977. KW - low-back-pain KW - motor-control-exercise KW - multidisciplinary-therapy KW - MiSpEx-network KW - yellow flags Y1 - 2021 U6 - https://doi.org/10.3389/fpsyt.2021.629474 SN - 1664-0640 VL - 12 SP - 1 EP - 16 PB - Frontiers Research Foundation CY - Lausanne, Schweiz ER - TY - THES A1 - Windirsch-Woiwode, Torben T1 - Permafrost carbon stabilisation by recreating a herbivore-driven ecosystem T1 - Stabilisierung von Permafrostkohlenstoff durch die Wiedereinführung eines Herbivor-geprägten Ökosystems N2 - With Arctic ground as a huge and temperature-sensitive carbon reservoir, maintaining low ground temperatures and frozen conditions to prevent further carbon emissions that contrib-ute to global climate warming is a key element in humankind’s fight to maintain habitable con-ditions on earth. Former studies showed that during the late Pleistocene, Arctic ground condi-tions were generally colder and more stable as the result of an ecosystem dominated by large herbivorous mammals and vast extents of graminoid vegetation – the mammoth steppe. Characterised by high plant productivity (grassland) and low ground insulation due to animal-caused compression and removal of snow, this ecosystem enabled deep permafrost aggrad-ation. Now, with tundra and shrub vegetation common in the terrestrial Arctic, these effects are not in place anymore. However, it appears to be possible to recreate this ecosystem local-ly by artificially increasing animal numbers, and hence keep Arctic ground cold to reduce or-ganic matter decomposition and carbon release into the atmosphere. By measuring thaw depth, total organic carbon and total nitrogen content, stable carbon iso-tope ratio, radiocarbon age, n-alkane and alcohol characteristics and assessing dominant vegetation types along grazing intensity transects in two contrasting Arctic areas, it was found that recreating conditions locally, similar to the mammoth steppe, seems to be possible. For permafrost-affected soil, it was shown that intensive grazing in direct comparison to non-grazed areas reduces active layer depth and leads to higher TOC contents in the active layer soil. For soil only frozen on top in winter, an increase of TOC with grazing intensity could not be found, most likely because of confounding factors such as vertical water and carbon movement, which is not possible with an impermeable layer in permafrost. In both areas, high animal activity led to a vegetation transformation towards species-poor graminoid-dominated landscapes with less shrubs. Lipid biomarker analysis revealed that, even though the available organic material is different between the study areas, in both permafrost-affected and sea-sonally frozen soils the organic material in sites affected by high animal activity was less de-composed than under less intensive grazing pressure. In conclusion, high animal activity af-fects decomposition processes in Arctic soils and the ground thermal regime, visible from reduced active layer depth in permafrost areas. Therefore, grazing management might be utilised to locally stabilise permafrost and reduce Arctic carbon emissions in the future, but is likely not scalable to the entire permafrost region. N2 - Mit dem arktischen Boden als riesigem und temperatursensiblen Kohlenstoffspeicher ist die Aufrechterhaltung niedriger Bodentemperaturen und gefrorener Bedingungen zur Verhinde-rung weiterer Kohlenstoffemissionen, die zum globalen Klimawandel beitragen, ein Schlüs-selelement im Kampf der Menschheit, die Erde weiterhin bewohnbar zu halten. Vorangehen-de Studien ergaben, dass die Bodenbedingungen in der Arktis während des späten Pleisto-zäns im Allgemeinen kälter und dadurch stabiler waren, als Ergebnis eines Ökosystems, das von großen pflanzenfressenden Säugetieren und weiten Flächen grasartiger Vegetation do-miniert wurde - der Mammutsteppe. Gekennzeichnet durch hohe Pflanzenproduktivität (Gras-land) und geringe Bodenisolierung aufgrund von Kompression und Schneeräumung durch Tiere, ermöglichte dieses Ökosystem eine tiefreichende Entwicklung des Permafrosts. Heut-zutage, mit der vorherrschenden Tundra- und Strauchvegetation in der Arktis, sind diese Ef-fekte nicht mehr präsent. Es scheint aber möglich, dieses Ökosystem lokal durch künstliche Erhöhung der Tierbestände nachzubilden und somit den arktischen Boden kühl zu halten, um den Abbau von organischem Material und die Freisetzung von Kohlenstoff in die Atmosphäre zu verringern. Durch Messungen der Auftautiefe, des Gesamtgehalts des organischen Kohlenstoffs und Stickstoffs, des stabilen Kohlenstoff-Isotopenverhältnisses, des Radiocarbonalters, der n-Alkan- und Alkoholcharakteristika sowie durch Bestimmung der vorherrschenden Vegetati-onstypen entlang von Beweidungsgradienten in zwei unterschiedlichen arktischen Gebieten habe ich festgestellt, dass die Schaffung ähnlicher Bedingungen wie in der Mammutsteppe möglich sein könnte. Für durch Permafrost beeinflusste Böden konnte ich zeigen, dass eine intensive Beweidung im direkten Vergleich mit unbeweideten Gebieten die Tiefe der Auftau-schicht verringert und zu höheren Gehalten an organischem Kohlenstoff im oberen Bodenbe-reich führt. Für im Winter nur oberflächlich gefrorene Böden konnte kein Anstieg des organi-schen Kohlenstoffgehalts mit zunehmender Beweidungsintensität festgestellt werden, höchstwahrscheinlich aufgrund von Störfaktoren wie vertikalen Wasser- und Kohlenstoffbe-wegungen, die nicht durch eine undurchlässige Schicht wie beim Permafrost begrenzt sind. In beiden Gebieten führte eine hohe Tieraktivität zu einer Umwandlung der Vegetation hin zu artenarmen, von Gräsern dominierten Landschaften mit weniger Sträuchern. Die Analyse von Lipid-Biomarkern ergab, dass das verfügbare organische Material zwar zwischen den Unter-suchungsgebieten unterschiedlich war, aber sowohl in Permafrostgebieten als auch in saiso-nal gefrorenen Böden in Bereichen mit hoher Tieraktivität weniger stark zersetzt war als unter geringerer Beweidungsintensität. Zusammenfassend beeinflusst eine hohe Tieraktivität die Zersetzungsvorgänge in arktischen Böden und das thermische Regime des Bodens, was sich in einer reduzierten Tiefe der Auftauschicht in Permafrostgebieten widerspiegelt. Daher könn-te das Beweidungsmanagement in Zukunft aktiv eingesetzt werden, um den Permafrost lokal zu stabilisieren und gefroren zu halten sowie die Kohlenstoffemissionen in der Arktis zu ver-ringern. Aufgrund der Größe der Fläche, die in der terrestrischen Arktis von Permafrost be-einflusst ist, wird ein solches Beweidungsmanagement aber nicht als Maßnahme auf die ge-samte Permafrostregion ausgedehnt werden können. KW - permafrost KW - carbon KW - climate change KW - grazing KW - Arctic KW - Arktis KW - Kohlenstoff KW - Klimawandel KW - Beweidung KW - Permafrost Y1 - 2024 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-624240 ER - TY - JOUR A1 - Wilbert, Jürgen A1 - Börnert-Ringleb, Moritz A1 - Lüke, Timo T1 - Statistical Power of Piecewise Regression Analyses of Single-Case Experimental Studies Addressing Behavior Problems JF - Frontiers in Education N2 - In intervention research, single-case experimental designs are an important way to gain insights into the causes of individual changes that yield high internal validity. They are commonly applied to examine the effectiveness of classroom-based interventions to reduce problem behavior in schools. At the same time, there is no consensus on good design characteristics of single-case experimental designs when dealing with behavioral problems in schools. Moreover, specific challenges arise concerning appropriate approaches to analyzing behavioral data. Our study addresses the interplay between the test power of piecewise regression analysis and important design specifications of single-case research designs. Here, we focus on the influence of the following specifications of single-case research designs: number of measurement times, the initial frequency of the behavior, intervention effect, and data trend. We conducted a Monte-Carlo study. First, simulated datasets were created with specific design conditions based on reviews of published single-case intervention studies. Following, data were analyzed using piecewise Poisson-regression models, and the influence of specific design specifications on the test power was investigated. Our results indicate that piecewise regressions have a high potential of adequately identifying the effects of interventions for single-case studies. At the same time, test power is strongly related to the specific design specifications of the single-case study: Few measurement times, especially in phase A, and low initial frequencies of the behavior make it impossible to detect even large intervention effects. Research designs with a high number of measurement times show robust power. The insights gained are highly relevant for researchers in the field, as decisions during the early stage of conceptualizing and planning single-case experimental design studies may impact the chance to identify an existing intervention effect during the research process correctly. KW - single-case design KW - single case analysis KW - Monte-Carlo simulation KW - behavior problems KW - special education KW - research design KW - single-case experimental design Y1 - 2022 U6 - https://doi.org/10.3389/feduc.2022.917944 SN - 2504-284X VL - 7 SP - 1 EP - 13 PB - Frontiers Media CY - Lausanne, Schweiz ER - TY - JOUR A1 - Wiepke, Axel P. A1 - Miklashevsky, Alex T1 - Imaginary Worlds and Their Borders: An Opinion Article JF - Frontiers Media SA KW - imaginary world KW - fiction KW - narrative KW - embodied cognition KW - virtual reality KW - feeling of presence KW - mental simulation Y1 - 2021 U6 - https://doi.org/10.3389/fpsyg.2021.793764 SN - 1664-1078 VL - 12 SP - 1 EP - 2 PB - Frontiers Research Foundation CY - Lausanne, Schweiz ER - TY - JOUR A1 - Westphal, Andrea A1 - Kalinowski, Eva A1 - Hoferichter, Clara Josepha A1 - Vock, Miriam T1 - K−12 teachers' stress and burnout during the COVID-19 pandemic: A systematic review JF - Frontiers in Psychology N2 - We present the first systematic literature review on stress and burnout in K−12 teachers during the COVID-19 pandemic. Based on a systematic literature search, we identified 17 studies that included 9,874 K−12 teachers from around the world. These studies showed some indication that burnout did increase during the COVID-19 pandemic. There were, however, almost no differences in the levels of stress and burnout experienced by K−12 teachers compared to individuals employed in other occupational fields. School principals' leadership styles emerged as an organizational characteristic that is highly relevant for K−12 teachers' levels of stress and burnout. Individual teacher characteristics associated with burnout were K−12 teachers' personality, self-efficacy in online teaching, and perceived vulnerability to COVID-19. In order to reduce stress, there was an indication that stress-management training in combination with training in technology use for teaching may be superior to stress-management training alone. Future research needs to adopt more longitudinal designs and examine the interplay between individual and organizational characteristics in the development of teacher stress and burnout during the COVID-19 pandemic and beyond. KW - burnout KW - stress KW - COVID-19 KW - pandemic KW - K−12 teachers KW - remote teaching Y1 - 2022 U6 - https://doi.org/10.3389/fpsyg.2022.920326 SN - 1664-1078 SP - 1 EP - 29 PB - Frontiers CY - Lausanne, Schweiz ER - TY - GEN A1 - Werner, John S. A1 - Donnelly, Seaneen K. A1 - Kliegl, Reinhold T1 - Aging and human macular pigment density : appended with translations from the work of Max Schultze and Ewald Hering N2 - The optical density of human macular pigment was measured for 50 observers ranging in age from 10 to 90 years. The psychophysical method required adjusting the radiance of a 1°, monochromatic light (400–550 nm) to minimize flicker (15 Hz) when presented in counterphase with a 460 nm standard. This test stimulus was presented superimposed on a broad-band, short-wave background. Macular pigment density was determined by comparing sensitivity under these conditions for the fovea, where macular pigment is maximal, and 5° temporally. This difference spectrum, measured for 12 observers, matched Wyszecki and Stiles's standard density spectrum for macular pigment. To study variation in macular pigment density for a larger group of observers, measurements were made at only selected spectral points (460, 500 and 550 nm). The mean optical density at 460 nm for the complete sample of 50 subjects was 0.39. Substantial individual differences in density were found (ca. 0.10–0.80), but this variation was not systematically related to age. T3 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe - paper 037 KW - Macular pigment KW - Color vision Aging Y1 - 1987 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-16836 ER - TY - GEN A1 - Werner, John S. A1 - Cicerone, Carola M. A1 - Kliegl, Reinhold A1 - DellaRosa, Denise T1 - Spectral efficiency of blackness induction N2 - The spectral efficiency of blackness induction was measured in three normal trichromatic observers and in one deuteranomalous observer. The psychophysical task was to adjust the radiance of a monochromatic 60–120′ annulus until a 45′ central broadband field just turned black and its contour became indiscriminable from a dark surrounding gap that separated it from the annulus. The reciprocal of the radiance required to induce blackness with annulus wavelengths between 420 and 680 nm was used to define a spectral-efficiency function for the blackness component of the achromatic process. For each observer, the shape of this blackness-sensitivity function agreed with the spectral-efficiency function based on heterochromatic flicker photometry when measured with the same 60–120′ annulus. Both of these functions matched the Commission Internationale de l'Eclairage Vλ function except at short wavelengths. Ancillary measurements showed that the latter difference in sensitivity can be ascribed to nonuniformities of preretinal absorption, since the annular field excluded the central 60′ of the fovea. Thus our evidence indicates that, at least to a good first approximation, induced blackness is inversely related to the spectral-luminosity function. These findings are consistent with a model that separates the achromatic and the chromatic pathways. T3 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe - paper 040 Y1 - 1984 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-16897 ER - TY - THES A1 - Werhahn, Maria T1 - Simulating galaxy evolution with cosmic rays: the multi-frequency view T1 - Galaxienentwicklung in Simulationen mit komischer Strahlung und deren Strahlungsprozessen N2 - Cosmic rays (CRs) constitute an important component of the interstellar medium (ISM) of galaxies and are thought to play an essential role in governing their evolution. In particular, they are able to impact the dynamics of a galaxy by driving galactic outflows or heating the ISM and thereby affecting the efficiency of star-formation. Hence, in order to understand galaxy formation and evolution, we need to accurately model this non-thermal constituent of the ISM. But except in our local environment within the Milky Way, we do not have the ability to measure CRs directly in other galaxies. However, there are many ways to indirectly observe CRs via the radiation they emit due to their interaction with magnetic and interstellar radiation fields as well as with the ISM. In this work, I develop a numerical framework to calculate the spectral distribution of CRs in simulations of isolated galaxies where a steady-state between injection and cooling is assumed. Furthermore, I calculate the non-thermal emission processes arising from the modelled CR proton and electron spectra ranging from radio wavelengths up to the very high-energy gamma-ray regime. I apply this code to a number of high-resolution magneto-hydrodynamical (MHD) simulations of isolated galaxies, where CRs are included. This allows me to study their CR spectra and compare them to observations of the CR proton and electron spectra by the Voyager-1 satellite and the AMS-02 instrument in order to reveal the origin of the measured spectral features. Furthermore, I provide detailed emission maps, luminosities and spectra of the non-thermal emission from our simulated galaxies that range from dwarfs to Milk-Way analogues to starburst galaxies at different evolutionary stages. I successfully reproduce the observed relations between the radio and gamma-ray luminosities with the far-infrared (FIR) emission of star-forming (SF) galaxies, respectively, where the latter is a good tracer of the star-formation rate. I find that highly SF galaxies are close to the limit where their CR population would lose all of their energy due to the emission of radiation, whereas CRs tend to escape low SF galaxies more quickly. On top of that, I investigate the properties of CR transport that are needed in order to match the observed gamma-ray spectra. Furthermore, I uncover the underlying processes that enable the FIR-radio correlation (FRC) to be maintained even in starburst galaxies and find that thermal free-free-emission naturally explains the observed radio spectra in SF galaxies like M82 and NGC 253 thus solving the riddle of flat radio spectra that have been proposed to contradict the observed tight FRC. Lastly, I scrutinise the steady-state modelling of the CR proton component by investigating for the first time the influence of spectrally resolved CR transport in MHD simulations on the hadronic gamma-ray emission of SF galaxies revealing new insights into the observational signatures of CR transport both spectrally and spatially. N2 - Kosmische Strahlung (CR) ist ein essentieller Bestandteil des interstellaren Mediums (ISM) von Galaxien und spielt eine wichtige Rolle in deren Entwicklung. Insbesondere ist sie in der Lage, die Dynamik einer Galaxie zu beeinflussen, indem sie galaktische Ausflüsse treibt oder das ISM aufheizt und sich dadurch auf die Effizienz der Sternentstehung auswirkt. Um Galaxienentstehung zu verstehen ist es daher notwendig, diesen nicht-thermischen Bestandteil des ISM genau zu modellieren. Aber außerhalb unserer lokalen Umgebung innerhalb der Milchstraße haben wir keine Möglichkeit, um CRs in anderen Galaxien direkt zu messen. Allerdings gibt es viele Möglichkeiten, CRs indirekt über die Strahlung zu beobachten, die sie auf Grund ihrer Interaktion mit Magnetfeldern und interstellarer Strahlung sowie mit dem ISM emittieren. In dieser Arbeit habe ich einen numerischen Code entwickelt, der die spektrale Verteilung der CRs in Simulationen von isolierten Galaxien berechnet, wobei ein stationäres Verhältnis zwischen Injektion und Kühlen angenommen wird. Des Weiteren berechnet er die nicht-thermischen Strahlungsprozesse, die aus den modellierten CR Protonen- und Elektronenspektren hervorgehen. Diese reichen von Radiowellenlängen bis hin zu hochenergetischer Gammastrahlung. Ich wende diesen Code auf eine Vielzahl von hoch aufgelösten, magneto-hydrodynamischen Simulationen von isolierten Galaxien an, die CRs beinhalten. Das ermöglicht es mir, ihre CR Spektren zu untersuchen und mit Beobachtungen des Voyager-1 Satelliten sowie des AMS-02 Instruments von CR Protonen- und Elektronenspektren zu vergleichen, um dem Ursprung von den gemessenen spektralen Besonderheiten nachzugehen. Außerdem lege ich detaillierte Emissionskarten, Leuchtkräfte und Spektren der nicht-thermischen Strahlung unserer simulierten Galaxien vor, die von Zwerggalaxien über Milchstraßen-ähnliche Galaxien bis hin zu Starburst-Galaxien bei verschiedensten Entwicklungsstadien reichen. Damit kann ich erfolgreich die beobachteten Zusammenhänge zwischen jeweils der Radio- und Gammastrahlungsleuchtkraft mit der Ferninfrarot (FIR) Strahlung der sternbildenden Galaxien reproduzieren, wobei die FIR Strahlung ein guter Indikator für die Rate der Sternentstehung ist. Dabei finde ich heraus, dass Galaxien mit einer hohen Rate an Sternentstehung sehr nah an dem Limit sind, in dem ihre CR Population all ihre Energie an die Produktion von Strahlung verlieren würde, während CRs dazu tendieren, Galaxien mit einer niedrigen Sternentstehungsrate schneller zu verlassen. Zusätzlich untersuche ich die Eigenschaften des Transports von CRs, die benötigt werden, um die beobachteten Spektren der Gammastrahlung zu reproduzieren. Außerdem decke ich die zugrundeliegenden physikalischen Prozesse auf, durch die die Korrelation zwischen der FIR- und Radioleuchtkraft auch in Starburst-Galaxien aufrecht erhalten werden kann und finde heraus, dass die thermische Emission natürlicherweise die beobachteten Radiospektren in Galaxien wie M82 und NGC 253 erklärt, wodurch sich das Rätsel der flachen Radiospektren löst, die scheinbar im Widerspruch zum beobachteten engen Zusammenhang zwischen der FIR- und Radioleuchtkraft standen. Zuletzt hinterfrage ich die Annahme eines stationären Zustandes bei der Modellierung der CR Protonenspektren, indem ich zum ersten Mal den Einfluss von spektral aufgelöstem Transport von CR Protonen in magneto-hydrodynamischen Simulationen auf die hadronische Gammastrahlung von sternbildenden Galaxien untersuche, was neue Einblicke in beobachtbare Signaturen, sowohl spektral als auch räumlich, von CR-Transport ermöglicht. KW - galaxies KW - cosmic rays KW - numerical astrophysics KW - kosmische Strahlung KW - Galaxien KW - numerische Astrophysik Y1 - 2023 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-572851 ER - TY - THES A1 - Wenk, Sebastian T1 - Engineering formatotrophic growth in Escherichia coli N2 - To meet the demands of a growing world population while reducing carbon dioxide (CO2) emissions, it is necessary to capture CO2 and convert it into value-added compounds. In recent years, metabolic engineering of microbes has gained strong momentum as a strategy for the production of valuable chemicals. As common microbial feedstocks like glucose directly compete with human consumption, the one carbon (C1) compound formate was suggested as an alternative feedstock. Formate can be easily produced by various means including electrochemical reduction of CO2 and could serve as a feedstock for microbial production, hence presenting a novel entry point for CO2 to the biosphere and a storage option for excess electricity. Compared to the gaseous molecule CO2, formate is a highly soluble compound that can be easily handled and stored. It can serve as a carbon and energy source for natural formatotrophs, but these microbes are difficult to cultivate and engineer. In this work, I present the results of several projects that aim to establish efficient formatotrophic growth of E. coli – which cannot naturally grow on formate – via synthetic formate assimilation pathways. In the first study, I establish a workflow for growth-coupled metabolic engineering of E. coli. I demonstrate this approach by presenting an engineering scheme for the PFL-threonine cycle, a synthetic pathway for anaerobic formate assimilation in E. coli. The described methods are intended to create a standardized toolbox for engineers that aim to establish novel metabolic routes in E. coli and related organisms. The second chapter presents a study on the catalytic efficiency of C1-oxidizing enzymes in vivo. As formatotrophic growth requires generation of both energy and biomass from formate, the engineered E. coli strains need to be equipped with a highly efficient formate dehydrogenase, which provides reduction equivalents and ATP for formate assimilation. I engineered a strain that cannot generate reducing power and energy for cellular growth, when fed on acetate. Under this condition, the strain depends on the introduction of an enzymatic system for NADH regeneration, which could further produce ATP via oxidative phosphorylation. I show that the strain presents a valuable testing platform for C1-oxidizing enzymes by testing different NAD-dependent formate and methanol dehydrogenases in the energy auxotroph strain. Using this platform, several candidate enzymes with high in vivo activity, were identified and characterized as potential energy-generating systems for synthetic formatotrophic or methylotrophic growth in E. coli.   