TY - JOUR A1 - Hartwich, Melanie A1 - Straile, Dietmar A1 - Gaedke, Ursula A1 - Wacker, Alexander T1 - Use of ciliate and phytoplankton taxonomic composition for the estimation of eicosapentaenoic acid concentration in lakes JF - Freshwater biology N2 - 1. The polyunsaturated fatty acid eicosapentaenoic acid (EPA) plays an important role in aquatic food webs, in particular at the primary producerconsumer interface where keystone species such as daphnids may be constrained by its dietary availability. Such constraints and their seasonal and interannual changes may be detected by continuous measurements of EPA concentrations. However, such EPA measurements became common only during the last two decades, whereas long-term data sets on plankton biomass are available for many well-studied lakes. Here, we test whether it is possible to estimate EPA concentrations from abiotic variables (light and temperature) and the biomass of prey organisms (e.g. ciliates, diatoms and cryptophytes) that potentially provide EPA for consumers. 2. We used multiple linear regression to relate size- and taxonomically resolved plankton biomass data and measurements of temperature and light intensity to directly measured EPA concentrations in Lake Constance during a whole year. First, we tested the predictability of EPA concentrations from the biomass of EPA-rich organisms (diatoms, cryptophytes and ciliates). Secondly, we included the variables mean temperature and mean light intensity over the sampling depth (020 m) and depth (08 and 820 m) as factors in our model to check for large-scale seasonal- and depth-dependent effects on EPA concentrations. In a third step, we included the deviations of light and temperature from mean values in our model to allow for their potential influence on the biochemical composition of plankton organisms. We used the Akaike Information Criterion to determine the best models. 3. All approaches supported our proposition that the biomasses of specific plankton groups are variables from which seston EPA concentrations can be derived. The importance of ciliates as an EPA source in the seston was emphasised by their high weight in our models, although ciliates are neglected in most studies that link fatty acids to seston taxonomic composition. The large-scale seasonal variability of light intensity and its interaction with diatom biomass were significant predictors of EPA concentrations. The deviation of temperature from mean values, accounting for a depth-dependent effect on EPA concentrations, and its interaction with ciliate biomass were also variables with high predictive power. 4. The best models from the first and second approaches were validated with measurements of EPA concentrations from another year (1997). The estimation with the best model including only biomass explained 80%, and the best model from the second approach including mean temperature and depth explained 87% of the variability in EPA concentrations in 1997. 5. We show that it is possible to predict EPA concentrations reliably from plankton biomass, while the inclusion of abiotic factors led to results that were only partly consistent with expectations from laboratory studies. Our approach of including biotic predictors should be transferable to other systems and allow checking for biochemical constraints on primary consumers. KW - ciliates KW - diatoms KW - eicosapentaenoic acid KW - light KW - temperature Y1 - 2012 U6 - https://doi.org/10.1111/j.1365-2427.2012.02799.x SN - 0046-5070 VL - 57 IS - 7 SP - 1385 EP - 1398 PB - Wiley-Blackwell CY - Hoboken ER - TY - CHAP A1 - Neumann-Schaal, M. A1 - Messerschmidt, Katrin A1 - Grenz, N. A1 - Micheel, Burkhard A1 - Heilmann, K. T1 - Use of antibody gene library for the isolation of specific single chain antibodies by ampicillin-antigen conjugates T2 - Immunology : an official journal of the British Society for Immunology Y1 - 2012 SN - 0019-2805 VL - 137 IS - 3 SP - 661 EP - 661 PB - Wiley-Blackwell CY - Hoboken ER - TY - JOUR A1 - Bang, Guri A1 - Hovi, Jon A1 - Sprinz, Detlef F. T1 - US presidents and the failure to ratify multilateral environmental agreements JF - Climate policy N2 - Whereas the US President signed the Kyoto Protocol, the failure of the US Congress to ratify it seriously hampered subsequent international climate cooperation. This recent US trend, of signing environmental treaties but failing to ratify them, could thwart attempts to come to a future climate agreement. Two complementary explanations of this trend are proposed. First, the political system of the US has distinct institutional features that make it difficult for presidents to predict whether the Senate will give its advice and consent to multilateral environmental agreements (MEAs) and whether Congress will pass the required enabling legislation. Second, elected for a fixed term, US presidents might benefit politically from supporting MEAs even when knowing that legislative support is not forthcoming. Four policy implications are explored, concerning the scope for unilateral presidential action, the potential for bipartisan congressional support, the effectiveness of a treaty without the US, and the prospects for a deep, new climate treaty. Policy relevance Why does the failure of US ratification of multilateral environmental treaties occur? This article analyses the domestic political mechanisms involved in cases of failed US ratification. US non-participation in global environmental institutions often has serious ramifications. For example, it sharply limited Kyoto's effectiveness and seriously hampered international climate negotiations for years. Although at COP 17 in Durban the parties agreed to negotiate a new agreement by 2015, a new global climate treaty may well trigger a situation resembling the one President Clinton faced in 1997 when he signed Kyoto but never obtained support for it in the Senate. US failure to ratify could thwart future climate agreements. KW - enabling legislation KW - environmental treaties KW - Kyoto Protocol KW - political processes KW - ratification KW - United States Y1 - 2012 U6 - https://doi.org/10.1080/14693062.2012.699788 SN - 1469-3062 VL - 12 IS - 6 SP - 755 EP - 763 PB - Routledge, Taylor & Francis Group CY - Abingdon ER - TY - JOUR A1 - Kirpichenko, Svetlana V. A1 - Shainyan, Bagrat A. A1 - Kleinpeter, Erich T1 - Unusual conformational