In the third chapter, I present the establishment of the serine threonine cycle (STC) – a synthetic formate assimilation pathway – in E. coli. In this pathway, formate is assimilated via formate tetrahydrofolate ligase (FtfL) from Methylobacterium extorquens (M. extorquens). The carbon from formate is attached to glycine to produce serine, which is converted into pyruvate entering central metabolism. Via the natural threonine synthesis and cleavage route, glycine is regenerated and acetyl-CoA is produced as the pathway product. I engineered several selection strains that depend on different STC modules for growth and determined key enzymes that enable high flux through threonine synthesis and cleavage. I could show that expression of an auxiliary formate dehydrogenase was required to achieve growth via threonine synthesis and cleavage on pyruvate. By overexpressing most of the pathway enzymes from the genome, and applying adaptive laboratory evolution, growth on glycine and formate was achieved, indicating the activity of the complete cycle. The fourth chapter shows the establishment of the reductive glycine pathway (rGP) – a short, linear formate assimilation route – in E. coli. As in the STC, formate is assimilated via M. extorquens FtfL. The C1 from formate is condensed with CO2 via the reverse reaction of the glycine cleavage system to produce glycine. Another carbon from formate is attached to glycine to form serine, which is assimilated into central metabolism via pyruvate. The engineered E. coli strain, expressing most of the pathway genes from the genome, can grow via the rGP with formate or methanol as a sole carbon and energy source. N2 - Um den steigenden Bedarf einer wachsenden Weltbevölkerung zu decken und gleichzeitig die CO2-Emissionen zu reduzieren, ist es notwendig, CO2 aufzufangen und zu recyceln. Durch gentechnische Veränderungen von Mikroorganismen ist es möglich diese zur Produktion wertvoller organischer Verbindungen zu nutzen. Da mikrobielle Kulturen primär mit Glucose gefüttert werden und somit mit menschlicher Nahrungsversorgung konkurrieren, wurde die C1-Verbindung Formiat als alternativer bakterieller Nährstoff vorgeschlagen.. Formiat kann durch unterschiedliche Verfahren hergestellt werden, unter anderem durch elektrochemische Reduktion von CO2. Dieses Verfahren ermöglicht das Recycling von CO2 und weiterhin eine Speichermöglichkeit für überschüssige Elektrizität. Formiat ist im Vergleich zum gasförmigen CO2 gut wasserlöslich, was den Transport und die Verwendung als mikrobiellen Nährstoff erleichtert. Natürlich vorkommende formatotrophe Mikroorganismen nutzen Formiat als Kohlenstoff- und Energiequelle. Diese lassen sich allerdings meist schwierig kultivieren und genetisch verändern. In dieser Arbeit stelle ich die Ergebnisse verschiedener Projekte vor, die gemeinsam darauf abzielen, effizientes formatotrophes Wachstum von E. coli – welches natürlicherweise nicht auf Formiat wachsen kann – mittels synthetischer Formiat-Assimilierungswege zu ermöglichen. In der ersten Studie stelle ich eine Strategie für wachstumsgekoppeltes Stoffwechsel-Engineering in E. coli vor. Ich erläutere diese Strategie anhand eines Beispiels, der schrittweisen Etablierung eines synthetischen Formiat- Assimilierungswegs, des PFL-Threonin-Zyklus. Die in diesem Kapitel beschriebenen Methoden sollen einen Leitfaden für Ingenieure bereitstellen, die neue Stoffwechselwege in E. coli und verwandten Organismen etablieren wollen. Im zweiten Kapitel stelle ich eine Studie über die katalytische Effizienz von C1-oxidierenden Enzymen vor. Da formatotrophes Wachstum sowohl die Erzeugung von Energie als auch von Biomasse aus Formiat erfordert, müssen synthetisch formatotrophe E. coli Stämme mit einer hocheffizienten Formiat-Dehydrogenase ausgestattet werden, welche Reduktionsäquivalente und ATP für die Assimilierung von Formiat liefert. Um die Effizienz verschiedener Enzyme testen und vergleichen zu können, entwickelte ich einen E. coli Stamm, der aus Acetat weder Reduktionsäquivalente noch Energie für das Zellwachstum erzeugen kann. Dieser „energie-auxotrophe“ Stamm benötigt eines zusätzlichen enzymatischen Systems zur NADH-Regenerierung, um auf Acetat wachsen zu können. Ich testete verschiedene NAD-abhängige Formiat- und Methanol-Dehydrogenasen in diesem Stamm und konnte zeigen, dass Wachstum auf Acetat durch Zugabe von Formiat oder Methanol ermöglicht wurde. Dies zeigt, dass der Stamm eine zuverlässige Testplattform für C1-oxidierende Enzyme darstellt. Unter Verwendung dieser Plattform wurden mehrere Kandidatenenzyme mit hoher in vivo-Aktivität identifiziert und als Kandidatenenzyme für synthetisches formatotrophes oder methylotrophes Wachstum in E. coli charakterisiert.   Im dritten Kapitel stelle ich die Etablierung des Serin-Threonin-Zyklus (STZ) – eines synthetischen Formiat-Assimilationswegs – in E. coli vor. In diesem Stoffwechselweg wird Formiat über die Formiat-Tetrahydrofolat-Ligase (FtfL) aus Methylobacterium extorquens (M. extorquens) assimiliert. Der Kohlenstoff aus Formiat wird an Glycin gebunden, um Serin zu produzieren, welches im nächsten Schritt in Pyruvat umgewandelt wird und so in den zentralen Kohlenstoffmetabolismus gelangt. Über den natürlichen Threonin-Synthese- und Spaltweg wird Glycin regeneriert und Acetyl-CoA als Produkt des Stoffwechselwegs generiert. Ich entwickelte mehrere E. coli Selektionsstämme, deren Wachstum von verschiedenen STZ-Modulen abhängt, und konnte Schlüsselenzyme bestimmen, die einen hohen Reaktionsfluss durch die Threonin-Synthese und -Spaltung ermöglichen. Ich konnte zeigen, dass die Expression einer Formiat-Dehydrogenase erforderlich ist, um Wachstum auf Pyruvat über Threonin zu erreichen. Durch Integration und Überexpression der meisten Enzyme des STZ auf Genomebene und Anwendung adaptiver Laborevolution wurde Wachstum auf Glycin und Formiat erreicht, was bedeutet, dass der gesamte Serin-Threonin-Zyklus in E. coli aktiv ist. Das vierte Kapitel zeigt die Etablierung des reduktiven Glycinwegs (rGW) – eines kurzen, linearen Formiat-Assimilierungswegs – in E. coli. Wie im STZ wird Formiat über M. extorquens FtfL assimiliert. Dabei wird das Kohlenstoffatom aus Formiat mit CO2 über die umgekehrte Reaktion des Glycin-Spaltungssystems zu Glycin kondensiert. Ein weiteres Kohlenstoffatom aus Formiat wird an Glycin gebunden, um Serin zu bilden, welches über Pyruvat in den Zentralstoffwechsel gelangt. Durch Expression der rGW Enzyme auf Genomebene und adaptive Laborevolution wurde ein E. coli Stamm erzeugt welcher über den rGW auf Formiat oder Methanol als einziger Kohlenstoff- und Energiequelle wachsen kann. KW - metabolic engineering KW - E. coli KW - formate assimilation KW - methanol assimilation KW - energy metabolism Y1 - 2020 ER - TY - THES A1 - Wendi, Dadiyorto T1 - Recurrence Plots and Quantification Analysis of Flood Runoff Dynamics T1 - Rekurrenzplot und quantitativen Analyse von Hochwasserabflüssen Dynamik N2 - This paper introduces a novel measure to assess similarity between event hydrographs. It is based on Cross Recurrence Plots and Recurrence Quantification Analysis which have recently gained attention in a range of disciplines when dealing with complex systems. The method attempts to quantify the event runoff dynamics and is based on the time delay embedded phase space representation of discharge hydrographs. A phase space trajectory is reconstructed from the event hydrograph, and pairs of hydrographs are compared to each other based on the distance of their phase space trajectories. Time delay embedding allows considering the multi-dimensional relationships between different points in time within the event. Hence, the temporal succession of discharge values is taken into account, such as the impact of the initial conditions on the runoff event. We provide an introduction to Cross Recurrence Plots and discuss their parameterization. An application example based on flood time series demonstrates how the method can be used to measure the similarity or dissimilarity of events, and how it can be used to detect events with rare runoff dynamics. It is argued that this methods provides a more comprehensive approach to quantify hydrograph similarity compared to conventional hydrological signatures. N2 - Ziel dieser Arbeit ist es, eine Methode und einen umfassenden Index, die die Quantifizierung von Veränderungen in Hochwasserabflüssen über die Zeit ermöglichen, zu entwickeln. Als Proxydaten zur Detektion von Veränderungen dienen Abflusszeitreihen, da diese räumlich-zeitliche Änderungen von Prozessen im Einzugsgebiet integrieren. Einhergehend mit Veränderungen in den Rahmenbedingungen hydrologischer Systeme, beispielsweise Klimaänderungen, Veränderungen im Flussnetzwerk oder der Bodenbedeckung, sind Veränderungen in der Abflussdynamik zu erwarten. Urbanisierung, Klimawandel und veränderte wasserwirtschaftliche Nutzung können erheblichen Einfluss auf Hochwassercharakteristika haben, sodass die auf die abflussverursachenden Prozesse bezogene Hochwassertypologie obsolet wird. Außerdem kann es zur Überlagerung verschiedener Prozesse und der Bildung präzedenzloser Hochwasserdynamiken kommen. Üblicherweise wird seltenen Hochwasserereignissen eine über einen langen Zeitraum bestimmte Wiederkehrwahrscheinlichkeit zugewiesen. Allerdings wird die assoziierte Wiederkehrdauer häufig nur auf der Grundlage des Höchstwasserstandes ermittelt und ist nicht umfassend genug, um die unterschiedlichen Prozesstypen zu erfassen. Um umfassendere Abflussmerkmale in die Hochwassercharakterisierung aufzunehmen, wird die Charakterisierung der Abflussdynamik mittels der kontinuierlichen Gestalt des Hydrographen und als Kurve im Phasenraum empfohlen. Durch die Berücksichtigung des Taken‘schen Satzes zur Einbettung der Zeitverzögerung können ereignisbasierte Hydrographen weiter unterschieden werden. Dieser Ansatz nutzt die zeitliche Abfolge gemessener Abflusswerte, sodass der Einfluss der anfänglichen Werte auf das Hochwasserereignis als charakteristischer Vektor im multidimensionalen Phasenraum interpretiert werden kann. Im Rahmen dieser Arbeit wurden, erstmals im Bereich der Hydrologie, ‚Recurrence Plot‘ (RP) und ‚Recurrence Quantification Analysis‘ RQA eingesetzt, um die Seltenheit bzw. Ähnlichkeit von Abflussdynamiken zu visualisieren und identifizieren. Ebenso werden Anwendungsbeispiele im Bereich der Hydrologie, die das Konzept der Charakterisierung von Abflussdynamiken und den Nutzen des eingeführten Ähnlichkeitsindex verdeutlichen, vorgestellt. Außerdem wurde die Methodik weiterentwickelt und zeichnet sich nun durch erhöhte Robustheit gegenüber Störeinflüssen und eine bessere Anpassung an Abflussmessungen aus. Ein abschließendes Anwendungsbeispiel untersucht den in Dresden gemessenen Abfluss des ostdeutschen Elbe-Einzugsgebietes im Zeitraum von 1901 bis 2010. In dieser Studie werden Beispiele seltener und saisonunabhängiger Hochwasserereignisse, die durch ihre ungewöhnliche Abflussdynamik herausstechen, gezeigt und mit zugrundeliegenden abflussbildenden Prozessen in Verbindung gebracht. KW - Hydrograph Analysis KW - Time Embedded Phase Space KW - Rare and Unseasonal Flood KW - Non-stationary Flood Risk KW - Chaos Theory KW - Recurrence Plots KW - Flood Risk Big Data Mining KW - Flood Change KW - Non-linear Geoscience KW - Chaostheorie KW - Änderungen des Hochwassers KW - Big data mining zu Hochwasserrisiken KW - Analyse von Abflussganglinien KW - nichtlineare Geowissenschaften KW - nichtstationäres Hochwasserrisiko KW - seltenes und saisonunübliches Hochwasser KW - Rekurrenzplot KW - Phasenraum des Time Delay Embedding Y1 - 2018 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-431915 ER - TY - THES A1 - Welsch, Maryna T1 - Investigation of the stress tolerance regulatory network integration of the NAC transcription factor JUNGBRUNNEN1 (JUB1) T1 - Untersuchung des Stresstoleranz-Regulationsnetzwerks des NAC-Transkriptionsfaktors JUNGBRUNNEN1 (JUB1) N2 - The NAC transcription factor (TF) JUNGBRUNNEN1 (JUB1) is an important negative regulator of plant senescence, as well as of gibberellic acid (GA) and brassinosteroid (BR) biosynthesis in Arabidopsis thaliana. Overexpression of JUB1 promotes longevity and enhances tolerance to drought and other abiotic stresses. A similar role of JUB1 has been observed in other plant species, including tomato and banana. Our data show that JUB1 overexpressors (JUB1-OXs) accumulate higher levels of proline than WT plants under control conditions, during the onset of drought stress, and thereafter. We identified that overexpression of JUB1 induces key proline biosynthesis and suppresses key proline degradation genes. Furthermore, bZIP63, the transcription factor involved in proline metabolism, was identified as a novel downstream target of JUB1 by Yeast One-Hybrid (Y1H) analysis and Chromatin immunoprecipitation (ChIP). However, based on Electrophoretic Mobility Shift Assay (EMSA), direct binding of JUB1 to bZIP63 could not be confirmed. Our data indicate that JUB1-OX plants exhibit reduced stomatal conductance under control conditions. However, selective overexpression of JUB1 in guard cells did not improve drought stress tolerance in Arabidopsis. Moreover, the drought-tolerant phenotype of JUB1 overexpressors does not solely depend on the transcriptional control of the DREB2A gene. Thus, our data suggest that JUB1 confers tolerance to drought stress by regulating multiple components. Until today, none of the previous studies on JUB1´s regulatory network focused on identifying protein-protein interactions. We, therefore, performed a yeast two-hybrid screen (Y2H) which identified several protein interactors of JUB1, two of which are the calcium-binding proteins CaM1 and CaM4. Both proteins interact with JUB1 in the nucleus of Arabidopsis protoplasts. Moreover, JUB1 is expressed with CaM1 and CaM4 under the same conditions. Since CaM1.1 and CaM4.1 encode proteins with identical amino acid sequences, all further experiments were performed with constructs involving the CaM4 coding sequence. Our data show that JUB1 harbors multiple CaM-binding sites, which are localized in both the N-terminal and C-terminal regions of the protein. One of the CaM-binding sites, localized in the DNA-binding domain of JUB1, was identified as a functional CaM-binding site since its mutation strongly reduced the binding of CaM4 to JUB1. Furthermore, JUB1 transactivates expression of the stress-related gene DREB2A in mesophyll cells; this effect is significantly reduced when the calcium-binding protein CaM4 is expressed as well. Overexpression of both genes in Arabidopsis results in early senescence observed through lower chlorophyll content and an enhanced expression of senescence-associated genes (SAGs) when compared with single JUB1 overexpressors. Our data also show that JUB1 and CaM4 proteins interact in senescent leaves, which have increased Ca2+ levels when compared to young leaves. Collectively, our data indicate that JUB1 activity towards its downstream targets is fine-tuned by calcium-binding proteins during leaf senescence. N2 - Der NAC Transkriptionsfaktor (TF) JUNGBRUNNEN1 (JUB1) ist ein wichtiger negativer Regulator der Pflanzenseneszenz, Gibberellinsäure- (GA) und Brassinosteroid- (BR) Biosynthese in Arabidopsis thaliana. Die Überexpression von JUB1 fördert die Langlebigkeit und erhöht die Toleranz gegenüber Trockenheit und anderen abiotischen Belastungen. Bei anderen Pflanzenarten, einschließlich Tomaten und Bananen, wurde eine ähnliche Rolle von JUB1 beobachtet. Unsere Daten zeigen, dass JUB1 Überexpressionslinien im Vergleich zu WT-Pflanzen sowohl unter Kontrollbedingungen, als auch zu Beginn und während späterer Stadien von Trockenstress größere Mengen an Prolin akkumulieren. Wir haben festgestellt, dass die Überexpression von JUB1 die Schlüsselbiosynthese von Prolin induziert und Schlüsselgene für den Abbau von Prolin unterdrückt. Darüber hinaus wurde bZIP63, ein am Prolinstoffwechsel beteiligter Transkriptionsfaktor, mittels Yeast One-Hybrid-System (Y1H) und Chromatin-Immunopräzipitation (ChIP) als neues nachgeschaltetes Ziel von JUB1 identifiziert. Basierend auf dem Electrophoretic Mobility Shift Assay (EMSA) konnte die direkte Bindung von JUB1 an bZIP63 jedoch nicht bestätigt werden. Unsere Daten zeigen, dass JUB1-OXs unter Kontrollbedingungen eine niedrigere stomatale Leitfähigkeit aufweisen. Allerdings verbessert eine selektive Überexpression von JUB1 in den Schließzellen die Trockenstresstoleranz bei Arabidopsis nicht. Darüber hinaus hängt der trockenheitstolerante Phänotyp von JUB1 nicht allein von der transkriptionellen Kontrolle des DREB2A-Gens ab. Unsere Daten legen daher nahe, dass JUB1 durch die Regulierung mehrerer Komponenten Toleranz gegenüber Trockenstress verleiht. Bis heute konzentrierte sich keine der bisherigen Studien zum regulatorischen Netzwerk von JUB1 auf die Identifizierung von Protein-Protein-Interaktionen. Wir führten deshalb einen Hefe-Zwei-Hybrid-Screen (Y2H) durch, der mehrere Protein-Interaktoren von JUB1 identifizierte, von denen zwei Calcium-bindende Proteine sind (CaM1 und CaM4). Beide Proteine interagieren mit JUB1 im Kern von Arabidopsis-Protoplasten. Darüber hinaus wird JUB1 mit den CaM1- und CaM4-Genen unter den gleichen Bedingungen exprimiert und kolokalisiert mit den Proteinen im Zellkern von Arabidopsis thaliana-Protoplasten. Unsere Daten zeigen, dass JUB1 mehrere CaM-Bindungsstellen aufweist, die sowohl in der N-terminalen, als auch in der C-terminalen Region des Proteins lokalisiert sind. Eine der CaM-Bindungsstellen, die in der DNA-Bindungsdomäne von JUB1 lokalisiert ist, wurde als funktionelle und aktive CaM-Bindungsstelle identifiziert, da ihre Mutation die Bindung von CaM4 an JUB1 stark reduzierte. Darüber hinaus transaktiviert JUB1 die Expression des stressbezogenen Gens DREB2A in Mesophyllzellen. Dieser Effekt wird deutlich reduziert, wenn auch das Calcium-bindende Protein CaM4 exprimiert wird. Die Überexpression beider Gene in Arabidopsis führt zum frühen Seneszenz-Phänotyp, der durch einen verminderten Chlorophyllgehalt und eine veränderte SAGs-Expression im Vergleich zu einzelnen JUB1-Überexpressoren beobachtet wird. Unsere Daten zeigen auch, dass JUB1- und CaM4-Proteine in den seneszenten Blättern, die im Vergleich zu jungen Blättern erhöhte Ca2+-spiegel aufweisen, interagieren. Zusammenfassend weisen unsere Daten darauf hin, dass während der Blattseneszenz die Aktivität von JUB1 gegenüber seinen nachgeschalteten Zielen durch die Calcium-bindenden Proteine fein abgestimmt wird. KW - transcription factor KW - senescence KW - calmodulin KW - JUB1 KW - CaM4 KW - drought stress KW - CaM4 KW - JUB1 KW - calmodulin KW - Trockenstress KW - Seneszenz KW - Transkriptionsfaktor Y1 - 2022 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-547310 ER - TY - BOOK A1 - Weiß, Norman A1 - Verlaan, Stephanie A1 - Vasquez Carruthers, Juan Francisco A1 - Mair, Theresa A1 - Conner, Sean A1 - Maaser, Lucas A1 - Röthlisberger, Livia ED - Weiß, Norman T1 - Transitional Justice BT - Theoretical and Practical Approaches T3 - Potsdamer Studien zu Staat, Recht und Politik N2 - This publication deals with the topic of transitional justice. In six case studies, the authors link theoretical and practical implications in order to develop some innovative approaches. Their proposals might help to deal more effectively with the transition of societies, legal orders and political systems. Young academics from various backgrounds provide fresh insights and demonstrate the relevance of the topic. The chapters analyse transitions and conflicts in Sierra Leone, Argentina, Nicaragua, Nepal, and South Sudan as well as Germany’s colonial genocide in Namibia. Thus, the book provides the reader with new insights and contributes to the ongoing debate about transitional justice. N2 - Gegenstand dieser Publikation ist das Thema „Transitional Justice“. In sechs Fallstudien verknüpfen die Autoren theoretische und praktische Implikationen, um innovative Ansätze zu entwickeln. Ihre Vorschläge wollen dazu beitragen, den Übergangsprozess von Gesellschaften, Rechtsordnungen und politischen Systemen effektiver zu gestalten. Nachwuchswissenschaftler mit unterschiedlichem fachlichem Hintergrund geben hier neue Einblicke und zeigen die fortdauernde Relevanz des Themas. Die Kapitel analysieren Übergänge und Konflikte in Sierra Leone, Argentinien, Nicaragua, Nepal und Süd-Sudan sowie den kolonialen Völkermord in Namibia. So liefert das Buch dem Leser neue Erkenntnisse und trägt zur laufenden Debatte über das Thema „Transitional Justice“ bei. T3 - Potsdamer Studien zu Staat, Recht und Politik - 7 KW - transitional justice KW - transformation KW - transformative justice KW - reconciliation KW - political opportunism KW - Übergangsjustiz KW - Transformation KW - Versöhnung KW - Demokratisierung Y1 - 2022 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-431711 SN - 978-3-86956-473-9 SN - 1869-2443 SN - 1867-2663 IS - 7 PB - Universitätsverlag Potsdam CY - Potsdam ER - TY - JOUR A1 - Weithoff, Guntram A1 - Bell, Elanor Margaret T1 - Complex Trophic Interactions in an Acidophilic Microbial Community JF - Microorganisms N2 - Extreme habitats often harbor specific communities that differ substantially from non-extreme habitats. In many cases, these communities are characterized by archaea, bacteria and protists, whereas the number of species of metazoa and higher plants is relatively low. In extremely acidic habitats, mostly prokaryotes and protists thrive, and only very few metazoa thrive, for example, rotifers. Since many studies have investigated the physiology and ecology of individual species, there is still a gap in research on direct, trophic interactions among extremophiles. To fill this gap, we experimentally studied the trophic interactions between a predatory protist (Actinophrys sol, Heliozoa) and its prey, the rotifers Elosa woralli and Cephalodella sp., the ciliate Urosomoida sp. and the mixotrophic protist Chlamydomonas acidophila (a green phytoflagellate, Chlorophyta). We found substantial predation pressure on all animal prey. High densities of Chlamydomonas acidophila reduced the predation impact on the rotifers by interfering with the feeding behaviour of A. sol. These trophic relations represent a natural case of intraguild predation, with Chlamydomonas acidophila being the common prey and the rotifers/ciliate and A. sol being the intraguild prey and predator, respectively. We further studied this intraguild predation along a resource gradient using Cephalodella sp. as the intraguild prey. The interactions among the three species led to an increase in relative rotifer abundance with increasing resource (Chlamydomonas) densities. By applying a series of laboratory experiments, we revealed the complexity of trophic interactions within a natural extremophilic community. KW - acid mine drainage KW - extremophiles KW - food web KW - heliozoa KW - intraguild predation KW - mining lakes KW - Rotifera Y1 - 2022 U6 - https://doi.org/10.3390/microorganisms10071340 SN - 2076-2607 VL - 10 SP - 1 EP - 10 PB - MDPI CY - Basel, Schweiz ET - 7 ER - TY - JOUR A1 - Weise, Martin T1 - A model for teaching informatics to German secondary school students in English-language bilingual education JF - Commentarii informaticae didacticae : (CID) N2 - Informatics as a school subject has been virtually absent from bilingual education programs in German secondary schools. Most bilingual programs in German secondary education started out by focusing on subjects from the field of social sciences. Teachers and bilingual curriculum experts alike have been regarding those as the most suitable subjects for bilingual instruction – largely due to the intercultural perspective that a bilingual approach provides. And though one cannot deny the gain that ensues from an intercultural perspective on subjects such as history or geography, this benefit is certainly not limited to social science subjects. In consequence, bilingual curriculum designers have already begun to include other subjects such as physics or chemistry in bilingual school programs. It only seems a small step to extend this to informatics. This paper will start out by addressing potential benefits of adding informatics to the range of subjects taught as part of English-language bilingual programs in German secondary education. In a second step it will sketch out a methodological (= didactical) model for teaching informatics to German learners through English. It will then provide two items of hands-on and tested teaching material in accordance with this model. The discussion will conclude with a brief outlook on the chances and prerequisites of firmly establishing informatics as part of bilingual school curricula in Germany. Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-64568 SN - 1868-0844 SN - 2191-1940 IS - 6 SP - 127 EP - 137 PB - Universitätsverlag Potsdam CY - Potsdam ER - TY - CHAP A1 - Weis, K. T1 - Wind relics : clumps, inhomogeneities and outflows in LBV nebulae N2 - The most massive stars are those with the shortest but most active life. One group of massive stars, the Luminous Blue Variables (LBVs), of which only a few objects are known, are in particular of interest concerning the stability of stars. They have a high mass loss rate and are close to being instable. This is even more likely as rotation becomes an important factor in stellar evolution of these stars. Through massive stellar winds and sometimes giant eruptions, LBV nebulae are formed. Various aspects in the evolution in the LBV phase lead, beside the large scale morphological and kinematical differences, to a diversity of small structures like clumps, rims, and outflows in these nebulae. Y1 - 2007 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-18235 ER - TY - JOUR A1 - Weinmann, Franziska T1 - Mothers of Seafaring BT - Henrietta Diamond and the Question of Female Representation in the Jewish Maritime Realm JF - PaRDeS : Journal of the Association for Jewish Studies in Germany JF - PaRDeS : Zeitschrift der Vereinigung für Jüdische Studien e.V. N2 - The article aims to trace the contribution of Jewish women in the Yishuv’s maritime history. Taking the example of Henrietta Diamond, a founding member and chairperson of the Zebulun Seafaring Society, the article seeks to explore the representation and role of women in a growing Jewish maritime domain from the 1930s to the 1950s. It examines Zionist narratives on the ‘New Jew’ and the Jewish body and studies their relevance for the emerging field of maritime activities in the Yishuv. By contextualizing the work and depiction of Henrietta Diamond, the article sheds new light on the gendered notions that underlay the emergence of the Jewish maritime domain and illustrates the patterns of inclusion and exclusion in it. Y1 - 2023 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-585563 SN - 978-3-86956-552-1 SN - 1614-6492 SN - 1862-7684 IS - 28 SP - 52 EP - 67 PB - Universitätsverlag Potsdam CY - Potsdam ER - TY - CHAP A1 - Watson, Bruce W. T1 - Advances in automata implementation techniques (Abstract) Y1 - 2008 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-27094 ER - TY - GEN A1 - Watanabe, Yuji A1 - Püschel, Gerhard Paul A1 - Gardemann, Andreas A1 - Jungermann, Kurt T1 - Presinusoidal and proximal intrasinusoidal confluence of hepatic artery and portal vein in rat liver : functional evidence by orthograde and retrograde bivascular perfusion N2 - The site of confluence of the artery and the portal vein in the liver still appears to be controversial. Anatomical studies suggested a presinusoidal or an intrasinusoidal confluence in the first, second or even final third of the sinusoids. The objective of this investigation was to study the problem with functional biochemical techniques. Rat livers were perfused through the hepatic artery and simultaneously either in the orthograde direction from the portal vein to the hepatic vein or in the retrograde direction from the hepatic vein to the portal vein. Arterial how was linearly dependent on arterial pressure between 70 cm H2O and 120 cm H2O at a constant portal or hepatovenous pressure of 18 cm H2O. An arterial pressure of 100 cm H2O was required for the maintenance of a homogeneous orthograde perfusion of the whole parenchyma and of a physiologic ratio of arterial to portal how of about 1:3. Glucagon was infused either through the artery or the portal vein and hepatic vein, respectively, to a submaximally effective ''calculated'' sinusoidal concentration after mixing of 0.1 nmol/L. During orthograde perfusions, arterial and portal glucagon caused the same increases in glucose output. Yet during retrograde perfusions, hepatovenous glucagon elicited metabolic alterations equal to those in orthograde perfusions, whereas arterial glucagon effected changes strongly reduced to between 10% and 50%. Arterially infused trypan blue was distributed homogeneously in the parenchyma during orthograde perfusions, whereas it reached clearly smaller areas of parenchyma during retrograde perfusions. Finally, arterially applied acridine orange was taken up by all periportal hepatocytes in the proximal half of the acinus during orthograde perfusions but only by a much smaller portion of periportal cells in the proximal third of the acinus during retrograde perfusions. These findings suggest that in rat liver, the hepatic artery and the portal vein mix before and within the first third of the sinusoids, rather than in the middle or even last third. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - paper 067 KW - Hepatic artery KW - Portal vein KW - Confluence KW - Rat KW - Animal KW - Experimental study KW - Anatomy KW - Biochemical analysis KW - Technique KW - Perfusion KW - Exploration Y1 - 1994 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-16702 ER - TY - JOUR A1 - Waswa, Fuchaka A1 - Abenga, Elizabeth A1 - Indede, Florence T1 - Enhancing Completion Rates through Structural and Operational Changes in the Management of Postgraduate Programmes in Kenya’s Public Universities JF - Potsdamer Beiträge zur Hochschulforschung N2 - During the National Multiplication Training in Kenya in 2018, participants raised concerns about attrition, completion rates and quality of PhD programmes in Kenya’s public universities. This led the authors of this article to further examine the question of PhD completion rates. Available data underlined that PhD students across various disciplines in Kenya’s public universities take unnecessarily long to complete their studies due to a myriad of factors that are related to their supervisors, university guidelines for post-graduate studies, or the students themselves. This article examines inertia areas along the PhD training pathway at three public universities in Kenya and provides suggestions on structural and operational changes universities must make to shorten completion periods. KW - doctoral studies KW - completion rates KW - structural and operational changes KW - public universities in Kenya Y1 - 2020 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-493468 SN - 978-3-86956-496-8 SN - 2192-1075 SN - 2192-1083 IS - 5 SP - 85 EP - 101 PB - Universitätsverlag Potsdam CY - Potsdam ER - TY - JOUR A1 - Wassner, Dalia T1 - The Port Jew and Nuestra América BT - Narratives of Collective Responsibility and Belonging JF - PaRDeS : Journal of the Association for Jewish Studies in Germany JF - PaRDeS : Zeitschrift der Vereinigung für Jüdische Studien e.V. N2 - Jacob Brandon Maduro’s Memoirs and Related Observations (Havana, 1953) speak to the lasting yet malleable legacy of Jewish Caribbean/Atlantic mercantile communities that defined early modern settlement in the Americas. A close reading of the Memoirs, alongside relevant archival records and community narratives, lends new perspectives to scholarship on Port Jewries and the Atlantic Diaspora. Specifically concerned with Jacob’s adoption of such leading intellectual and political tropes as the Monroe doctrine, José Martí’s Nuestra America, and a Zionism that evolved from an ideology to a reality, the Memoirs reveal a narrative at once defined by the tremendous upheavals of the first half of the 20th century, and an enduring sense of Jewish diasporic peoplehood defined through a Port Jew paradigm whereby the preservation of Jewish ethnicity is understood as synonymous with the championing of modernity. Y1 - 2023 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-585580 SN - 978-3-86956-552-1 SN - 1614-6492 SN - 1862-7684 IS - 28 SP - 84 EP - 99 PB - Universitätsverlag Potsdam CY - Potsdam ER - TY - JOUR A1 - Warschburger, Petra A1 - Wortmann, Hanna Rosalie A1 - Gisch, Ulrike Alexandra A1 - Baer, Nadja-Raphaela A1 - Schenk, Liane A1 - Anton, Verena A1 - Bergmann, Manuela M. T1 - An experimental approach to training interoceptive sensitivity BT - study protocol for a pilot randomized controlled trial JF - Nutrition Journal N2 - Background Eating in absence of hunger is quite common and often associated with an increased energy intake co-existent with a poorer food choice. Intuitive eating (IE), i.e., eating in accordance with internal hunger and satiety cues, may protect from overeating. IE, however, requires accurate perception and processing of one’s own bodily signals, also referred to as interoceptive sensitivity. Training interoceptive sensitivity might therefore be an effective method to promote IE and prevent overeating. As most studies on eating behavior are conducted in younger adults and close social relationships influence health-related behavior, this study focuses on middle-aged and older couples. Methods The present pilot randomized intervention study aims at investigating the feasibility and effectiveness of a 21-day mindfulness-based training program designed to increase interoceptive sensitivity. A total of N = 60 couples participating in the NutriAct Family Study, aged 50–80 years, will be recruited. This randomized-controlled intervention study comprises three measurement points (pre-intervention, post-intervention, 4-week follow-up) and a 21-day training that consists of daily mindfulness-based guided audio exercises (e.g., body scan). A three-arm intervention study design is applied to compare two intervention groups (training together as a couple vs. training alone) with a control group (no training). Each measurement point includes the assessment of self-reported and objective indicators of interoceptive sensitivity (primary outcome), self-reported indicators of intuitive and maladaptive eating (secondary outcomes), and additional variables. A training evaluation applying focus group discussions will be conducted to assess participants’ overall acceptance of the training and its feasibility. Discussion By investigating the feasibility and effectiveness of a mindfulness-based training program to increase interoceptive sensitivity, the present study will contribute to a deeper understanding of how to promote healthy eating in older age. KW - Digital intervention KW - Older adults KW - Interoception KW - Eating behavior KW - Intuitive eating KW - Partnership KW - Mindfulness KW - Randomized-controlled trial KW - NutriAct Family Study KW - Mixed methods Y1 - 2022 U6 - https://doi.org/10.1186/s12937-022-00827-4 SN - 1475-2891 VL - 21 PB - Springer Nature CY - London ER - TY - JOUR A1 - Warschburger, Petra A1 - Petersen, Ann-Christin A1 - von Rezori, Roman Enzio A1 - Buchallik, Friederike A1 - Baumeister, Harald A1 - Holl, Reinhard A1 - Minden, Kirsten A1 - Müller-​Stierlin, Annabel Sandra A1 - Reinauer, Christina A1 - Staab, Doris A1 - COACH consortium, T1 - A prospective investigation of developmental trajectories of psychosocial adjustment in adolescents facing a chronic condition - study protocol of an observational, multi-center study JF - BMC Pediatrics N2 - Background Relatively little is known about protective factors and the emergence and maintenance of positive outcomes in the field of adolescents with chronic conditions. Therefore, the primary aim of the study is to acquire a deeper understanding of the dynamic process of resilience factors, coping strategies and psychosocial adjustment of adolescents living with chronic conditions. Methods/design We plan to consecutively recruit N = 450 adolescents (12–21 years) from three German patient registries for chronic conditions (type 1 diabetes, cystic fibrosis, or juvenile idiopathic arthritis). Based on screening for anxiety and depression, adolescents are assigned to two parallel groups – “inconspicuous” (PHQ-9 and GAD-7 < 7) vs. “conspicuous” (PHQ-9 or GAD-7 ≥ 7) – participating in a prospective online survey at baseline and 12-month follow-up. At two time points (T1, T2), we assess (1) intra- and interpersonal resiliency factors, (2) coping strategies, and (3) health-related quality of life, well-being, satisfaction with life, anxiety and depression. Using a cross-lagged panel design, we will examine the bidirectional longitudinal relations between resiliency factors and coping strategies, psychological adaptation, and psychosocial adjustment. To monitor Covid-19 pandemic effects, participants are also invited to take part in an intermediate online survey. Discussion The study will provide a deeper understanding of adaptive, potentially modifiable processes and will therefore help to develop novel, tailored interventions supporting a positive adaptation in youths with a chronic condition. These strategies should not only support those at risk but also promote the maintenance of a successful adaptation. Trial registration German Clinical Trials Register (DRKS), no. DRKS00025125. Registered on May 17, 2021. KW - Chronic conditions KW - Adolescents KW - Prospective KW - Quality of life KW - Resiliency KW - Coping KW - Protective factors KW - Type 1 diabetes KW - Juvenile idiopathic arthritis KW - Cystic fibrosis Y1 - 2021 U6 - https://doi.org/10.1186/s12887-021-02869-9 SN - 1471-2431 VL - 21 SP - 1 EP - 13 PB - BMC pediatrics CY - London ER - TY - JOUR A1 - Wang, Wei A1 - Cherstvy, Andrey G. A1 - Metzler, Ralf A1 - Sokolov, Igor M. T1 - Restoring ergodicity of stochastically reset anomalous-diffusion processes JF - Physical Review Research N2 - How do different reset protocols affect ergodicity of a diffusion process in single-particle-tracking experiments? We here address the problem of resetting of an arbitrary stochastic anomalous-diffusion process (ADP) from the general mathematical points of view and assess ergodicity of such reset ADPs for an arbitrary resetting protocol. The process of stochastic resetting describes the events of the instantaneous restart of a particle’s motion via randomly distributed returns to a preset initial position (or a set of those). The waiting times of such resetting events obey the Poissonian, Gamma, or more generic distributions with specified conditions regarding the existence of moments. Within these general approaches, we derive general analytical results and support them by computer simulations for the behavior of the reset mean-squared displacement (MSD), the new reset increment-MSD (iMSD), and the mean reset time-averaged MSD (TAMSD). For parental nonreset ADPs with the MSD(t)∝ tμ we find a generic behavior and a switch of the short-time growth of the reset iMSD and mean reset TAMSDs from ∝ _μ for subdiffusive to ∝ _1 for superdiffusive reset ADPs. The critical condition for a reset ADP that recovers its ergodicity is found to be more general than that for the nonequilibrium stationary state, where obviously the iMSD and the mean TAMSD are equal. The consideration of the new statistical quantifier, the iMSD—as compared to the standard MSD—restores the ergodicity of an arbitrary reset ADP in all situations when the μth moment of the waiting-time distribution of resetting events is finite. Potential applications of these new resetting results are, inter alia, in the area of biophysical and soft-matter systems. Y1 - 2022 U6 - https://doi.org/10.1103/PhysRevResearch.4.013161 SN - 2643-1564 VL - 4 SP - 013161-1 EP - 013161-13 PB - American Physical Society CY - College Park, Maryland, United States ET - 1 ER - TY - CHAP A1 - Walter, R. A1 - Zurita-Heras, J. A1 - Leyder, J.-C. T1 - Probing clumpy stellar winds with a neutron star N2 - INTEGRAL tripled the number of super-giant high-mass X-ray binaries (sgHMXB) known in the Galaxy by revealing absorbed and fast transient (SFXT) systems. Quantitative constraints on the wind clumping of massive stars can be obtained from the study of the hard X-ray variability of SFXT. A large fraction of the hard X-ray emission is emitted in the form of flares with a typical duration of 3 ksec, frequency of 7 days and luminosity of $10^{36}$ erg/s. Such flares are most probably emitted by the interaction of a compact object orbiting at $\sim10~R_*$ with wind clumps ($10^{22 ... 23}$ g) representing a large fraction of the stellar mass-loss rate. The density ratio between the clumps and the inter-clump medium is $10^{2 ... 4}$. The parameters of the clumps and of the inter-clump medium, derived from the SFXT flaring behavior, are in good agreement with macro-clumping scenario and line-driven instability simulations. SFXT are likely to have larger orbital radius than classical sgHMXB. Y1 - 2007 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-18024 ER - TY - THES A1 - Wagner, Dirk T1 - Microbial perspectives of the methane cycle in permafrost ecosystems in the Eastern Siberian Arctic : implications for the global methane budget N2 - The Arctic plays a key role in Earth’s climate system as global warming is predicted to be most pronounced at high latitudes and because one third of the global carbon pool is stored in ecosystems of the northern latitudes. In order to improve our understanding of the present and future carbon dynamics in climate sensitive permafrost ecosystems, the present study concentrates on investigations of microbial controls of methane fluxes, on the activity and structure of the involved microbial communities, and on their response to changing environmental conditions. For this purpose an integrated research strategy was applied, which connects trace gas flux measurements to soil ecological characterisation of permafrost habitats and molecular ecological analyses of microbial populations. Furthermore, methanogenic archaea isolated from Siberian permafrost have been used as potential keystone organisms for studying and assessing life under extreme living conditions. Long-term studies on methane fluxes were carried out since 1998. These studies revealed considerable seasonal and spatial variations of methane emissions for the different landscape units ranging from 0 to 362 mg m-2 d-1. For the overall balance of methane emissions from the entire delta, the first land cover classification based on Landsat images was performed and applied for an upscaling of the methane flux data sets. The regionally weighted mean daily methane emissions of the Lena Delta (10 mg m-2 d-1) are only one fifth of the values calculated for other Arctic tundra environments. The calculated annual methane emission of the Lena Delta amounts to about 0.03 Tg. The low methane emission rates obtained in this study are the result of the used remotely sensed high-resolution data basis, which provides a more realistic estimation of the real methane emissions on a regional scale. Soil temperature and near soil surface atmospheric turbulence were identified as the driving parameters of methane emissions. A flux model based on these variables explained variations of the methane budget corresponding to continuous processes of microbial methane production and oxidation, and gas diffusion through soil and plants reasonably well. The results show that the Lena Delta contributes significantly to the global methane balance because of its extensive wetland areas. The microbiological investigations showed that permafrost soils are colonized by high numbers of microorganisms. The total biomass is comparable to temperate soil ecosystems. Activities of methanogens and methanotrophs differed significantly in their rates and distribution patterns along both the vertical profiles and the different investigated soils. The methane production rates varied between 0.3 and 38.9 nmol h-1 g-1, while the methane oxidation ranged from 0.2 to 7.0 nmol h-1 g-1. Phylogenetic analyses of methanogenic communities revealed a distinct diversity of methanogens affiliated to Methanomicrobiaceae, Methanosarcinaceae and Methanosaetaceae, which partly form four specific permafrost clusters. The results demonstrate the close relationship between methane fluxes and the fundamental microbiological processes in permafrost soils. The microorganisms do not only survive in their extreme habitat but also can be metabolic active under in situ conditions. It was shown that a slight increase of the temperature can lead to a substantial increase in methanogenic activity within perennially frozen deposits. In case of degradation, this would lead to an extensive expansion of the methane deposits with their subsequent impacts on total methane budget. Further studies on the stress response of methanogenic archaea, especially Methanosarcina SMA-21, isolated from Siberian permafrost, revealed an unexpected resistance of the microorganisms against unfavourable living conditions. A better adaptation to environmental stress was observed at 4 °C compared to 28 °C. For the first time it could be demonstrated that methanogenic archaea from terrestrial permafrost even survived simulated Martian conditions. The results show that permafrost methanogens are more resistant than methanogens from non-permafrost environments under Mars-like climate conditions. Microorganisms comparable to methanogens from terrestrial permafrost can be seen as one of the most likely candidates for life on Mars due to their physiological potential and metabolic specificity. N2 - Die Arktis spielt eine Schlüsselrolle im Klimasystem unserer Erde aus zweierlei Gründen. Zum einen wird vorausgesagt, dass die globale Erwärmung in den hohen Breiten am ausgeprägtesten sein wird. Zum anderen ist ein Drittel des globalen Kohlenstoffs in Ökosystemen der nördlichen Breiten gespeichert. Um ein besseres Verständnis der gegenwärtigen und zukünftigen Entwicklung der Kohlenstoffdynamik in klimaempfindlichen Permafrostökosystemen zu erlangen, konzentriert sich die vorliegende Arbeit auf Untersuchungen zur Kontrolle der Methanflüsse durch Mikroorganismen, auf die Aktivität und Struktur der beteiligten Mikroorganismen-gemeinschaften und auf ihre Reaktion auf sich ändernde Umweltbedingungen. Zu diesem Zweck wurde eine integrierte Forschungsstrategie entwickelt, die Spurengasmessungen mit boden- und molekularökologischen Untersuchungen der Mikroorganismengemeinschaften verknüpft. Langzeitmessungen zu den Methanflüssen werden seit 1998 durchgeführt. Diese Untersuchungen zeigten beträchtliche saisonale und räumliche Schwankungen der Methanemissionen auf, die zwischen 0 und 362 mg m-2 d-1 für die untersuchten Landschaftseinheiten schwankten. Für die Bilanzierung der Methanemissionen für das gesamte Delta wurde erstmals eine Klassifikation der unterschiedlichen Landschaftseinheiten anhand von Landsat-Aufnahmen durchgeführt und für eine Hochrechnung der Methandaten genutzt. Die Mittelwerte der regional gewichteten täglichen Methanemissionen des Lenadeltas (10 mg m-2 d-1) sind nur ein Fünftel so hoch wie die berechneten Werte für andere arktische Tundren. Die errechnete jährliche Methanemission des Lenadeltas beträgt demnach ungefähr 0,03 Tg. Die geringen Methanemissionsraten dieser Studie können durch den bisher noch nicht realisierten integrativen Ansatz, der Langzeitmessungen und Landschafts-klassifizierungen beinhaltet, erklärt werden. Bodentemperatur und oberflächennahe atmosphärische Turbulenzen wurden als die antreibenden Größen der Methanfreisetzung identifiziert. Ein Modell, das auf diesen Variablen basiert, erklärt die Veränderungen der Methanflüsse gemäß der dynamischen mikrobiellen Prozesse und der Diffusion von Methan durch den Boden und die Pflanzen zutreffend. Die Ergebnisse zeigen, dass das Lenadelta erheblich zur globalen Methanemission aufgrund seiner weitreichenden Feuchtgebiete beiträgt. Die mikrobiologischen Untersuchungen zeigten, dass Permafrostböden durch eine hohe Anzahl von Mikroorganismen besiedelt wird. Die Gesamtbiomasse ist dabei mit Bodenökosystemen gemäßigter Klimate vergleichbar. Die Stoffwechselaktivitäten von methanogenen Archaeen und methanotrophen Bakterien unterschieden sich erheblich in ihrer Rate und Verteilung im Tiefenprofil sowie zwischen den verschiedenen untersuchten Böden. Die Methanbildungsrate schwankte dabei zwischen 0,3 und 38,9 nmol h-1 g-1, während die Methanoxidation eine Rate von 0,2 bis 7,0 nmol h-1 g-1 aufwies. Phylogenetische Analysen der methanogenen Mikro-organismengemeinschaften zeigten eine ausgeprägte Diversität der methanogenen Archaeen auf. Die Umweltsequenzen bildeten vier spezifische Permafrostcluster aus, die den Gruppen Methanomicrobiaceae, Methanosarcinaceae und Methano-saetaceae zugeordnet werden konnten. Die Ergebnisse zeigen, dass die Methanfreisetzung durch die zugrunde liegenden mikrobiologischen Prozesse im Permafrostboden gesteuert wird. Die beteiligten Mikroorganismen überleben nicht nur in ihrem extremen Habitat, sondern zeigten auch Stoffwechselaktivität unter in-situ-Bedingungen. Ferner konnte gezeigt werden, dass eine geringfügige Zunahme der Temperatur zu einer erheblichen Zunahme der Methanbildungsaktivität in den ständig gefrorenen Permafrostablagerungen führen kann. Im Falle der Permafrostdegradation würde dieses zu einer gesteigerten Freisetzung von Methan führen mit bisher unbekannten Auswirkungen auf das Gesamtbudget der Methanfreistzung aus arktischen Gebieten. Weitere Untersuchungen zur Stresstoleranz von methanogenen Archaeen – insbesondere des neuen Permafrostisolates Methanosarcina SMA-21 - weisen eine unerwartete Widerstandsfähigkeit der Mikroorganismen gegenüber ungünstigen Lebensbedingungen auf. Eine bessere Anpassung an Umweltstress wurde bei 4°C im Vergleich zu 28°C beobachtet. Zum ersten Mal konnte gezeigt werden, dass methanogene Archaeen aus terrestrischem Permafrost unter simulierten Marsbedingungen unbeschadet überleben. Die Ergebnisse zeigen, dass methanogene Archaeen aus Permafrostböden resistenter gegenüber Umweltstress und Marsbedingungen sind als entsprechende Mikroorganismen aus Habitaten, die nicht durch Permafrost gekennzeichnet sind. Mikroorganismen, die den Archaeen aus terrestrischen Permafrosthabitaten ähneln, können als die wahrscheinlichsten Kandidaten für mögliches Leben auf dem Mars angesehen werden. KW - Methankreislauf KW - mikrobielle Prozesse KW - Diversität KW - Spurengasflüsse KW - Permafrostökosysteme KW - methane cycle KW - microbial processes KW - diversity KW - trace gas fluxes KW - permafrost ecosystems Y1 - 2007 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-15434 ER - TY - JOUR A1 - Wagner, Andreas T1 - Unity in diversity BT - integrating different linguistic data in TUSNELDA JF - Interdisciplinary studies on information structure : ISIS ; working papers of the SFB 632 N2 - This paper describes the creation and preparation of TUSNELDA, a collection of corpus data built for linguistic research. This collection contains a number of linguistically annotated corpora which differ in various aspects such as language, text sorts / data types, encoded annotation levels, and linguistic theories underlying the annotation. The paper focuses on this variation on the one hand and the way how these heterogeneous data are integrated into one resource on the other hand. Y1 - 2005 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-8625 SN - 1866-4725 SN - 1614-4708 IS - 2 SP - 1 EP - 20 ER - TY - GEN A1 - Wacker, Alexander A1 - von Elert, Eric T1 - Polyunsaturated fatty acids : evidence for non-substitutable biochemical resources in Daphnia galeata N2 - The factors that determine the efficiency of energy transfer in aquatic food webs have been investigated for many decades. The plant-animal interface is the most variable and least predictable of all levels in the food web. In order to study determinants of food quality in a large lake and to test the recently proposed central importance of the long-chained eicosapentaenoic acid (EPA) at the pelagic producer-grazer interface, we tested the importance of polyunsaturated fatty acids (PUFAs) at the pelagic producerconsumer interface by correlating sestonic food parameters with somatic growth rates of a clone of Daphnia galeata. Daphnia growth rates were obtained from standardized laboratory experiments spanning one season with Daphnia feeding on natural seston from Lake Constance, a large pre-alpine lake. Somatic growth rates were fitted to sestonic parameters by using a saturation function. A moderate amount of variation was explained when the model included the elemental parameters carbon (r2 = 0.6) and nitrogen (r2 = 0.71). A tighter fit was obtained when sestonic phosphorus was incorporated (r2 = 0.86). The nonlinear regression with EPA was relatively weak (r2 = 0.77), whereas the highest degree of variance was explained by three C18-PUFAs. The best (r2 = 0.95), and only significant, correlation of Daphnia's growth was found with the C18-PUFA α-linolenic acid (α-LA; C18:3n-3). This correlation was weakest in late August when C:P values increased to 300, suggesting that mineral and PUFA-limitation of Daphnia's growth changed seasonally. Sestonic phosphorus and some PUFAs showed not only tight correlations with growth, but also with sestonic α-LA content. We computed Monte Carlo simulations to test whether the observed effects of α-LA on growth could be accounted for by EPA, phosphorus, or one of the two C18-PUFAs, stearidonic acid (C18:4n-3) and linoleic acid (C18:2n-6). With >99 % probability, the correlation of growth with α-LA could not be explained by any of these parameters. In order to test for EPA limitation of Daphnia's growth, in parallel with experiments on pure seston, growth was determined on seston supplemented with chemostat-grown, P-limited Stephanodiscus hantzschii, which is rich in EPA. Although supplementation increased the EPA content 80-800x, no significant changes in the nonlinear regression of the growth rates with α-LA were found, indicating that growth of Daphnia on pure seston was not EPA limited. This indicates that the two fatty acids, EPA and α-LA, were not mutually substitutable biochemical resources and points to different physiological functions of these two PUFAs. These results support the PUFA-limitation hypothesis for sestonic C:P < 300 but are contrary to the hypothesis of a general importance of EPA, since no evidence for EPA limitation was found. It is suggested that the resource ratios of EPA and α-LA rather than the absolute concentrations determine which of the two resources is limiting growth. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - paper 063 KW - alga KW - consumer KW - Daphnia KW - fatty acid KW - food quality KW - grazer KW - herbivore KW - Lake Constance KW - European Alps KW - PUFA KW - seston Y1 - 2001 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-17587 ER - TY - GEN A1 - Wacker, Alexander A1 - von Elert, Eric T1 - Strong influences of larval diet history on subsequent post-settlement growth in the freshwater mollusc Dreissena polymorpha N2 - Significant seasonal variation in size at settlement has been observed in newly settled larvae of Dreissena polymorpha in Lake Constance. Diet quality, which varies temporally and spatially in freshwater habitats, has been suggested as a significant factor influencing life history and development of freshwater invertebrates. Accordingly, experiments were conducted with field-collected larvae to test the hypothesis that diet quality can determine planktonic larval growth rates, size at settlement and subsequent post-metamorphic growth rates. Larvae were fed one of two diets or starved. One diet was composed of cyanobacterial cells which are deficient in polyunsaturated fatty acids (PUFAs), and the other was a mixed diet rich in PUFAs. Freshly metamorphosed animals from the starvation treatment had a carbon content per individual 70% lower than that of larvae fed the mixed diet. This apparent exhaustion of larval internal reserves resulted in a 50% reduction of the postmetamorphic growth rates. Growth was also reduced in animals previously fed the cyanobacterial diet. Hence, low food quantity or low food quality during the larval stage of D. polymorpha lead to irreversible effects for postmetamorphic animals, and is related to inferior competitive abilities. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - paper 064 KW - Dreissena polymorpha KW - food quality KW - fatty acid KW - life history KW - metamorphosis KW - PUFA Y1 - 2002 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-17627 ER - TY - JOUR A1 - Wachs, Sebastian A1 - Machimbarrena, Juan Manuel A1 - Wright, Michelle F. A1 - Gámez-Guadix, Manuel A1 - Yang, Soeun A1 - Sittichai, Ruthaychonnee A1 - Singh, Ritu A1 - Biswal, Ramakrishna A1 - Flora, Katerina A1 - Daskalou, Vassiliki A1 - Maziridou, Evdoxia A1 - Sung Hong, Jun A1 - Krause, Norman T1 - Associations between Coping Strategies and Cyberhate Involvement: Evidence from Adolescents across Three World Regions JF - International Journal of Environmental Research and Public Health N2 - Cyberhate represents a risk to adolescents’ development and peaceful coexistence in democratic societies. Yet, not much is known about the relationship between adolescents’ ability to cope with cyberhate and their cyberhate involvement. To fill current gaps in the literature and inform the development of media education programs, the present study investigated various coping strategies in a hypothetical cyberhate scenario as correlates for being cyberhate victims, perpetrators, and both victim–perpetrators. The sample consisted of 6829 adolescents aged 12–18 years old (Mage = 14.93, SD = 1.64; girls: 50.4%, boys: 48.9%, and 0.7% did not indicate their gender) from Asia, Europe, and North America. Results showed that adolescents who endorsed distal advice or endorsed technical coping showed a lower likelihood to be victims, perpetrators, or victim–perpetrators. In contrast, if adolescents felt helpless or endorsed retaliation to cope with cyberhate, they showed higher odds of being involved in cyberhate as victims, perpetrators, or victim–perpetrators. Finally, adolescents who endorsed close support as a coping strategy showed a lower likelihood to be victim–perpetrators, and adolescents who endorsed assertive coping showed higher odds of being victims. In conclusion, the results confirm the importance of addressing adolescents’ ability to deal with cyberhate to develop more tailored prevention approaches. More specifically, such initiatives should focus on adolescents who feel helpless or feel inclined to retaliate. In addition, adolescents should be educated to practice distal advice and technical coping when experiencing cyberhate. Implications for the design and instruction of evidence-based cyberhate prevention (e.g., online educational games, virtual learning environments) will be discussed. KW - cyberhate KW - hate speech KW - coping strategies KW - cross-national KW - counter-speech Y1 - 2022 U6 - https://doi.org/10.3390/ijerph19116749 SN - 1660-4601 VL - 19 SP - 1 EP - 14 PB - MDPI CY - Basel, Schweiz ET - 11 ER - TY - CHAP A1 - Votruba, V. A1 - Feldmeier, Achim A1 - Kubát, Jiří A1 - Rätzel, D. T1 - Multicomponent stellar wind of hot stars N2 - We developed a time-dependent multicomponent hydrodynamical code for simulation of the stellar wind from hot stars and applied it to stars with high and low density winds. Y1 - 2007 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-17677 ER - TY - JOUR A1 - Vogel, Johannes A1 - Paton, Eva Nora A1 - Aich, Valentin T1 - Seasonal ecosystem vulnerability to climatic anomalies in the Mediterranean JF - Biogeosciences N2 - Mediterranean ecosystems are particularly vulnerable to climate change and the associated increase in climate anomalies. This study investigates extreme ecosystem responses evoked by climatic drivers in the Mediterranean Basin for the time span 1999–2019 with a specific focus on seasonal variations as the seasonal timing of climatic anomalies is considered essential for impact and vulnerability assessment. A bivariate vulnerability analysis is performed for each month of the year to quantify which combinations of the drivers temperature (obtained from ERA5-Land) and soil moisture (obtained from ESA CCI and ERA5-Land) lead to extreme reductions in ecosystem productivity using the fraction of absorbed photosynthetically active radiation (FAPAR; obtained from the Copernicus Global Land Service) as a proxy. The bivariate analysis clearly showed that, in many cases, it is not just one but a combination of both drivers that causes ecosystem vulnerability. The overall pattern shows that Mediterranean ecosystems are prone to three soil moisture regimes during the yearly cycle: they are vulnerable to hot and dry conditions from May to July, to cold and dry conditions from August to October, and to cold conditions from November to April, illustrating the shift from a soil-moisture-limited regime in summer to an energy-limited regime in winter. In late spring, a month with significant vulnerability to hot conditions only often precedes the next stage of vulnerability to both hot and dry conditions, suggesting that high temperatures lead to critically low soil moisture levels with a certain time lag. In the eastern Mediterranean, the period of vulnerability to hot and dry conditions within the year is much longer than in the western Mediterranean. Our results show that it is crucial to account for both spatial and temporal variability to adequately assess ecosystem vulnerability. The seasonal vulnerability approach presented in this study helps to provide detailed insights regarding the specific phenological stage of the year in which ecosystem vulnerability to a certain climatic condition occurs. How to cite. Vogel, J., Paton, E., and Aich, V.: Seasonal ecosystem vulnerability to climatic anomalies in the Mediterranean, Biogeosciences, 18, 5903–5927, https://doi.org/10.5194/bg-18-5903-2021, 2021. Y1 - 2021 U6 - https://doi.org/10.5194/bg-18-5903-2021 SN - 1726-4189 VL - 18 SP - 5903 EP - 5927 PB - Copernicus CY - Göttingen ET - 22 ER - TY - CHAP A1 - Vlugter, Peter A1 - Knott, Alistair T1 - A multi-speaker dialogue system for computer-aided language learning N2 - The main topic of this paper is how to configure a dialogue system to support computer-aided language learning. The paper also serves to introduce our new multi-speaker dialogue system, and highlight some of its novel features. Y1 - 2006 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-10208 ER - TY - CHAP A1 - Vink, J. S. A1 - Benaglia, P. A1 - Davies, B. A1 - de Koter, A. A1 - Oudmaijer, R. D. T1 - Advances in mass-loss predictions N2 - We present the results of Monte Carlo mass-loss predictions for massive stars covering a wide range of stellar parameters. We critically test our predictions against a range of observed massloss rates – in light of the recent discussions on wind clumping. We also present a model to compute the clumping-induced polarimetric variability of hot stars and we compare this with observations of Luminous Blue Variables, for which polarimetric variability is larger than for O and Wolf-Rayet stars. Luminous Blue Variables comprise an ideal testbed for studies of wind clumping and wind geometry, as well as for wind strength calculations, and we propose they may be direct supernova progenitors. Y1 - 2007 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-17948 ER - TY - CHAP A1 - Vink, J. S. T1 - Discussion: Hydrodynamic modeling Y1 - 2007 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-18046 ER - TY - THES A1 - Videla, Santiago T1 - Reasoning on the response of logical signaling networks with answer set programming T1 - Modellierung Logischer Signalnetzwerke mittels Antwortmengenprogrammierung N2 - Deciphering the functioning of biological networks is one of the central tasks in systems biology. In particular, signal transduction networks are crucial for the understanding of the cellular response to external and internal perturbations. Importantly, in order to cope with the complexity of these networks, mathematical and computational modeling is required. We propose a computational modeling framework in order to achieve more robust discoveries in the context of logical signaling networks. More precisely, we focus on modeling the response of logical signaling networks by means of automated reasoning using Answer Set Programming (ASP). ASP provides a declarative language for modeling various knowledge representation and reasoning problems. Moreover, available ASP solvers provide several reasoning modes for assessing the multitude of answer sets. Therefore, leveraging its rich modeling language and its highly efficient solving capacities, we use ASP to address three challenging problems in the context of logical signaling networks: learning of (Boolean) logical networks, experimental design, and identification of intervention strategies. Overall, the contribution of this thesis is three-fold. Firstly, we introduce a mathematical framework for characterizing and reasoning on the response of logical signaling networks. Secondly, we contribute to a growing list of successful applications of ASP in systems biology. Thirdly, we present a software providing a complete pipeline for automated reasoning on the response of logical signaling networks. N2 - Deciphering the functioning of biological networks is one of the central tasks in systems biology. In particular, signal transduction networks are crucial for the understanding of the cellular response to external and internal perturbations. Importantly, in order to cope with the complexity of these networks, mathematical and computational modeling is required. We propose a computational modeling framework in order to achieve more robust discoveries in the context of logical signaling networks. More precisely, we focus on modeling the response of logical signaling networks by means of automated reasoning using Answer Set Programming (ASP). ASP provides a declarative language for modeling various knowledge representation and reasoning problems. Moreover, available ASP solvers provide several reasoning modes for assessing the multitude of answer sets. Therefore, leveraging its rich modeling language and its highly efficient solving capacities, we use ASP to address three challenging problems in the context of logical signaling networks: learning of (Boolean) logical networks, experimental design, and identification of intervention strategies. Overall, the contribution of this thesis is three-fold. Firstly, we introduce a mathematical framework for characterizing and reasoning on the response of logical signaling networks. Secondly, we contribute to a growing list of successful applications of ASP in systems biology. Thirdly, we present a software providing a complete pipeline for automated reasoning on the response of logical signaling networks. KW - Systembiologie KW - logische Signalnetzwerke KW - Antwortmengenprogrammierung KW - systems biology KW - logical signaling networks KW - answer set programming Y1 - 2014 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-71890 ER - TY - JOUR A1 - Verlaan, Stephanie T1 - The Misapplication of Western Conflict and Reconciliation Theories on New World Wars JF - Transitional Justice : Theoretical and Practical Approaches (Potsdamer Studien zu Staat, Recht und Politik ; 7) N2 - This chapter deals with the problem that theories of peace building, conflict resolution and reconciliation were predominately created in the West and, therefore, do not necessarily fit the understanding of peace, conflict, and resolution in non-Western societies and cultures. Within these societies, the acceptance of suffering may also be higher, which leads to different priorities of conflict resolution approaches. Furthermore, this chapter deals with the question of whether the current understanding of wars and the nature of conflict change the basis of established conflict theories. These theoretical approaches are then applied in Sierra Leone as a non-Western negotiation scenario. Y1 - 2022 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-570149 SN - 978-3-86956-473-9 SN - 1869-2443 SN - 1867-2663 IS - 7 SP - 11 EP - 38 PB - Universitätsverlag Potsdam CY - Potsdam ER - TY - JOUR A1 - Veh, Georg A1 - Lützow, Natalie A1 - Kharlamova, Varvara A1 - Petrakov, Dmitry A1 - Hugonnet, Romain A1 - Korup, Oliver T1 - Trends, Breaks, and Biases in the Frequency of Reported Glacier Lake Outburst Floods JF - Earth's Future N2 - Thousands of glacier lakes have been forming behind natural dams in high mountains following glacier retreat since the early 20th century. Some of these lakes abruptly released pulses of water and sediment with disastrous downstream consequences. Yet it remains unclear whether the reported rise of these glacier lake outburst floods (GLOFs) has been fueled by a warming atmosphere and enhanced meltwater production, or simply a growing research effort. Here we estimate trends and biases in GLOF reporting based on the largest global catalog of 1,997 dated glacier-related floods in six major mountain ranges from 1901 to 2017. We find that the positive trend in the number of reported GLOFs has decayed distinctly after a break in the 1970s, coinciding with independently detected trend changes in annual air temperatures and in the annual number of field-based glacier surveys (a proxy of scientific reporting). We observe that GLOF reports and glacier surveys decelerated, while temperature rise accelerated in the past five decades. Enhanced warming alone can thus hardly explain the annual number of reported GLOFs, suggesting that temperature-driven glacier lake formation, growth, and failure are weakly coupled, or that outbursts have been overlooked. Indeed, our analysis emphasizes a distinct geographic and temporal bias in GLOF reporting, and we project that between two to four out of five GLOFs on average might have gone unnoticed in the early to mid-20th century. We recommend that such biases should be considered, or better corrected for, when attributing the frequency of reported GLOFs to atmospheric warming. Y1 - 2022 U6 - https://doi.org/10.1029/2021EF002426 SN - 2328-4277 VL - 10 SP - 1 EP - 14 PB - Wiley-Blackwell CY - Hoboken, New Jersey, United States ET - 3 ER - TY - JOUR A1 - Vaníček, Jiří T1 - Introducing topics from informatics into primary school curricula BT - how do teachers take it? JF - Commentarii informaticae didacticae : (CID) N2 - The process of introducing compulsory ICT education at primary school level in the Czech Republic should be completed next year. Programming and Information, two topics from the basics of computer science have been included in a new textbook. The question is whether the new chapters of the textbook are comprehensible for primary school teachers, who have undergone no training in computer science. The paper reports on a pilot verification project in which pre-service primary school teachers were trained to teach these informatics topics. KW - primary school KW - informatics curricula KW - teacher education Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-64482 SN - 1868-0844 SN - 2191-1940 IS - 6 SP - 41 EP - 51 PB - Universitätsverlag Potsdam CY - Potsdam ER - TY - GEN A1 - Valsecchi, Matteo A1 - Dimigen, Olaf A1 - Kliegl, Reinhold A1 - Sommer, Werner A1 - Turatto, Massimo T1 - Microsaccadic Inhibition and P300 Enhancement in a Visual Oddball Task N2 - It has recently been demonstrated that the presentation of a rare target in a visual oddball paradigm induces a prolonged inhibition of microsaccades. In the field of electrophysiology, the amplitude of the P300 component in event-related potentials (ERP) has been shown to be sensitive to the stimulus category (target vs. non target) of the eliciting stimulus, its overall probability, and the preceding stimulus sequence. In the present study we further specify the functional underpinnings of the prolonged microsaccadic inhibition in the visual oddball task, showing that the stimulus category, the frequency of a stimulus and the preceding stimulus sequence influence microsaccade rate. Furthermore, by co-recording ERPs and eye-movements, we were able to demonstrate that, despite being largely sensitive to the same experimental manipulation, the amplitude of P300 and the microsaccadic inhibition predict each other very weakly, and thus constitute two independent measures of the brain’s response to rare targets in the visual oddball paradigm. T3 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe - paper 256 KW - Visual Oddball Paradigm KW - Microsaccades KW - Microsaccadic Inhibition KW - ERPs KW - P300Psychophysiology KW - 46 (3) 2009 KW - S. 635-644 Y1 - 2009 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-57170 ER - TY - CHAP A1 - Urbaneja, M. A. A1 - Kudritzki, R.-P. A1 - Puls, Joachim T1 - Clumping in the winds of O-type CSPNs N2 - Recent studies of massive O-type stars present clear evidences of inhomogeneous and clumped winds. O-type (H-rich) central stars of planetary nebulae (CSPNs) are in some ways the low mass–low luminosity analogous of those massive stars. In this contribution, we present preliminary results of our on-going multi-wavelength (FUV, UV and optical) study of the winds of Galactic CSPNs. Particular emphasis will be given to the clumping factors derived by means of optical lines (Hα and Heii 4686) and “classic” FUV (and UV) lines. Y1 - 2007 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-17801 ER - TY - THES A1 - Ulaganathan, Vamseekrishna T1 - Molecular fundamentals of foam fractionation T1 - Molekulare Grundlagen der Schaumfraktionierung N2 - Foam fractionation of surfactant and protein solutions is a process dedicated to separate surface active molecules from each other due to their differences in surface activities. The process is based on forming bubbles in a certain mixed solution followed by detachment and rising of bubbles through a certain volume of this solution, and consequently on the formation of a foam layer on top of the solution column. Therefore, systematic analysis of this whole process comprises of at first investigations dedicated to the formation and growth of single bubbles in solutions, which is equivalent to the main principles of the well-known bubble pressure tensiometry. The second stage of the fractionation process includes the detachment of a single bubble from a pore or capillary tip and its rising in a respective aqueous solution. The third and final stage of the process is the formation and stabilization of the foam created by these bubbles, which contains the adsorption layers formed at the growing bubble surface, carried up and gets modified during the bubble rising and finally ends up as part of the foam layer. Bubble pressure tensiometry and bubble profile analysis tensiometry experiments were performed with protein solutions at different bulk concentrations, solution pH and ionic strength in order to describe the process of accumulation of protein and surfactant molecules at the bubble surface. The results obtained from the two complementary methods allow understanding the mechanism of adsorption, which is mainly governed by the diffusional transport of the adsorbing protein molecules to the bubble surface. This mechanism is the same as generally discussed for surfactant molecules. However, interesting peculiarities have been observed for protein adsorption kinetics at sufficiently short adsorption times. First of all, at short adsorption times the surface tension remains constant for a while before it decreases as expected due to the adsorption of proteins at the surface. This time interval is called induction time and it becomes shorter with increasing protein bulk concentration. Moreover, under special conditions, the surface tension does not stay constant but even increases over a certain period of time. This so-called negative surface pressure was observed for BCS and BLG and discussed for the first time in terms of changes in the surface conformation of the adsorbing protein molecules. Usually, a negative surface pressure would correspond to a negative adsorption, which is of course impossible for the studied protein solutions. The phenomenon, which amounts to some mN/m, was rather explained by simultaneous changes in the molar area required by the adsorbed proteins and the non-ideality of entropy of the interfacial layer. It is a transient phenomenon and exists only under dynamic conditions. The experiments dedicated to the local velocity of rising air bubbles in solutions were performed in a broad range of BLG concentration, pH and ionic strength. Additionally, rising bubble experiments were done for surfactant solutions in order to validate the functionality of the instrument. It turns out that the velocity of a rising bubble is much more sensitive to adsorbing molecules than classical dynamic surface tension measurements. At very low BLG or surfactant concentrations, for example, the measured local velocity profile of an air bubble is changing dramatically in time scales of seconds while dynamic surface tensions still do not show any measurable changes at this time scale. The solution’s pH and ionic strength are important parameters that govern the measured rising velocity for protein solutions. A general theoretical description of rising bubbles in surfactant and protein solutions is not available at present due to the complex situation of the adsorption process at a bubble surface in a liquid flow field with simultaneous Marangoni effects. However, instead of modelling the complete velocity profile, new theoretical work has been started to evaluate the maximum values in the profile as characteristic parameter for dynamic adsorption layers at the bubble surface more quantitatively. The studies with protein-surfactant mixtures demonstrate in an impressive way that the complexes formed by the two compounds change the surface activity as compared to the original native protein molecules and therefore lead to a completely different retardation behavior of rising bubbles. Changes in the velocity profile can be interpreted qualitatively in terms of increased or decreased surface activity of the formed protein-surfactant complexes. It was also observed that the pH and ionic strength of a protein solution have strong effects on the surface activity of the protein molecules, which however, could be different on the rising bubble velocity and the equilibrium adsorption isotherms. These differences are not fully understood yet but give rise to discussions about the structure of protein adsorption layer under dynamic conditions or in the equilibrium state. The third main stage of the discussed process of fractionation is the formation and characterization of protein foams from BLG solutions at different pH and ionic strength. Of course a minimum BLG concentration is required to form foams. This minimum protein concentration is a function again of solution pH and ionic strength, i.e. of the surface activity of the protein molecules. Although at the isoelectric point, at about pH 5 for BLG, the hydrophobicity and hence the surface activity should be the highest, the concentration and ionic strength effects on the rising velocity profile as well as on the foamability and foam stability do not show a maximum. This is another remarkable argument for the fact that the interfacial structure and behavior of BLG layers under dynamic conditions and at equilibrium are rather different. These differences are probably caused by the time required for BLG molecules to adapt respective conformations once they are adsorbed at the surface. All bubble studies described in this work refer to stages of the foam fractionation process. Experiments with different systems, mainly surfactant and protein solutions, were performed in order to form foams and finally recover a solution representing the foamed material. As foam consists to a large extent of foam lamella – two adsorption layers with a liquid core – the concentration in a foamate taken from foaming experiments should be enriched in the stabilizing molecules. For determining the concentration of the foamate, again the very sensitive bubble rising velocity profile method was applied, which works for any type of surface active materials. This also includes technical surfactants or protein isolates for which an accurate composition is unknown. N2 - Die Fraktionierung ist ein Trennprozess, bei dem verschiedene Materialien auf Grund ihrer Eigenschaften voneinander getrennt werden. Bei der Sedimentation von Teilchen in einer Flüssigkeit dient deren unterschiedliche Dichte zu ihrer Trennung, da schwere Teilchen schneller auf den Boden des Gefäßes sinken als leichtere. Bei der Schaumfraktionierung als Trennprozess dient zur Trennung verschiedener Moleküle in einer Lösung deren Grenzflächenaktivität, d.h. das unterschiedliche Vermögen der Moleküle, sich an der Oberfläche von Gasblasen anzureichern. Durch das Aufsteigen der Blasen in der Flüssigkeit werden daher die Moleküle mit der höheren Grenzflächenaktivität stärker in der Schaumschicht angereichert als die weniger stark grenzflächenaktiven Komponenten. Ziel der vorliegenden Dissertation ist es, den Prozess der Schaumfraktionierung hinsichtlich der Trennung von grenzflächenaktiven Molekülen zu analysieren. Die Bildung von Blasen und deren anschließendes Aufsteigen in der Lösung kann als wichtigstes Element in diesem Prozess angesehen werden. Es ist bekannt, dass die Geschwindigkeit aufsteigender Luftblasen in Wasser eine charakteristische Größe ist, die durch die Anwesenheit grenzflächenaktiver Stoffe (Tenside, Proteine) stark verringert wird. Die vorliegende Dissertation zeigt für das ausgewählte Protein ß-Lactoglobulin und für verschiedene Lebensmittel-Tenside, dass die Messung der Aufstiegsgeschwindigkeit von Luftblasen zur Beurteilung der Anreicherung dieser Moleküle an der Blasenoberfläche ausgezeichnet geeignet ist. Die experimentellen Ergebnisse bei verschiedenen Lösungsbedingungen, wie Konzentration von Protein bzw. Tensid, pH-Wert und Ionenstärke der Lösung, zeigen deutlich, dass die Anreicherung der Proteinmoleküle wesentlich stärker ist als die von Tensiden. Dies gilt auch für Tenside mit einer sehr hohen Grenzflächenaktivität, was im Wesentlichen durch die extrem feste (nahezu irreversible) Anreicherung der Proteinmoleküle zu erklären ist. Die erzielten experimentellen Ergebnisse dienen jetzt als Grundlage für die Weiterentwicklung der Theorie aufsteigender Blasen, die besonders von der Dynamik der Anreicherung der Moleküle geprägt ist. Neueste Untersuchungen haben gezeigt, dass auf der Grundlage dieser experimentellen Ergebnisse erstmals die Geschwindigkeitskonstanten der Anreicherung (Adsorption und Desorption) unabhängig voneinander ermittelt werden können. KW - adsorption KW - air-water interface KW - protein KW - foam KW - rising bubble KW - Adsorption KW - Wasser/Luft Grenzflächen KW - steigende Blasen KW - Schaum KW - Beta-Lactoglobulin Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-94263 ER - TY - CHAP A1 - ud-Doula, A. T1 - Large-scale wind structure due to magnetic fields N2 - Magnetic fields influence the dynamics of hot-star winds and create large scale structure. Based on numerical magnetohydrodynamic (MHD) simulations, we model the wind of θ¹ Ori C, and then use the SEI method to compute synthetic line profiles for a range of viewing angles as function of rotational phase. The resulting dynamic spectrum for a moderately strong line shows a distinct modulation, but with a phase that seems at odds with available observations. Y1 - 2007 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-18010 ER - TY - THES A1 - Trautmann, Tina T1 - Understanding global water storage variations using model-data integration T1 - Verständnis der Variabilität globaler Wasserspeicher mittels Modell-Daten Integration N2 - Climate change is one of the greatest challenges to humanity in this century, and most noticeable consequences are expected to be impacts on the water cycle – in particular the distribution and availability of water, which is fundamental for all life on Earth. In this context, it is essential to better understand where and when water is available and what processes influence variations in water storages. While estimates of the overall terrestrial water storage (TWS) variations are available from the GRACE satellites, these represent the vertically integrated signal over all water stored in ice, snow, soil moisture, groundwater and surface water bodies. Therefore, complementary observational data and hydrological models are still required to determine the partitioning of the measured signal among different water storages and to understand the underlying processes. However, the application of large-scale observational data is limited by their specific uncertainties and the incapacity to measure certain water fluxes and storages. Hydrological models, on the other hand, vary widely in their structure and process-representation, and rarely incorporate additional observational data to minimize uncertainties that arise from their simplified representation of the complex hydrologic cycle. In this context, this thesis aims to contribute to improving the understanding of global water storage variability by combining simple hydrological models with a variety of complementary Earth observation-based data. To this end, a model-data integration approach is developed, in which the parameters of a parsimonious hydrological model are calibrated against several observational constraints, inducing GRACE TWS, simultaneously, while taking into account each data’s specific strengths and uncertainties. This approach is used to investigate 3 specific aspects that are relevant for modelling and understanding the composition of large-scale TWS variations. The first study focusses on Northern latitudes, where snow and cold-region processes define the hydrological cycle. While the study confirms previous findings that seasonal dynamics of TWS are dominated by the cyclic accumulation and melt of snow, it reveals that inter-annual TWS variations on the contrary, are determined by variations in liquid water storages. Additionally, it is found to be important to consider the impact of compensatory effects of spatially heterogeneous hydrological variables when aggregating the contribution of different storage components over large areas. Hence, the determinants of TWS variations are scale-dependent and underlying driving mechanism cannot be simply transferred between spatial and temporal scales. These findings are supported by the second study for the global land areas beyond the Northern latitudes as well. This second study further identifies the considerable impact of how vegetation is represented in hydrological models on the partitioning of TWS variations. Using spatio-temporal varying fields of Earth observation-based data to parameterize vegetation activity not only significantly improves model performance, but also reduces parameter equifinality and process uncertainties. Moreover, the representation of vegetation drastically changes the contribution of different water storages to overall TWS variability, emphasizing the key role of vegetation for water allocation, especially between sub-surface and delayed water storages. However, the study also identifies parameter equifinality regarding the decay of sub-surface and delayed water storages by either evapotranspiration or runoff, and thus emphasizes the need for further constraints hereof. The third study focuses on the role of river water storage, in particular whether it is necessary to include computationally expensive river routing for model calibration and validation against the integrated GRACE TWS. The results suggest that river routing is not required for model calibration in such a global model-data integration approach, due to the larger influence other observational constraints, and the determinability of certain model parameters and associated processes are identified as issues of greater relevance. In contrast to model calibration, considering river water storage derived from routing schemes can already significantly improve modelled TWS compared to GRACE observations, and thus should be considered for model evaluation against GRACE data. Beyond these specific findings that contribute to improved understanding and modelling of large-scale TWS variations, this thesis demonstrates the potential of combining simple modeling approaches with diverse Earth observational data to improve model simulations, overcome inconsistencies of different observational data sets, and identify areas that require further research. These findings encourage future efforts to take advantage of the increasing number of diverse global observational data. N2 - Der Klimawandel stellt mit Abstand eine der größten Herausforderungen für die Menschheit in diesem Jahrhundert da, und die spürbarsten Folgen werden voraussichtlich die Auswirkungen auf den Wasserkreislauf sein - insbesondere auf die Verteilung und Verfügbarkeit von Wasser, welches Grundlage allen Lebens dieser Erde ist. In diesem Zusammenhang ist es von entscheidender Bedeutung, besser zu verstehen, wo und wann Wasser verfügbar ist und welche Prozesse natürliche Schwankungen der Wasserspeicher beeinflussen. Obwohl Schätzungen der Gesamtschwankungen der terrestrischen Wasserspeicher (TWS) basierend auf Daten der GRACE-Satelliten vorliegen, stellen diese nur das vertikal integrierte Signal über alles in Eis, Schnee, Bodenfeuchtigkeit, Grundwasser und Oberflächengewässern gespeicherte Wasser dar. Daher sind ergänzende Beobachtungsdaten und hydrologische Modelle notwendig, um die Aufteilung des gemessenen Signals auf verschiedenen Wasserspeicher zu bestimmen und die zugrunde liegenden Prozesse zu verstehen. Die Verwendung von großmaßstäblichen Beobachtungsdaten ist jedoch durch ihre spezifischen Unsicherheiten und die Unfähigkeit, bestimmte Wasserflüsse und -speicher zu messen, eingeschränkt. Hydrologische Modelle hingegen unterscheiden sich stark in ihrer Struktur und Prozessdarstellung und beziehen nur selten zusätzliche Beobachtungsdaten ein, um Unsicherheiten zu minimieren, die sich aus ihrer vereinfachten Darstellung des komplexen Wasserkreislaufs ergeben. In diesem Zusammenhang gibt diese Arbeit einen Beitrag zum besseren Verständnis der Schwankungen globaler Wasserspeicher, indem einfache hydrologische Modelle mit einer Vielzahl sich ergänzender Erdbeobachtungsdaten kombiniert werden. Dafür wird ein Ansatz zur Integration von Modellen und Daten entwickelt, bei dem die Parameter eines einfachen hydrologischen Modells gleichzeitig gegen mehrere Beobachtungsdaten, inklusive GRACE TWS, kalibriert werden, wobei deren spezifischen Stärken und Unsicherheiten berücksichtigt werden. Dieser Ansatz wird genutzt, um drei spezifische Aspekte, die für die Modellierung und das Verständnis der Zusammensetzung großskaliger TWS-Schwankungen relevant sind, zu untersuchen. Die erste Studie konzentriert sich auf die nördlichen Breiten, wo Schnee und Prozesse kalter Regionen den hydrologischen Kreislauf bestimmen. Während die Studie frühere Erkenntnisse darin bestätigt, dass die saisonale Dynamik des TWS von der zyklischen Akkumulation und Schmelze von Schnee dominiert wird, zeigt sie, dass die zwischenjährlichen TWS-Schwankungen im Gegenteil durch Variationen der Flüssigwasserspeicher bestimmt werden. Darüber hinaus wird festgestellt, dass es wichtig ist, die Auswirkungen kompensatorischer Effekte räumlich heterogener hydrologischer Variablen zu berücksichtigen, wenn der Beitrag verschiedener Speicherkomponenten über große Gebiete aggregiert wird. Die Determinanten der TWS-Schwankungen sind skalenabhängig, und die zugrunde liegenden Antriebsmechanismen lassen sich nicht einfach zwischen räumlichen und zeitlichen Skalen übertragen. Diese Ergebnisse werden durch die zweite Studie auch auf globaler Skale bestätigt. Diese zweite Studie zeigt außerdem, dass die Art und Weise, wie Vegetation in hydrologischen Modellen dargestellt wird, einen erheblichen Einfluss auf die Aufteilung der TWS-Variationen hat. Die Verwendung von raum-zeitlich variierenden Erdbeobachtungsdaten zur Parametrisierung der Vegetationsaktivität verbessert nicht nur die Modellleistung erheblich, sondern verringert auch die Parameterequifinalität und somit die Prozessunsicherheiten. Darüber hinaus beeinflusst die Repräsentation der Vegetation drastisch den Einfluss verschiedener Wasserspeicher zur Gesamtvariabilität des TWS und unterstreicht damit die Schlüsselrolle der Vegetation für die Wasserverteilung, insbesondere zwischen unterirdischen und verzögerten Wasserspeichern. Die Studie zeigt jedoch auch, dass die Parameter für den Verringerung der unterirdischen und verzögerten Wasserspeichern, entweder via Evapotranspiration oder via Abfluss, äquivalent sind, und unterstreicht damit die Notwendigkeit weiterer Eingrenzung durch Beobachtungsdaten. Die dritte Studie befasst sich mit der Rolle der Wasserspeicherung in Flüssen, insbesondere mit der Frage, ob es notwendig ist, das rechenintensive Abfluss-Routing für die Kalibrierung und Validierung des Modells gegen GRACE TWS Daten zu berücksichtigen. Die Ergebnisse deuten darauf hin, dass das Abfluss-Routing für die Modellkalibrierung in einem solchen globalen Modell-Daten-Integrationsansatz nicht erforderlich ist, da andere Beobachtungsdaten einen größeren Einfluss haben und die Definierbarkeit bestimmter Modellparameter und damit zusammenhängender Prozesse relevantere Probleme darstellen. Im Gegensatz zur Modellkalibrierung kann die Berücksichtigung von Flusswasserspeichern jedoch den modellierten TWS im Vergleich zu GRACE-Beobachtungen bereits erheblich verbessern und sollte daher bei der Modellevaluierung gegen GRACE-Daten berücksichtigt werden. Über diese spezifischen Ergebnisse hinaus, die zum besseren Verständnis und Modellierung großskaliger TWS-Variationen beitragen, zeigt diese Arbeit das Potenzial der Kombination einfacher Modellierungsansätze mit verschiedenen Erdbeobachtungsdaten zur Verbesserung von Modellsimulationen, zur Überwindung von Inkonsistenzen zwischen verschiedenen Beobachtungsdatensätzen und zur Identifizierung von Themen, die weitere Forschung erfordern. Diese Ergebnisse ermutigen künftige Forschungen, die zunehmende Zahl unterschiedlicher globaler Beobachtungsdaten zu nutzen. KW - global hydrological modeling KW - model-data integration KW - terrestrial water storage variation KW - model calibration KW - globale hydrologische Modellierung KW - Modellkalibrierung KW - Model-Daten Integration KW - Variationen terrestrischer Wasserspeicher Y1 - 2022 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-565954 ER - TY - CHAP A1 - Townsend, R. H. D. T1 - Techniques for simulating radiative transfer through porous media N2 - In this contribution, I discuss some basic techniques that can be used to simulate radiative transfer through porous media. As specific examples, I consider scattering transfer through a clumped slab, and X-ray emission line formation in a clumped wind. Y1 - 2007 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-17866 ER - TY - JOUR A1 - Tomioka, Satoshi ED - Ishihara, Shinichiro ED - Petrova, Svetlana ED - Schwarz, Anne T1 - Intervention effects in focus BT - from a Japanese point of view JF - Interdisciplinary studies on information structure : ISIS ; working papers of the SFB 632 N2 - The most recent trend in the studies of LF intervention effects makes crucial reference to focusing effects on the interveners, and this paper critically examines the representative analyses of the focus-based approach. While each analysis has its own merits and shortcomings, I argue that a pragmatic analysis that does not make appeal to syntactic configurations is better equipped to deal with many of the complex and delicate facts surrounding intervention effects. KW - Intervention Effect KW - Alternative Semantics KW - Whinterrogatives KW - Focus KW - Topic KW - Post-Focus Reduction Y1 - 2007 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-24502 SN - 1866-4725 SN - 1614-4708 VL - 9 SP - 97 EP - 118 PB - Universitätsverlag Potsdam CY - Potsdam ER - TY - JOUR A1 - Tofelde, Stefanie A1 - Bufe, Aaron A1 - Turowski, Jens M. T1 - Hillslope Sediment Supply Limits Alluvial Valley Width JF - AGU Advances N2 - River-valley morphology preserves information on tectonic and climatic conditions that shape landscapes. Observations suggest that river discharge and valley-wall lithology are the main controls on valley width. Yet, current models based on these observations fail to explain the full range of cross-sectional valley shapes in nature, suggesting hitherto unquantified controls on valley width. In particular, current models cannot explain the existence of paired terrace sequences that form under cyclic climate forcing. Paired river terraces are staircases of abandoned floodplains on both valley sides, and hence preserve past valley widths. Their formation requires alternating phases of predominantly river incision and predominantly lateral planation, plus progressive valley narrowing. While cyclic Quaternary climate changes can explain shifts between incision and lateral erosion, the driving mechanism of valley narrowing is unknown. Here, we extract valley geometries from climatically formed, alluvial river-terrace sequences and show that across our dataset, the total cumulative terrace height (here: total valley height) explains 90%–99% of the variance in valley width at the terrace sites. This finding suggests that valley height, or a parameter that scales linearly with valley height, controls valley width in addition to river discharge and lithology. To explain this valley-width-height relationship, we reformulate existing valley-width models and suggest that, when adjusting to new boundary conditions, alluvial valleys evolve to a width at which sediment removal from valley walls matches lateral sediment supply from hillslope erosion. Such a hillslope-channel coupling is not captured in current valley-evolution models. Our model can explain the existence of paired terrace sequences under cyclic climate forcing and relates valley width to measurable field parameters. Therefore, it facilitates the reconstruction of past climatic and tectonic conditions from valley topography. Y1 - 2022 U6 - https://doi.org/10.1029/2021AV000641 SN - 2576-604X PB - American Geophysical Union (AGU); Wiley CY - Hoboken, New Jersey, USA ER - TY - JOUR A1 - Tofelde, Stefanie A1 - Bernhardt, Anne A1 - Guerit, Laure A1 - Romans, Brian W. T1 - Times Associated With Source-to-Sink Propagation of Environmental Signals During Landscape Transience JF - Frontiers in Earth Science N2 - Sediment archives in the terrestrial and marine realm are regularly analyzed to infer changes in climate, tectonic, or anthropogenic boundary conditions of the past. However, contradictory observations have been made regarding whether short period events are faithfully preserved in stratigraphic archives; for instance, in marine sediments offshore large river systems. On the one hand, short period events are hypothesized to be non-detectable in the signature of terrestrially derived sediments due to buffering during sediment transport along large river systems. On the other hand, several studies have detected signals of short period events in marine records offshore large river systems. We propose that this apparent discrepancy is related to the lack of a differentiation between different types of signals and the lack of distinction between river response times and signal propagation times. In this review, we (1) expand the definition of the term ‘signal’ and group signals in sub-categories related to hydraulic grain size characteristics, (2) clarify the different types of ‘times’ and suggest a precise and consistent terminology for future use, and (3) compile and discuss factors influencing the times of signal transfer along sediment routing systems and how those times vary with hydraulic grain size characteristics. Unraveling different types of signals and distinctive time periods related to signal propagation addresses the discrepancies mentioned above and allows a more comprehensive exploration of event preservation in stratigraphy – a prerequisite for reliable environmental reconstructions from terrestrially derived sedimentary records. KW - signal propagation KW - landscape transience KW - source-to-sink KW - stratigraphy KW - response time Y1 - 2021 U6 - https://doi.org/10.3389/feart.2021.628315 SN - 2296-6463 VL - 9 SP - 1 EP - 26 PB - Frontiers Media CY - Lausanne, Schweiz ER - TY - JOUR A1 - Timme, Sinika A1 - Wolff, Wanja A1 - Englert, Chris A1 - Brand, Ralf T1 - Tracking Self-Control – Task Performance and Pupil Size in a Go/No-Go Inhibition Task JF - Frontiers in Psychology N2 - There is an ongoing debate about how to test and operationalize self-control. This limited understanding is in large part due to a variety of different tests and measures used to assess self-control, as well as the lack of empirical studies examining the temporal dynamics during the exertion of self-control. In order to track changes that occur over the course of exposure to a self-control task, we investigate and compare behavioral, subjective, and physiological indicators during the exertion of self-control. Participants completed both a task requiring inhibitory control (Go/No-Go task) and a control task (two-choice task). Behavioral performance and pupil size were measured during the tasks. Subjective vitality was measured before and after the tasks. While pupil size and subjective vitality showed similar trajectories in the two tasks, behavioral performance decreased in the inhibitory control-demanding task, but not in the control task. However, behavioral, subjective, and physiological measures were not significantly correlated. These results suggest that there is a disconnect between different measures of self-control with high intra- and interindividual variability. Theoretical and methodological implications for self-control theory and future empirical work are discussed. KW - self-control KW - response inhibition KW - psychophysiological KW - behavioral and self-report measures KW - pupil diameter Y1 - 2022 U6 - https://doi.org/10.3389/fpsyg.2022.915016 SN - 1664-1078 VL - 13 PB - Frontiers CY - Lausanne, Schweiz ER - TY - JOUR A1 - Tiedemann, Kim A1 - Iobbi-Nivol, Chantal A1 - Leimkühler, Silke T1 - The Role of the Nucleotides in the Insertion of the bis-Molybdopterin Guanine Dinucleotide Cofactor into apo-Molybdoenzymes JF - Molecules N2 - The role of the GMP nucleotides of the bis-molybdopterin guanine dinucleotide (bis-MGD) cofactor of the DMSO reductase family has long been a subject of discussion. The recent characterization of the bis-molybdopterin (bis-Mo-MPT) cofactor present in the E. coli YdhV protein, which differs from bis-MGD solely by the absence of the nucleotides, now enables studying the role of the nucleotides of bis-MGD and bis-MPT cofactors in Moco insertion and the activity of molybdoenzymes in direct comparison. Using the well-known E. coli TMAO reductase TorA as a model enzyme for cofactor insertion, we were able to show that the GMP nucleotides of bis-MGD are crucial for the insertion of the bis-MGD cofactor into apo-TorA. KW - bis-MGD KW - chaperone KW - molybdenum cofactor KW - TMAO reductase Y1 - 2022 U6 - https://doi.org/10.3390/molecules27092993 SN - 1420-3049 VL - 27 SP - 1 EP - 15 PB - MDPI CY - Basel, Schweiz ET - 9 ER - TY - JOUR A1 - Thulin, Mirjam ED - Elyada, Ada ED - Wallach, Kerry T1 - Le-Dor va-Dor or Discontinuities? BT - family history and the Transnational Turn in (German-)Jewish Studies JF - German-Jewish Studies: Next Generations KW - German-Jewish History Y1 - 2022 SN - 978-1-80073-677-1 SN - 978-1-80073-678-8 U6 - https://doi.org/10.3167/9781800736771 VL - 2022 SP - 17 EP - 37 PB - Berghahn CY - New York ER - TY - JOUR A1 - Thulin, Mirjam T1 - Instituting Transnational Jewish Learning BT - The Emergence of Rabbinical Seminaries in the Nineteenth Century JF - PaRDeS : Journal of the Association for Jewish Studies in Germany JF - PaRDeS : Zeitschrift der Vereinigung für Jüdische Studien N2 - When the Jewish Theological Seminary in Breslau opened its doors in 1854, it established a novel form of rabbinical education: the systematic combination of Jewish studies at the seminary in parallel with university studies. The Breslau seminary became the model for most later institutions for rabbinical training in Europe and the United States. The seminaries were the new sites of modern Jewish scholarship, especially the academic study of Judaism (Wissenschaft des Judentums). Their function and goal were to preserve, (re)organize, and transmit Jewish knowledge in the modern age. As such, they became central nodes in Jewish scholarly networks. This case study highlights the multi-nodal connections between the Conservative seminaries in Breslau, Philadelphia, New York, Budapest, and Vienna. At the same time, it is intended to provide an example of the potential of transnational and transfer studies for the history of the Jewish religious learning in Europe and the United States. KW - modern Jewish history KW - United States KW - European history KW - religious education KW - history of science KW - rabbis KW - moderne jüdische Geschichte KW - USA KW - europäische Geschichte KW - religiöse Bildung KW - Wissenschaftsgeschichte KW - Wissensgeschichte KW - Rabbiner Y1 - 2021 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-532842 SN - 978-3-86956-520-0 SN - 1614-6492 SN - 1862-7684 IS - 27 SP - 53 EP - 67 PB - Universitätsverlag Potsdam CY - Potsdam ER - TY - GEN A1 - Thonig, Richard A1 - Del Rio, Pablo A1 - Kiefer, Christoph A1 - Lazaro Touza, Lara A1 - Escribano, Gonzalo A1 - Lechon, Yolanda A1 - Spaeth, Leonhard A1 - Wolf, Ingo A1 - Lilliestam, Johan T1 - Does ideology influence the ambition level of climate and renewable energy policy? BT - Insights from four European countries T2 - Zweitveröffentlichungen der Universität Potsdam : Wirtschafts- und Sozialwissenschaftliche Reihe N2 - We investigate whether political ideology has an observable effect on decarbonization ambition, renewable power aims, and preferences for power system balancing technologies in four European countries. Based on the Energy Logics framework, we identify ideologically different transition strategies (state-centered, market-centered, grassroots-centered) contained in government policies and opposition party programs valid in 2019. We compare these policies and programs with citizen poll data. We find that ideology has a small effect: governments and political parties across the spectrum have similar, and relatively ambitious, decarbonization and renewables targets. This mirrors citizens' strong support for ambitious action regardless of their ideological self-description. However, whereas political positions on phasing out fossil fuel power are clear across the policy space, positions on phasing in new flexibility options to balance intermittent renewables are vague or non-existent. As parties and citizens agree on strong climate and renewable power aims, the policy ambition is likely to remain high, even if governments change. T3 - Zweitveröffentlichungen der Universität Potsdam : Wirtschafts- und Sozialwissenschaftliche Reihe - 161 KW - political ideology KW - climate policy KW - energy policy KW - europe KW - european KW - Union KW - renewable energy KW - flexibility Y1 - 2020 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-577981 SN - 1867-5808 IS - 1 ER - TY - JOUR A1 - Thonig, Richard A1 - Del Rio, Pablo A1 - Kiefer, Christoph A1 - Lazaro Touza, Lara A1 - Escribano, Gonzalo A1 - Lechon, Yolanda A1 - Spaeth, Leonhard A1 - Wolf, Ingo A1 - Lilliestam, Johan T1 - Does ideology influence the ambition level of climate and renewable energy policy? BT - Insights from four European countries JF - Energy sources, part B: economics, planning, and policy N2 - We investigate whether political ideology has an observable effect on decarbonization ambition, renewable power aims, and preferences for power system balancing technologies in four European countries. Based on the Energy Logics framework, we identify ideologically different transition strategies (state-centered, market-centered, grassroots-centered) contained in government policies and opposition party programs valid in 2019. We compare these policies and programs with citizen poll data. We find that ideology has a small effect: governments and political parties across the spectrum have similar, and relatively ambitious, decarbonization and renewables targets. This mirrors citizens' strong support for ambitious action regardless of their ideological self-description. However, whereas political positions on phasing out fossil fuel power are clear across the policy space, positions on phasing in new flexibility options to balance intermittent renewables are vague or non-existent. As parties and citizens agree on strong climate and renewable power aims, the policy ambition is likely to remain high, even if governments change. KW - political ideology KW - climate policy KW - energy policy KW - europe KW - european KW - Union KW - renewable energy KW - flexibility Y1 - 2020 U6 - https://doi.org/10.1080/15567249.2020.1811806 SN - 1556-7249 SN - 1556-7257 VL - 16 IS - 1 SP - 4 EP - 22 PB - Taylor & Francis Group CY - Philadelphia ER - TY - CHAP A1 - Thomas, Kavita E. T1 - Modelling Correction Signalled by "But" in Dialogue N2 - Claiming that cross-speaker "but" can signal correction in dialogue, we start by describing the types of corrections "but" can communicate by focusing on the Speech Act (SA) communicated in the previous turn and address the ways in which "but" can correct what is communicated. We address whether "but" corrects the proposition, the direct SA or the discourse relation communicated in the previous turn. We will also briefly address other relations signalled by cross-turn "but". After presenting a typology of the situations "but" can correct, we will address how these corrections can be modelled in the Information State model of dialogue, motivating this work by showing how it can be used to potentially avoid misunderstandings. We wrap up by showing how the model presented here updates beliefs in the Information State representation of the dialogue and can be used to facilitate response deliberation. Y1 - 2006 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-10308 ER - TY - INPR A1 - Thiessenhusen, Kai-Uwe A1 - Esposito, Larry W. A1 - Kurths, Jürgen A1 - Spahn, Frank T1 - Detection of hidden resonances in Saturn's B-ring N2 - The Voyager 2 Photopolarimeter experiment has yielded the highest resolved data of Saturn's rings, exhibiting a wide variety of features. The B-ring region between 105000 km and 110000 km distance from Saturn has been investigated. It has a high matter density and contains no significance features visible by eye. Analysis with statistical methods has let us to the detection of two significant events. These features are correlated with the inner 3:2 resonances of the F-ring shepherd satellites Pandora and Prometheus, and may be evidence of large ring paricles caught in the corotation resonances. T3 - NLD Preprints - 13 KW - Planetary Rings Y1 - 1995 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-13618 ER - TY - JOUR A1 - Teichmann, Erik A1 - Lewandowski, Heather J. A1 - Alemani, Micol T1 - Investigating students’ views of experimental physics in German laboratory classes JF - Physical Review Physics Education Research N2 - There is a large variety of goals instructors have for laboratory courses, with different courses focusing on different subsets of goals. An often implicit, but crucial, goal is to develop students’ attitudes, views, and expectations about experimental physics to align with practicing experimental physicists. The assessment of laboratory courses upon this one dimension of learning has been intensively studied in U.S. institutions using the Colorado Learning Attitudes about Science Survey for Experimental Physics (E-CLASS). However, there is no such an instrument available to use in Germany, and the influence of laboratory courses on students views about the nature of experimental physics is still unexplored at German-speaking institutions. Motivated by the lack of an assessment tool to investigate this goal in laboratory courses at German-speaking institutions, we present a translated version of the E-CLASS adapted to the context at German-speaking institutions. We call the German version of the E-CLASS, the GE-CLASS. We describe the translation process and the creation of an automated web-based system for instructors to assess their laboratory courses. We also present first results using GE-CLASS obtained at the University of Potsdam. A first comparison between E-CLASS and GE-CLASS results shows clear differences between University of Potsdam and U.S. students’ views and beliefs about experimental physics. Y1 - 2022 U6 - https://doi.org/10.1103/PhysRevPhysEducRes.18.010135 SN - 1554-9178 VL - 18 SP - 010135-1 EP - 010135-17 PB - APS CY - College Park, Maryland, United States ET - 1 ER - TY - JOUR A1 - Teich, Elke A1 - Fankhauser, Peter T1 - Exploring lexical patterns in text BT - lexical cohesion analysis with WordNet JF - Interdisciplinary studies on information structure : ISIS ; working papers of the SFB 632 N2 - We present a system for the linguistic exploration and analysis of lexical cohesion in English texts. Using an electronic thesaurus-like resource, Princeton WordNet, and the Brown Corpus of English, we have implemented a process of annotating text with lexical chains and a graphical user interface for inspection of the annotated text. We describe the system and report on some sample linguistic analyses carried out using the combined thesaurus-corpus resource. Y1 - 2005 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-8685 SN - 1866-4725 SN - 1614-4708 IS - 2 SP - 129 EP - 145 ER - TY - THES A1 - Tattarini, Giulia T1 - A job is good, but is a good job healthier? BT - Longitudinal analyses on the health consequences of unemployment and precarious employment in Europe N2 - What are the consequences of unemployment and precarious employment for individuals' health in Europe? What are the moderating factors that may offset (or increase) the health consequences of labor-market risks? How do the effects of these risks vary across different contexts, which differ in their institutional and cultural settings? Does gender, regarded as a social structure, play a role, and how? To answer these questions is the aim of my cumulative thesis. This study aims to advance our knowledge about the health consequences that unemployment and precariousness cause over the life course. In particular, I investigate how several moderating factors, such as gender, the family, and the broader cultural and institutional context, may offset or increase the impact of employment instability and insecurity on individual health. In my first paper, 'The buffering role of the family in the relationship between job loss and self-perceived health: Longitudinal results from Europe, 2004-2011', I and my co-authors measure the causal effect of job loss on health and the role of the family and welfare states (regimes) as moderating factors. Using EU-SILC longitudinal data (2004-2011), we estimate the probability of experiencing 'bad health' following a transition to unemployment by applying linear probability models and undertake separate analyses for men and women. Firstly, we measure whether changes in the independent variable 'job loss' lead to changes in the dependent variable 'self-rated health' for men and women separately. Then, by adding into the model different interaction terms, we measure the moderating effect of the family, both in terms of emotional and economic support, and how much it varies across different welfare regimes. As an identification strategy, we first implement static fixed-effect panel models, which control for time-varying observables and indirect health selection—i.e., constant unobserved heterogeneity. Secondly, to control for reverse causality and path dependency, we implement dynamic fixed-effect panel models, adding a lagged dependent variable to the model. We explore the role of the family by focusing on close ties within households: we consider the presence of a stable partner and his/her working status as a source of social and economic support. According to previous literature, having a partner should reduce the stress from adverse events, thanks to the symbolic and emotional dimensions that such a relationship entails, regardless of any economic benefits. Our results, however, suggest that benefits linked to the presence of a (female) partner also come from the financial stability that (s)he can provide in terms of a second income. Furthermore, we find partners' employment to be at least as important as the mere presence of the partner in reducing the negative effect of job loss on the individual's health by maintaining the household's standard of living and decreasing economic strain on the family. Our results are in line with previous research, which has highlighted that some people cope better than others with adverse life circumstances, and the support provided by the family is a crucial resource in that regard. We also reported an important interaction between the family and the welfare state in moderating the health consequences of unemployment, showing how the compensation effect of the family varies across welfare regimes. The family plays a decisive role in cushioning the adverse consequences of labor market risks in Southern and Eastern welfare states, characterized by less developed social protection systems and –especially the Southern – high level of familialism. The first paper also found important gender differences concerning job loss, family and welfare effects. Of particular interest is the evidence suggesting that health selection works differently for men and women, playing a more prominent role for women than for men in explaining the relationship between job loss and self-perceived health. The second paper, 'Gender roles and selection mechanisms across contexts: A comparative analysis of the relationship between unemployment, self-perceived health, and gender.' investigates more in-depth the gender differential in health driven by unemployment. Being a highly contested issue in literature, we aim to study whether men are more penalized than women or the other way around and the mechanisms that may explain the gender difference. To do that, we rely on two theoretical arguments: the availability of alternative roles and social selection. The first argument builds on the idea that men and women may compensate for the detrimental health consequences of unemployment through the commitment to 'alternative roles,' which can provide for the resources needed to fulfill people's socially constructed needs. Notably, the availability of alternative options depends on the different positions that men and women have in society. Further, we merge the availability of the 'alternative roles' argument with the health selection argument. We assume that health selection could be contingent on people's social position as defined by gender and, thus, explain the gender differential in the relationship between unemployment and health. Ill people might be less reluctant to fall or remain (i.e., self-select) in unemployment if they have alternative roles. In Western societies, women generally have more alternative roles than men and thus more discretion in their labor market attachment. Therefore, health selection should be stronger for them, explaining why unemployment is less menace for women than for their male counterparts. Finally, relying on the idea of different gender regimes, we extended these arguments to comparison across contexts. For example, in contexts where being a caregiver is assumed to be women's traditional and primary roles and the primary breadwinner role is reserved to men, unemployment is less stigmatized, and taking up alternative roles is more socially accepted for women than for men (Hp.1). Accordingly, social (self)selection should be stronger for women than for men in traditional contexts, where, in the case of ill-health, the separation from work is eased by the availability of alternative roles (Hp.2). By focusing on contexts that are representative of different gender regimes, we implement a multiple-step comparative approach. Firstly, by using EU-SILC longitudinal data (2004-2015), our analysis tests gender roles and selection mechanisms for Sweden and Italy, representing radically different gender regimes, thus providing institutional and cultural variation. Then, we limit institutional heterogeneity by focusing on Germany and comparing East- and West-Germany and older and younger cohorts—for West-Germany (SOEP data 1995-2017). Next, to assess the differential impact of unemployment for men and women, we compared (unemployed and employed) men with (unemployed and employed) women. To do so, we calculate predicted probabilities and average marginal effect from two distinct random-effects probit models. Our first step is estimating random-effects models that assess the association between unemployment and self-perceived health, controlling for observable characteristics. In the second step, our fully adjusted model controls for both direct and indirect selection. We do this using dynamic correlated random-effects (CRE) models. Further, based on the fully adjusted model, we test our hypotheses on alternative roles (Hp.1) by comparing several contexts – models are estimated separately for each context. For this hypothesis, we pool men and women and include an interaction term between unemployment and gender, which has the advantage to allow for directly testing whether gender differences in the effect of unemployment exist and are statistically significant. Finally, we test the role of selection mechanisms (Hp.2), using the KHB method to compare coefficients across nested nonlinear models. Specifically, we test the role of selection for the relationship between unemployment and health by comparing the partially-adjusted and fully-adjusted models. To allow selection mechanisms to operate differently between genders, we estimate separate models for men and women. We found support to our first hypotheses—the context where people are embedded structures the relationship between unemployment, health, and gender. We found no gendered effect of unemployment on health in the egalitarian context of Sweden. Conversely, in the traditional context of Italy, we observed substantive and statistically significant gender differences in the effect of unemployment on bad health, with women suffering less than men. We found the same pattern for comparing East and West Germany and younger and older cohorts in West Germany. On the contrary, our results did not support our theoretical argument on social selection. We found that in Sweden, women are more selected out of employment than men. In contrast, in Italy, health selection does not seem to be the primary mechanism behind the gender differential—Italian men and women seem to be selected out of employment to the same extent. Namely, we do not find any evidence that health selection is stronger for women in more traditional countries (Hp2), despite the fact that the institutional and the cultural context would offer them a more comprehensive range of 'alternative roles' relative to men. Moreover, our second hypothesis is also rejected in the second and third comparisons, where the cross-country heterogeneity is reduced to maximize cultural differences within the same institutional context. Further research that addresses selection into inactivity is needed to evaluate the interplay between selection and social roles across gender regimes. While the health consequences of unemployment have been on the research agenda for a pretty long time, the interest in precarious employment—defined as the linking of the vulnerable worker to work that is characterized by uncertainty and insecurity concerning pay, the stability of the work arrangement, limited access to social benefits, and statutory protections—has emerged only later. Since the 80s, scholars from different disciplines have raised concerns about the social consequences of de-standardization of employment relationships. However, while work has become undoubtedly more precarious, very little is known about its causal effect on individual health and the role of gender as a moderator. These questions are at the core of my third paper : 'Bad job, bad health? A longitudinal analysis of the interaction between precariousness, gender and self-perceived health in Germany'. Herein, I investigate the multidimensional nature of precarious employment and its causal effect on health, particularly focusing on gender differences. With this paper, I aim at overcoming three major shortcomings of earlier studies: The first one regards the cross-sectional nature of data that prevents the authors from ruling out unobserved heterogeneity as a mechanism for the association between precarious employment and health. Indeed, several unmeasured individual characteristics—such as cognitive abilities—may confound the relationship between precarious work and health, leading to biased results. Secondly, only a few studies have directly addressed the role of gender in shaping the relationship. Moreover, available results on the gender differential are mixed and inconsistent: some found precarious employment being more detrimental for women's health, while others found no gender differences or stronger negative association for men. Finally, previous attempts to an empirical translation of the employment precariousness (EP) concept have not always been coherent with their theoretical framework. EP is usually assumed to be a multidimensional and continuous phenomenon; it is characterized by different dimensions of insecurity that may overlap in the same job and lead to different "degrees of precariousness." However, researchers have predominantly focused on one-dimensional indicators—e.g., temporary employment, subjective job insecurity—to measure EP and study the association with health. Besides the fact that this approach partially grasps the phenomenon's complexity, the major problem is the inconsistency of evidence that it has produced. Indeed, this line of inquiry generally reveals an ambiguous picture, with some studies finding substantial adverse effects of temporary over permanent employment, while others report only minor differences. To measure the (causal) effect of precarious work on self-rated health and its variation by gender, I focus on Germany and use four waves from SOEP data (2003, 2007, 2011, and 2015). Germany is a suitable context for my study. Indeed, since the 1980s, the labor market and welfare system have been restructured in many ways to increase the German economy's competitiveness in the global market. As a result, the (standard) employment relationship has been de-standardized: non-standard and atypical employment arrangements—i.e., part-time work, fixed-term contracts, mini-jobs, and work agencies—have increased over time while wages have lowered, even among workers with standard work. In addition, the power of unions has also fallen over the last three decades, leaving a large share of workers without collective protection. Because of this process of de-standardization, the link between wage employment and strong social rights has eroded, making workers more powerless and more vulnerable to labor market risks than in the past. EP refers to this uneven distribution of power in the employment relationship, which can be detrimental to workers' health. Indeed, by affecting individuals' access to power and other resources, EP puts precarious workers at risk of experiencing health shocks and influences their ability to gain and accumulate health advantages (Hp.1). Further, the focus on Germany allows me to investigate my second research question on the gender differential. Germany is usually regarded as a traditionalist gender regime: a context characterized by a configuration of roles. Here, being a caregiver is assumed to be women's primary role, whereas the primary breadwinner role is reserved for men. Although many signs of progress have been made over the last decades towards a greater equalization of opportunities and more egalitarianism, the breadwinner model has barely changed towards a modified version. Thus, women usually take on the double role of workers (the so-called secondary earner) and caregivers, and men still devote most of their time to paid work activities. Moreover, the overall upward trend towards more egalitarian gender ideologies has leveled off over the last decades, moving notably towards more traditional gender ideologies. In this setting, two alternative hypotheses are possible. Firstly, I assume that the negative relationship between EP and health is stronger for women than for men. This is because women are systematically more disadvantaged than men in the public and private spheres of life, having less access to formal and informal sources of power. These gender-related power asymmetries may interact with EP-related power asymmetries resulting in a stronger effect of EP on women's health than on men's health (Hp.2). An alternative way of looking at the gender differential is to consider the interaction that precariousness might have with men's and women's gender identities. According to this view, the negative relationship between EP and health is weaker for women than for men (Hp.2a). In a society with a gendered division of labor and a strong link between masculine identities and stable and well-rewarded job—i.e., a job that confers the role of primary family provider—a male worker with precarious employment might violate the traditional male gender role. Men in precarious jobs may perceive themselves (and by others) as possessing a socially undesirable characteristic, which conflicts with the stereotypical idea of themselves as the male breadwinner. Engaging in behaviors that contradict stereotypical gender identity may decrease self-esteem and foster feelings of inferiority, helplessness, and jealousy, leading to poor health. I develop a new indicator of EP that empirically translates a definition of EP as a multidimensional and continuous phenomenon. I assume that EP is a latent construct composed of seven dimensions of insecurity chosen according to the theory and previous empirical research: Income insecurity, social insecurity, legal insecurity, employment insecurity, working-time insecurity, representation insecurity, worker's vulnerability. The seven dimensions are proxied by eight indicators available in the four waves of the SOEP dataset. The EP composite indicator is obtained by performing a multiple correspondence analysis (MCA) on the eight indicators. This approach aims to construct a summary scale in which all dimensions contribute jointly to the measured experience of precariousness and its health impact. Further, the relationship between EP and 'general self-perceived health' is estimated by applying ordered probit random-effects estimators and calculating average marginal effect (further AME). Then, to control for unobserved heterogeneity, I implement correlated random-effects models that add to the model the within-individual means of the time-varying independent variables. To test the significance of the gender differential, I add an interaction term between EP and gender in the fully adjusted model in the pooled sample. My correlated random-effects models showed EP's negative and substantial 'effect' on self-perceived health for both men and women. Although nonsignificant, the evidence seems in line with previous cross-sectional literature. It supports the hypothesis that employment precariousness could be detrimental to workers' health. Further, my results showed the crucial role of unobserved heterogeneity in shaping the health consequences of precarious employment. This is particularly important as evidence accumulates, yet it is still mostly descriptive. Moreover, my results revealed a substantial difference among men and women in the relationship between EP and health: when EP increases, the risk of experiencing poor health increases much more for men than for women. This evidence falsifies previous theory according to whom the gender differential is contingent on the structurally disadvantaged position of women in western societies. In contrast, they seem to confirm the idea that men in precarious work could experience role conflict to a larger extent than women, as their self-standard is supposed to be the stereotypical breadwinner worker with a good and well-rewarded job. Finally, results from the multiple correspondence analysis contribute to the methodological debate on precariousness, showing that a multidimensional and continuous indicator can express a latent variable of EP. All in all, complementarities are revealed in the results of unemployment and employment precariousness, which have two implications: Policy-makers need to be aware that the total costs of unemployment and precariousness go far beyond the economic and material realm penetrating other fundamental life domains such as individual health. Moreover, they need to balance the trade-off between protecting adequately unemployed people and fostering high-quality employment in reaction to the highlighted market pressures. In this sense, the further development of a (universalistic) welfare state certainly helps mitigate the adverse health effects of unemployment and, therefore, the future costs of both individuals' health and welfare spending. In addition, the presence of a working partner is crucial for reducing the health consequences of employment instability. Therefore, policies aiming to increase female labor market participation should be promoted, especially in those contexts where the welfare state is less developed. Moreover, my results support the significance of taking account of a gender perspective in health research. The findings of the three articles show that job loss, unemployment, and precarious employment, in general, have adverse effects on men's health but less or absent consequences for women's health. Indeed, this suggests the importance of labor and health policies that consider and further distinguish the specific needs of the male and female labor force in Europe. Nevertheless, a further implication emerges: the health consequences of employment instability and de-standardization need to be investigated in light of the gender arrangements and the transforming gender relationships in specific cultural and institutional contexts. My results indeed seem to suggest that women's health advantage may be a transitory phenomenon, contingent on the predominant gendered institutional and cultural context. As the structural difference between men's and women's position in society is eroded, egalitarianism becomes the dominant normative status, so will probably be the gender difference in the health consequences of job loss and precariousness. Therefore, while gender equality in opportunities and roles is a desirable aspect for contemporary societies and a political goal that cannot be postponed further, this thesis raises a further and maybe more crucial question: What kind of equality should be pursued to provide men and women with both good life quality and equal chances in the public and private spheres? In this sense, I believe that social and labor policies aiming to reduce gender inequality in society should focus on improving women's integration into the labor market, implementing policies targeting men, and facilitating their involvement in the private sphere of life. Equal redistribution of social roles could activate a crucial transformation of gender roles and the cultural models that sustain and still legitimate gender inequality in Western societies. KW - unemployment KW - employment precariousness KW - self-rated health KW - gender KW - family KW - welfare and gender regimes Y1 - 2022 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-536723 ER - TY - BOOK A1 - Taneja, Preti T1 - Assimilation, exodus, eradication BT - Iraq’s minority communities since 2003 KW - Irak KW - Minderheit KW - Geschichte 2003-2006 Y1 - 2007 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-bbdig-87 SN - 1-904584-60-8 PB - Minority Rights Group International CY - London ER - TY - CHAP A1 - Szeifert, T. T1 - Wind variabilities and asymmetries in Luminous Blue Variables N2 - Luminous Blue Variables show strong changes in their stellar wind on time scales of typically years to decades when they expand and contract radially at approximately constant luminosity. Micro-variability on shorter time scales and amplitudes can be observed superimposed to the larger scale radial changes. I will show long-term time series of high resolution spectra which we have collected in the past 20 years for many of the well known LBVs together with a few time series of weekly sampling (HR Car, R40, R71, R110, R127, S Dor) covering a time windows of up to a few months. Wind variability is seen on short and intermediate time scales with the line profiles changing from P Cygni to inverse P Cygni and double peeked profiles sometimes for the same star and spectral line. On longer time scales the ionisation levels for all chemical elements change drastically due to the strong change of the temperature on the stellar surface. While on the long term the characteristic radial changes may have impact on the over all mass loss rates, the variabilities and asymmetries on short and intermediate time scales may cause false estimates of the mass loss rates when confronting models with the observed line profiles Y1 - 2007 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-18146 ER - TY - THES A1 - Swierczynski, Tina T1 - A 7000 yr runoff chronology from varved sediments of Lake Mondsee (Upper Austria) T1 - Eine 7000-jährige Abflusschronologie anhand von warvierten Sedimenten des Mondsees (Oberösterreich) N2 - The potential increase in frequency and magnitude of extreme floods is currently discussed in terms of global warming and the intensification of the hydrological cycle. The profound knowledge of past natural variability of floods is of utmost importance in order to assess flood risk for the future. Since instrumental flood series cover only the last ~150 years, other approaches to reconstruct historical and pre-historical flood events are needed. Annually laminated (varved) lake sediments are meaningful natural geoarchives because they provide continuous records of environmental changes > 10000 years down to a seasonal resolution. Since lake basins additionally act as natural sediment traps, the riverine sediment supply, which is preserved as detrital event layers in the lake sediments, can be used as a proxy for extreme discharge events. Within my thesis I examined a ~ 8.50 m long sedimentary record from the pre-Alpine Lake Mondsee (Northeast European Alps), which covered the last 7000 years. This sediment record consists of calcite varves and intercalated detrital layers, which range in thickness from 0.05 to 32 mm. Detrital layer deposition was analysed by a combined method of microfacies analysis via thin sections, Scanning Electron Microscopy (SEM), μX-ray fluorescence (μXRF) scanning and magnetic susceptibility. This approach allows characterizing individual detrital event layers and assigning a corresponding input mechanism and catchment. Based on varve counting and controlled by 14C age dates, the main goals of this thesis are (i) to identify seasonal runoff processes, which lead to significant sediment supply from the catchment into the lake basin and (ii) to investigate flood frequency under changing climate boundary conditions. This thesis follows a line of different time slices, presenting an integrative approach linking instrumental and historical flood data from Lake Mondsee in order to evaluate the flood record inferred from Lake Mondsee sediments. The investigation of eleven short cores covering the last 100 years reveals the abundance of 12 detrital layers. Therein, two types of detrital layers are distinguished by grain size, geochemical composition and distribution pattern within the lake basin. Detrital layers, which are enriched in siliciclastic and dolomitic material, reveal sediment supply from the Flysch sediments and Northern Calcareous Alps into the lake basin. These layers are thicker in the northern lake basin (0.1-3.9 mm) and thinner in the southern lake basin (0.05-1.6 mm). Detrital layers, which are enriched in dolomitic components forming graded detrital layers (turbidites), indicate the provenance from the Northern Calcareous Alps. These layers are generally thicker (0.65-32 mm) and are solely recorded within the southern lake basin. In comparison with instrumental data, thicker graded layers result from local debris flow events in summer, whereas thin layers are deposited during regional flood events in spring/summer. Extreme summer floods as reported from flood layer deposition are principally caused by cyclonic activity from the Mediterranean Sea, e.g. July 1954, July 1997 and August 2002. During the last two millennia, Lake Mondsee sediments reveal two significant flood intervals with decadal-scale flood episodes, during the Dark Ages Cold Period (DACP) and the transition from the Medieval Climate Anomaly (MCA) into the Little Ice Age (LIA) suggesting a linkage of transition to climate cooling and summer flood recurrences in the Northeastern Alps. In contrast, intermediate or decreased flood episodes appeared during the MWP and the LIA. This indicates a non-straightforward relationship between temperature and flood recurrence, suggesting higher cyclonic activity during climate transition in the Northeast Alps. The 7000-year flood chronology reveals 47 debris flows and 269 floods, with increased flood activity shifting around 3500 and 1500 varve yr BP (varve yr BP = varve years before present, before present = AD 1950). This significant increase in flood activity shows a coincidence with millennial-scale climate cooling that is reported from main Alpine glacier advances and lower tree lines in the European Alps since about 3300 cal. yr BP (calibrated years before present). Despite relatively low flood occurrence prior to 1500 varve yr BP, floods at Lake Mondsee could have also influenced human life in early Neolithic lake dwellings (5750-4750 cal. yr BP). While the first lake dwellings were constructed on wetlands, the later lake dwellings were built on piles in the water suggesting an early flood risk adaptation of humans and/or a general change of the Late Neolithic Culture of lake-dwellers because of socio-economic reasons. However, a direct relationship between the final abandonment of the lake dwellings and higher flood frequencies is not evidenced. N2 - Ein verstärktes Auftreten von Hochwassern, sowohl in ihrer Häufigkeit als auch in ihrer Frequenz, wird im Zuge der Klimaerwärmung und einer möglichen Intensivierung des hydrologischen Kreislaufs diskutiert. Die Kenntnis über die natürliche Variabilität von Hochwasserereignissen ist dabei eine grundlegende Voraussetzung, um die Hochwassergefahr für die Zukunft abschätzen zu können. Da instrumentelle Hochwasserzeitreihen meist nur die letzten 150 Jahre abbilden sind andere Methoden erforderlich, um das Auftreten von historischen und prä-historischen Hochwassern festzustellen. Jährlich laminierte (warvierte) Seesedimente sind bedeutende natürliche Archive, denn sie liefern kontinuierliche Zeitreihen > 10000 Jahre mit einer bis zur saisonalen Auflösung. Seebecken stellen natürliche Sedimentfallen dar, wobei eingetragenes Flusssediment in den Seesedimenten als eine distinkte detritische Lage aufgezeichnet wird, und daher zur Rekonstruktion von extremen Abflussereignissen genutzt werden. Im Rahmen meiner Doktorarbeit habe ich einen 8.50 m langen Sedimentkern aus dem Mondsee (Nordostalpen) untersucht, welcher die letzten 7000 Jahre abdeckt. Dieser Sedimentkern besteht aus Kalzitwarven und eingeschalteten detritischen Lagen mit einer Mächtigkeit von 0.05-32 mm. Detritische Lagen wurden mit Hilfe einer kombinierten Methode untersucht: Mikrofaziesanalyse, Rasterelektronenmikroskopie, Röntgenfluoreszenzanalyse (µXRF) und magnetische Suszeptibilität. Dieser Ansatz ermöglicht die Charakterisierung der einzelnen detritischen Lagen bezüglich der Eintragsprozesse und die Lokalisierung des Einzugsgebietes. Auf Grundlage der Warvenzählung und 14C Datierungen sind die wichtigsten Ziele dieser Arbeit: (i) die Identifizierung der Eintragsprozesse, welche zu einem Sedimenteintrag vom Einzugsgebiet bis in den See führen und (ii) die Rekonstruktion der Hochwasserfrequenz unter veränderten Klimabedingungen. Diese Arbeit zeigt eine Untersuchung auf verschiedenen Zeitscheiben, wobei instrumentelle und historische Daten genutzt werden, um die Aufzeichnung von pre-historischen Hochwasser in den Mondseesedimenten besser zu verstehen. Innerhalb der letzten 100 Jahre wurden zwölf Abflussereignisse aufgezeichnet. Zwei Typen von detritschen Lagen können anhand von Korngröße, geochemischer Zusammensetzung und des Verteilungsmusters unterschieden werden. Detritische Lagen, welche aus siliziklastischen und dolomitischen Material bestehen, zeigen eine Sedimentherkunft vom Teileinzugsgebiet des Flysch (nördliches Einzugsgebiet) und der Nördlichen Kalkalpen (südliches Teileinzugsgebiet) auf. Diese Lagen sind im Nördlichen Becken mächtiger (0.1-3.9 mm) als im südlichen Seebecken (0.05-1.6 mm). Detritische Lagen, welche nur aus dolomitischem Material bestehen und Turbititlagen aufzeigen (0.65-32 mm), weisen auf eine Herkunft aus den Nördlichen Kalkalpen hin. Im Vergleich mit instrumentellen Zeitreihen, stammen die mächtigeren Lagen von lokalen Murereignissen im Sommer und feinere Eintragslagen von regionalen Frühjahrs- und Sommerhochwassern. Extreme Sommerhochwasser am Mondsee werden hauptsächlich durch Zyklonen vom Mittelmeer ausgelöst, z.B. Juli 1954, Juli 1997 und August 2002. Die Untersuchung des langen Sedimentkerns vom Mondsee zeigt während der letzten 2000 Jahre signifikante Hochwasserintervalle mit dekadischen Hochwasserepisoden während der Völkerwanderungszeit und im Übergang vom Mittelalter in die Kleine Eiszeit. Dies weist auf eine Verknüpfung von Abkühlungsphasen und Sommerhochwassern im Nordostalpenraum hin. Während der Mittelalterlichen Wärmephase und in der Kleinen Eiszeit kam es jedoch zu einer geringeren Hochwasseraktivität. Dies zeigt einen komplexen Zusammenhang von Temperaturentwicklung und Hochwasseraktivität in den Nordostalpen, mit einer erhöhten Zyklonenaktivät in den Übergängen von wärmeren zu kälteren Phasen. Während der letzten 7000 Jahre wurden 47 Muren und 269 Hochwasser aufgezeichnet, wobei es eine signifikante Änderung mit erhöhter Häufigkeit um 3500 und 1500 Warvenjahre v. h. gab (v.h. = vor heute = AD 1950). Diese signifikante Änderung stimmt mit einem langfristigem Abkühlungstrend überein, welcher durch alpine Gletschervorstöße und das Absinken von Baumgrenzen seit etwa 3300 Warvenjahre v.h. berichtet wird. Trotz relativ geringer Hochwasseraktivität um 1500 Warvenjahre v.h., könnte das Auftreten von Hochwasser auch das Leben Menschen in Neolithischen Pfahlbausiedlungen (5750-4750 cal. yr BP) beeinflusst haben. Während die ersten Pfahlbauten noch als Feuchtbodensiedlungen am Land entstanden, wurden spätere Siedlungen eventuell als Anpassung an stark schwankenden Seewasserspiegeln auf Pfählen im Wasser gebaut und/oder zeigen eine allgemeine Veränderung der Siedlungsaktivitäten der Neolithischen Pfahlbaukultur an, aufgrund sozio-ökonomischer Veränderungen. Ein direkter Zusammenhang zwischen dem Verlassen der Pfahlbausiedlungen und einer erhöhten Hochwasseraktivität konnte jedoch nicht festgestellt werden. KW - Mondsee KW - Paläohochwasser KW - Seesedimente KW - Warven KW - Klimarekonstruktion KW - Mondsee KW - Paleofloods KW - Lake sediments KW - Warves KW - Climate reconstruction Y1 - 2012 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-66702 ER - TY - THES A1 - Swart, Corné T1 - Managing protein activity in A. thaliana BT - A proteomic approach to understanding SUMOylation as well as the regulation of carbohydrate metabolism Y1 - 2017 ER - TY - THES A1 - Störmann, Florian Konstantin T1 - Multifunctional Microballoons for the active and passive control of fluid-flows N2 - Functional materials, also called "Smart Materials", are described by their ability to fulfill a desired task through targeted interaction with its environment. Due to this functional integration, such materials are of increased interest, especially in areas where the increasing micronization of components is required. Modern manufacturing processes (e.g. microfluidics) and the availability of a wide variety of functional materials (e.g. shape memory materials) now enable the production of particle-based switching components. This category includes micropumps and microvalves, whose basic function is the active control of liquid flows. One approach in realizing those microcomponents as pursued by this work, enables variable size-switching of water-filled microballoons by implementing a stimulus-sensitive switching motif in the capsule's membrane shell, while being under the influence of a constant driving force. The switching motif with its gatekeeper function has a critical influence on one or more material parameters, which modulate the capsule's resistance against the driving force in microballoon expansion process. The advantage of this concept is that even non-variable analyte conditions, such as concentration levels of ions, can be capitalized to generate external force fields that, under the control of the membrane, cause an inflation of the microballoon by an osmotically driven water influx. In case of osmotic pressure gradients as the driving force for the capsule expansion, material parameters associated with the gatekeeper function are specifically the permeability and the mechanical stiffness of the shell material. While a modulation of the shell permeability could be utilized to kinetically impede the water influx on large time scales, a modulation of the shell's mechanical stiffness even might be utilized to completely prevent the capsule inflation due to a possible non-deformability beneath a certain threshold pressure. In polymer networks, which are a suitable material class for the demanded capsule shell because of their excellent elasticity, both the permeability and the mechanical properties are strongly influenced by the crystallinity of the material. Since the permeability is effectively reduced with increasing crystallinity, while the mechanical stiffness is simultaneously greatly increased, both effects point in the same direction in terms of their functional relationship. For this reason and due to a reversible and contactless modulation of the membrane crystallinity by heat input, crystallites may be suitable switching motifs for controlling the capsule expansion. As second design element of reversible expandable microballoons, the capsule geometry, defined by an aqueous core enveloped by the temperature-sensitive polymer network membrane, should allow an osmotic pressure gradient across the membrane layer. The strength of the inflation pressure and the associated inflation velocity upon membrane melting should be controlled by the salt concentration within the aqueous core, while a turn in the osmotic gradient should furthermore allow the reversible process of capsule deflation. Therefore, it should be possible to build either microvalves and micropumps, while their intended action of either pumping or valving is determined by their state of expansion and the direction of the osmotic pressure gradient.. Microballoons of approximately 300 µm in diameter were formed via droplet-based microfluidics from double-emulsion templates (w/o/w). The elastomeric capsule membrane was formed by photo-crosslinking of methacrylate (MA) functionalized oligo(ε-caprolactone) precursors (≈ 3.8 MA-arms, Mn ≈ 12000 g mol-1) within the organic medium layer (o) via UV-exposure after droplet-formation. After removal of the toluene/chloroform mixture by slow extraction via the continuous aqueous phase, the capsules solidified under the development of a characteristic "mushroom"-like shape at specific experimental conditions (e.g. λ = 308 nm, 57 mJ·s-1·cm-2, 16 min). It could be furthermore shown that in dependency to the process parameters: oligomer concentration and curing-time also spherical capsules were accessible. Long curing-times and high oligomer concentrations at a fixed light-intensity favored the formation of "mushroom"-like capsules, whereas the contrary led to spherical shaped capsules. A comparative study on thin polymer network films of same composition and equal treatment proved a correlation between the film's crosslink density and their contraction capability, while stronger crosslinked polymer networks showed a stronger contraction after solvent removal. In combination with observations during capsule solidification via light-microscopy, where a continuous shaping from almost spherical crosslinked templates to "mushroom"-shaped and solidified capsules was stated, the following mechanism was proposed. In case of low oligomer contents and short curing-times, the contraction of the capsule shell during solvent removal is strongly diminished due to a low degree of crosslinking. Therefore, the solidifying shell could freely collapse onto the aqueous core. In the other case, high oligomer concentrations and long curing-times will favor the formation of highly crosslinked capsule membranes with a strong contraction capability. Due to an observed decentered location of the aqueous core within the swollen polymer network, an uneven radial stress along the capsule's circumference is exerted to the incompressible core. This lead to an uneven contraction during solvent removal and a directed flow of the core fluid into the direction of the minimal stress vector. In consequence, the initially thicker spherical cap contracts, whereas the opposing thinner spherical cap get stretched. The "mushroom"-shape over some advantages over their spherical shaped counterparts, why they were selected for the further experiments. Besides the necessity of a high density of crosslinking for the purpose of extraordinary elasticity and toughness, the form-anisotropy promotes a faster microballoon expandability due to a partial reduction of the membrane thickness. Additionally, pre-stretched regions of thin thickness might provide a better resistance against inflation pressure than spherical but non-stretched capsules of equal membrane thickness. The resulting "mushroom"-shaped microcapsules exhibited a melting point of Tm ≈ 50 - 60 °C and a degree of crystallinity of Xc ≈ 29 - 38 % depending on the membrane thickness and internal salt content, which is slightly lower than for the non-crosslinked oligomer and reasoned by a limited chain mobility upon crosslinking. Nonetheless, the melting transition of the polymer network was associated with a strong drop in its mechanical stiffness, which was shown to have a strong influence on the osmotic driven expansion of the microcapsules. Capsules that were subjected to osmotic pressures between 1.5 and 4.7 MPa did not expand if the temperature was well below the melting point of the capsule's membrane, i.e. at room temperature. In contrast, a continuous expansion, while approaching asymptotically to a final capsule size, was observed if the temperature exceeded the melting point, i.e. 60 °C. Microballoons, which were kept for 56 days at ∆Π = 1.5 MPa and room temperature, did not change significantly in diameter, why the impact of the mechanical stiffness on the expansion behavior is considered to be the greater than the influence of the shell permeability. The time-resolved expansion behavior of the microballoons above their Tm was subsequently modeled, using difusion equations that were corrected for shape anisotropy and elastic restoring forces. A shape-related and expansion dependent pre-factor was used to dynamically address the influence of the shell thickness differences along the circumference on the inflation velocity, whereas the microballoon's elastic contraction upon inflation was rendered by the inclusion of a hyperelastic constitutive model. An important finding resulting from this model was the pronounced increase in inflation velocity compared to hypothetical capsules with a homogeneous shell thickness, which stresses the benefit of employing shape anisotropic balloon-like capsules in this study. Furthermore, the model was able to predict the finite expandability on basis of entropy-elastic recovery forces and strain-hardening effects. A comparison of six different microballoons with different shell thicknesses and internal salt contents showed the linear relationship between the volumetric expansion, the shell thickness and the applied osmotic pressure, as represented by the model. As the proposed model facilitates the prediction of the expansion kinetics depending on the membranes mechanical and diffusional characteristics, it might be a screening tool for future material selections. In course of the microballoon expansion process, capsules of intermediate diameters could be isolated by recrystallization of the membrane, which is mainly caused by a restoration of the membrane's mechanical stiffness and is otherwise difficult to achieve with other stimuli-sensitive systems. The capsule's crystallinity of intermediate expansion states was nearly unchanged, whereas the lamellar crystal size tends to decreased with the expansion ratio. Therefore, it was assumed that the elastic modulus was only minimally altered and might increased due to the networks segment-chain extension. In addition to the volume increase achieved by inflation, a turn in the osmotic gradient also facilitated the reversible deflation, which was shown in inflation/deflation cycles. These both characteristics of the introduced microballoons are important parameter regarding the realization of micropumps and microvalves. The fixation of expanded microcapsules via recrystallization enabled the storage of entropy-elastic strain-energy, which could be utilized for pumping actions in non-aqueous media. Here, the pumping velocity depended on both, the type of surrounding medium and the applied temperature. Surrounding media that supported the fast transport of pumped liquid showed an accelerated deflation, while high temperatures further accelerate the pumping velocity. Very fast rejection of the incorporated payload was furthermore realized with pierced expanded microballoons, which were subjected to temperatures above their Tm. The possible fixation of intermediate particle sizes provide opportunities for vent constructions that allowed the precise adjustment of specific flow-rates and multiple valve openings and closings. A valve construction was realized by the insertion of a single or multiple microballoons in a microfluidic channel. A complete and a partial closing of the microballoon-valves was demonstrated as a function of the heating period. In this context, a difference between the inflation and deflation velocity was stated, summarizing slower expansion kinetics. Overall, microballoons, which presented both on-demand pumping and reversible valving by a temperature-triggered change in the capsule's volume, might be suitable components that help to design fully integrated LOC devices, due to the implementation of the control switch and controllable inflation/deflation kinetics. In comparison to other state of the art stimuli-sensitive materials, one has to highlight the microballoons capability of stabilizing almost continuously intermediate capsule sizes by simple recrystallization of the microballoon's membrane. N2 - Funktionsmaterialien, auch "Smart Materials" genannt, werden durch ihre Fähigkeit, durch die gezielte Interaktion mit seiner Umgebung eine gewünschte Aufgabe zu erfüllen, beschrieben. Aufgrund dieser Funktionsintegration sind solche Materialien vor allem in Bereichen, in denen die zunehmende Mikronisierung von Bauteilen benötigt wird, von gesteigerten Interesse. Moderne Fertigungsverfahren (z..B. Mikrofluidik) und die Verfügbarkeit verschiedenster Funktionsmaterialien (z.B. Formgedächtnismaterialien) ermöglichen heutzutage die Herstellung partikelbasierter Schaltkomponenten. In diese Kategorie fallen unter anderem Mikropumpen und Mikroventile, deren grundsätzliche Funktion die aktive Steuerung von Flüssigkeitsströmen ist. Ein Ansatz zur Realisierung solcher Mikroschalter, der von dieser Arbeit verfolgt wurde, basiert auf wassergefüllten Mikroballons mit einem integrierten stimuli-sensitiven Schaltelement, welche unter dem Einfluss einer konstanten Antriebskraft eine Gröÿenänderung erfahren. Das Schaltmotiv als kontrollierende Instanz entscheidet dabei über die Auswirkung der einwirkenden Kraft auf die Gröÿenänderung durch ihren Einfluss auf einen oder mehrere Materialparameter. Dies ermöglicht die Ausnutzung nicht-variabler Analytbedingungen, wie zum Beispiel Ionenkonzentrationsunterschiede, zur Erzeugung von Kraftfeldern, welche eine Expansion der Mikroballons durch Osmose hervorrufen. Materialparameter welche mit osmotischen Volumenströmen assoziiert sind und diese steuern, sind im Speziellen die Permeabilität und die mechanische Steifigkeit der Kapselmembran. Durch eine Verringerung der Permeabilität kann die Expansionsgeschwindigkeit der Kapseln kinetisch gehemmt und zu langen Zeitperioden hin verschoben werden, wohingegen eine Verstärkung der mechanischen Steifigkeit die Expansion der Kapseln komplett unterbinden kann, indem der angelegte osmotische Druck unterhalb des zur Dehnung notwendigen Schwellendruck liegt.. In Verbindung mit Polymernetzwerken, welche aufgrund ihrer herausragenden Elastizität und Zähfestigkeit eine geeignete Materialklasse für die Herstellung der Kapselmembran darstellen, sind sowohl die Permeabilität als auch die mechanische Steifigkeit mit der Kristallinität des Materials assoziiert. Grundsätzlich kann festgestellt werden, dass die Permeabilität mit der Kristallinität sinkt, wohingegen die Steifigkeit mit ihr steigt. Die Expansion der Kapseln sollte demnach in Abhängigkeit der Kristallinität des Hüllmaterials ermöglicht oder unterbunden werden können, weswegen sich Kristallite als temperatur-sensitive Schaltmotive eignen sollten. Das zweite Designelement von reversibel expandierbaren Mikroballons wird durch die Kapselgeometrie beschrieben, welche sowohl einen wässrigen Kern als auch eine elastomere, semi-permeable Membran aufweist. Diese Kompartimentierung ermöglicht zum einen die Generierung eines osmotischen Druckgradientens zwischen Kapselkern und Umgebung und zum anderen die Erzeugung einer dünnen und umspannenden Polymermembran. Der osmotische Druck als auch die hiermit einhergehende Expansionsgeschwindigkeit nach Aufschmelzen der Kapselmembran sollte durch das Einstellen des Salzgehaltes des Partikelkerns möglich sein. Eine reversible Kapselschrumpfung nach erfolgter Expansion sollte durch Änderungen des äußeren Salzgehaltes zugänglich sein. Auf Basis dieses Konzepts sollten demnach reversibel schaltbare Mikropumpen und Mikroventile realisierbar sein, wobei die Art ihrer Funktion sowohl von ihrem Expansionszustand als auch von der Richtung des osmotischen Druckgradienten abhängt. Die templat-basierte Erzeugung von Mikroballons mit einem Durchmesser von ca. 300 µm erfolgte aus (w/o/w) Doppelemulsionströpfchen mittels Mikrofluidik. Die elastomere Kapselmembran wurde durch Photovernetzung von Methacrylat funktionalisierten oligo(ϵ-caprolacton) Vorläufern (≈ 3.8 MA-Arme, Mn ≈ 12000 g mol-1) aus der organischen Phase (o) und nach Abschluss der Tröpfchenformierung erzeugt. Nach Verfestigung der Kapselmembran durch langsames extrahieren des Lösungsmittelgemisches (Toluol/Chloroform) über die kontinuierliche wässrige Phase, wurden unter bestimmten Reaktionsbedingungen während der Photovernetzung (e.g. λ = 308 nm, 57 mJ·s-1·cm-2, 16 min) formanisotrope "pilzförmige" Mikrokapseln erhalten. Es wurde festgestellt, dass über die Syntheseparameter der Oligomerkonzentration und Belichtungszeit, die Formgebung zwischen kugelförmigen und "pilzförmigen" Kapseln gesteuert werden konnte. Im Fall von niedrigen Oligomerkonzentrationen und kurzen Belichtungszeiten wurden kugelförmige Mikrokapseln und ansonsten "pilzförmige" Kapseln erzeugt. In einer vergleichenden Studie an dünnen Polymernetzwerkfilmen gleicher Zusammensetzung und Behandlung konnte ein Zusammenhang zwischen den beiden Syntheseparametern und der Kontraktilität der Filme bestätigt werden, wobei im Falle höherer Oligomerkonzentrationen und längeren Belichtungszeiten eine stärkere Kontraktion der Filme nach Abdampfen des Lösungsmittelgemisches beobachtet werden konnte. Zusammen mit Beobachtungen eines kontinuierlichen Ausprägens der "Pilzform" von initial annähernd kugelförmigen Kapseln im Laufe des Verfestigungsprozesses mittels Lichtmikroskopie wird folgender Mechanismus der Formausprägung vorgeschlagen. Kapseln mit niedriger Vernetzungsdichte zeigen nur eine geringe Kontraktilität, wodurch das Polymernetzwerk nach Extraktion des Lösungsmittelgemisches frei auf der Kernoberfläche kollabieren kann. Stark vernetzte Kapseln weisen hingegen eine sehr starke Schrumpfung infolge des Lösungsmittelverlustes auf. Aufgrund der nicht mittigen Positionierung des wässrigen Kerns mit Abschluss der Tröpfchenbildung und der darauf ausgebildeten inhomogenen Schichtdickenverteilung ergeben sich unterschiedlich starke radiale Spannungsunterschiede entlang der Membran. Bereiche großer Materialstärke kontrahieren infolge stärker und sorgen für eine Verformung des inkompressiblen wässrigen Kerns in Richtung dünnerer Membransegmente, welche daraufhin gedehnt werden. Nach Abschluss der Membranverfestigung liegen demnach entspannte und stark vorgedehnte Membransegmente vor, die aufgrund der Kristallisation konserviert werden. Die "Pilzform" bietet hinsichtlich der Expansionseigenschaften der Mikroballons einige Vorteile gegenüber ihrem kugelförmigen Pendant, weswegen diese für die weiteren Experimente verwendet wurden. Neben den Anforderung hoher Vernetzungsdichten zum Zwecke der geforderten Elastizität, wird durch die Formanisotropie und der damit verbundenen Schichtdickenunterschiede die Expansionsgeschwindigkeit der Kapseln gesteigert. Weiterhin könnte die Vorstreckung der dünnen Membranschichten eine zusätzliche Stabilität gegenüber dem angelegten osmotischen Drucks aufweisen und somit ein ungewolltes Expandieren unterhalb der Schmelztemperatur erschweren. Die resultierenden "pilzförmigen" Mikroballons wiesen je nach eingestellter Schichtdicke und innerer Salzkonzentration, einen Schmelzpunkt von Tm ≈ 50 - 60 °C und einen Kristallisationsgrad von Xc ≈ 29 - 38 % auf, welche verglichen mit dem unvernetzten PCL Homopolymer geringfügig kleiner waren. Dies liegt zum einen an der erhöhten Anzahl von Kettenenden und zum anderen an der eingeschränkten Kettenmobilität infolge der Oligomervernetzung. Es konnte jedoch weiterhin eine starke Verringerung der mechanischen Steifigkeit nach dem Überschreiten der Schmelztemperatur beobachtet werden. Der große Einfluss der Temperatur auf die Expansion der Mikroballons konnte für mehrere Kapseln bestätigt werden. Kapseln welche einem osmotischen Druck von 1.5 bis 4.7 MPa ausgesetzt waren zeigten keine Größenveränderung bei Raumtemperatur, d.h. weit unterhalb der Schmelztemperatur. Im Gegensatz hierzu wurde eine starke Volumenzunahme aller Kapseln nach dem Überschreiten der Schmelztemperatur, bei 60 °C festgestellt. Mikroballons welche für 56 Tage einem osmotischen Druck von 1.5 MPa bei Raumtemperatur ausgesetzt waren zeigten keine signifikanten Volumenänderungen, weswegen insbesondere der Effekt der mechanischen Erweichung ausschlaggebend für das Schaltprinzip gemacht werden kann. Das zeitaufgelöste Expansionsverhalten der Mikroballons oberhalb ihres Schmelzpunktes wurde daraufhin unter Verwendung von Diffusionsgleichungen, welche für die Formanisotropie und elastische Rückstellkräfte korrigiert wurden, modelliert. Ein formabhängiger Vorfaktor, der die Expansionsgeschwindigkeit in Abhängigkeit der Schichtdickenunterschiede und des Expansionszustandes beschreibt, wurde ebenso eingeführt wie ein Term zur Beschreibung der mechanischen Rückstellkräfte auf Basis eines hyperelastischen Materialmodells. Das Model ermöglichte zum einen eine Beschreibung der endlichen Expandierfähigkeit aufgrund entropie-elastischer Rückstellkräfte sowie aufgrund von Kaltverfestigungen, und zum anderen eine deutliche Beschleunigung des Expandiervorganges aufgrund der Kapselanisotropie. Der Vergleich sechs unterschiedlicher Kapseln mit unterschiedlichen Schichtdicken und inneren Salzgehalten zeigte zudem, in Übereinstimmung mit dem Modell, eine lineare Abhängigkeit von Schichtdicke, osmotischen Druck und der Volumenzunahme. Die mit dem Modell einhergehende Vorhersagemöglichkeit der Expansionskinetik hinsichtlich der mechanischen und diffusionsbedingten Materialcharakteristika stellen somit möglicherweise eine Hilfestellung dar, eine zukünftige Materialauswahl zu treffen. Weiterhin konnte gezeigt werden, dass durch Rekristallisation der Kapselmembran und der damit verbundenen Wiederherstellung der mechanischen Steifigkeit, intermediäre Kapselgrößen isoliert werden konnten, was nach besten Wissen des Standes-der-Technik andernfalls nur schwer zu erreichen ist. Ungeachtet des Expansionsgrades konnten nur geringe Änderungen der Kristallinität festgestellt werden, wohingegen die Kristallgröße mit zunehmender Expansion abnahm. Diesbezüglich wird angenommen dass der Elastizitätsmodulus nur geringfügigen Veränderungen unterliegt oder sogar aufgrund einer Kettenversteifung tendenziell zunimmt. Zusätzlich der Betrachtung einer Volumenzunahme, konnte durch die Änderung des Druckgradienten ebenfalls ein Schrumpfen der Kapseln erreicht werden. Die Reversibilität dieses Prozesses wurde in Expansions/Deflations-Zyklen bestätigt und ist eine wichtige Eigenschaft der Mikroballons hinsichtlich ihrer Verwendung als Mikropumpe und Mikroventil. Die Fixierung expandierter Mikrokapseln durch Rekristallisierung der Membran ermöglichte weiterhin eine Pumpfunktion in nicht-wässrigen Medien. Dabei konnte festgestellt werden, dass die Pumpleistung sowohl von dem umgebenden Medium als auch von der applizierten Temperatur abhingen. Medien, die einen schnellen Abtransport der freigesetzten Flüssigkeit ermöglichten, als auch hohe Temperaturen steigerten hierbei die Pumpleistung. Mikroballons mit einer sehr großen Auswurfleistung konnten durch das Einbringen einer Öffnung in die Membran erzeugt werden. Die Fixierung intermediärer Kapselgrößen ermöglichte Ventilkonstruktionen, welche eine präzise Flussrateneinstellung und ein vielfaches öffnen und Schließen des Ventils ermöglichte. Diese Konstruktionen wurden durch das Einbringen eines oder mehrerer Mikroballons realisiert. Ein teilweises und vollkommenes Schließen dieser Mikroballon-basierten Ventilen wurde mit einem periodischen Versuchsaufbau in Abhängigkeit der Heizperiode gezeigt. Dabei wurden unterschiedliche Expansions- und Deflationskinetiken mit einem schnelleren Schrumpfverhalten bestätigt. Zusammenfassend wurden Mikroballons entwickelt, welche sowohl eine "on-demand" Pumpfunktion als auch eine reversible Ventilfunktion aufweisen. Die Implementierung des Schaltmotives in die Partikelmembran sowie die kontrollierbaren Expansions/Deflationskinetiken machen die Mikroballons gegebenenfalls zu geeigneten Komponenten für hochintegrierbare LOC-Systeme. Im Vergleich zu anderen Stimuli-sensitiven Materialien ist die Möglichkeit der nahezu kontinuierlichen Stabilisierung von intermediärer Partikelgrößen hervorzuheben. Dieses Verhalten wird dabei durch Wechselspiel zwischen Materialeigenschaften und Kapselgeometrie erzeugt. KW - microcapsules KW - expansion KW - stimuli-sensitivity KW - microfluidics KW - polymer network KW - Mikrokapseln KW - expandierbar KW - Stimuli-Sensitivität KW - Mikrofluidik KW - Polymernetzwerk Y1 - 2023 ER - TY - JOUR A1 - Studemund-Halévy, Michael T1 - Desperados at Sea JF - PaRDeS : Zeitschrift der Vereinigung für Jüdische Studien e.V. JF - PaRDeS : Journal of the Association for Jewish Studies in Germany N2 - Pirates are fortune-seeking fighters at sea. Their exploits fire the imaginations of their victims and admirers, drawing a veil over individuals who rarely bear a real name and pursue their adventurous occupations as buccaneers, filibusters, freebooters, privateers, pirates, or corsairs. Piracy, corsairing, and contraband trade were epidemic among the Egyptians and the Phoenicians, the Greeks and the Vikings, the Spaniards and the Ottomans, the Muslims, and the Christians. And the Jews. Y1 - 2023 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-585796 SN - 978-3-86956-552-1 SN - 1614-6492 SN - 1862-7684 IS - 28 SP - 100 EP - 115 PB - Universitätsverlag Potsdam CY - Potsdam 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 - 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 - 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 - 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 - 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 - 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 -