preferences of 1,3-dimethyl-3-isopropoxy-3-silapiperidine JF - Journal of physical organic chemistry N2 - The conformational analysis of the first representative of the Si-alkoxy substituted six-membered Si,N-heterocycles, 1,3-dimethyl-3-isopropoxy-3-silapiperidine, was performed by low-temperature 1H and 13C NMR spectroscopy and DFT theoretical calculations. In contrast to the expectations from the conformational energies of methyl and alkoxy substituents, the Meaxi-PrOeq conformer was found to predominate in the conformational equilibrium in the ratio Meaxi-PrOeq : Meeqi-PrOax of ca. 2 : 1 as from the 1H and 13C NMR study. The thermodynamic parameters obtained by the complete line shape analysis showed that the main contribution to the barrier to ring inversion originates from the entropy term of the free energy of activation. KW - barrier to ring inversion KW - conformational equilibrium KW - DFT theoretical calculations KW - dynamic NMR KW - silapiperidines Y1 - 2012 U6 - https://doi.org/10.1002/poc.3028 SN - 0894-3230 VL - 25 IS - 12 SP - 1321 EP - 1327 PB - Wiley-Blackwell CY - Hoboken ER - TY - JOUR A1 - Keehner, Madeleine A1 - Fischer, Martin H. T1 - Unusual bodies, uncommon behaviors individual and group differences in embodied cognition in spatial tasks JF - Spatial cognition and computation N2 - This editorial introduces a set of papers on differential embodiment in spatial tasks. According to the theoretical notion of embodied cognition, our experiences of acting in the world, and the constraints of our sensory and motor systems, strongly shape our cognitive functions. In the current set of papers, the authors were asked to particularly consider idiosyncratic or differential embodied cognition in the context of spatial tasks and processes. In each contribution, differential embodiment is considered from one of two complementary perspectives: either by considering unusual individuals, who have atypical bodies or uncommon experiences of interacting with the world; or by exploring individual differences in the general population that reflect the naturally occurring variability in embodied processes. Our editorial summarizes the contributions to this special issue and discusses the insights they offer. We conclude from this collection of papers that exploring differences in the recruitment and involvement of embodied processes can be highly informative, and can add an extra dimension to our understanding of spatial cognitive functions. Taking a broader perspective, it can also shed light on important theoretical and empirical questions concerning the nature of embodied cognition per se. KW - embodied cognition KW - spatial cognition KW - individual differences KW - spatial ability KW - strategy KW - expertise KW - mental representation Y1 - 2012 U6 - https://doi.org/10.1080/13875868.2012.659303 SN - 1387-5868 VL - 12 IS - 2-3 SP - 71 EP - 82 PB - Taylor & Francis Group CY - Philadelphia ER - TY - THES A1 - Matallana-Ramírez, Lilian Paola T1 - Unraveling the ORE1 regulon in Arabidopsis thaliana : molecular and functional characterization of up- and down-stream components T1 - Aufklärung des ORE1-Regulationsnetzwerks in Arabidopsis thaliana : molekulare und funktionelle Charakterisierung von Über- und untergeordneten Komponenten N2 - Leaf senescence is an active process required for plant survival, and it is flexibly controlled, allowing plant adaptation to environmental conditions. Although senescence is largely an age-dependent process, it can be triggered by environmental signals and stresses. Leaf senescence coordinates the breakdown and turnover of many cellular components, allowing a massive remobilization and recycling of nutrients from senescing tissues to other organs (e.g., young leaves, roots, and seeds), thus enhancing the fitness of the plant. Such metabolic coordination requires a tight regulation of gene expression. One important mechanism for the regulation of gene expression is at the transcriptional level via transcription factors (TFs). The NAC TF family (NAM, ATAF, CUC) includes various members that show elevated expression during senescence, including ORE1 (ANAC092/AtNAC2) among others. ORE1 was first reported in a screen for mutants with delayed senescence (oresara1, 2, 3, and 11). It was named after the Korean word “oresara,” meaning “long-living,” and abbreviated to ORE1, 2, 3, and 11, respectively. Although the pivotal role of ORE1 in controlling leaf senescence has recently been demonstrated, the underlying molecular mechanisms and the pathways it regulates are still poorly understood. To unravel the signaling cascade through which ORE1 exerts its function, we analyzed particular features of regulatory pathways up-stream and down-stream of ORE1. We identified characteristic spatial and temporal expression patterns of ORE1 that are conserved in Arabidopsis thaliana and Nicotiana tabacum and that link ORE1 expression to senescence as well as to salt stress. We proved that ORE1 positively regulates natural and dark-induced senescence. Molecular characterization of the ORE1 promoter in silico and experimentally suggested a role of the 5’UTR in mediating ORE1 expression. ORE1 is a putative substrate of a calcium-dependent protein kinase named CKOR (unpublished data). Promising data revealed a positive regulation of putative ORE1 targets by CKOR, suggesting the phosphorylation of ORE1 as a requirement for its regulation. Additionally, as part of the ORE1 up-stream regulatory pathway, we identified the NAC TF ATAF1 which was able to transactivate the ORE1 promoter in vivo. Expression studies using chemically inducible ORE1 overexpression lines and transactivation assays employing leaf mesophyll cell protoplasts provided information on target genes whose expression was rapidly induced upon ORE1 induction. First, a set of target genes was established and referred to as early responding in the ORE1 regulatory network. The consensus binding site (BS) of ORE1 was characterized. Analysis of some putative targets revealed the presence of ORE1 BSs in their promoters and the in vitro and in vivo binding of ORE1 to their promoters. Among these putative target genes, BIFUNCTIONAL NUCLEASE I (BFN1) and VND-Interacting2 (VNI2) were further characterized. The expression of BFN1 was found to be dependent on the presence of ORE1. Our results provide convincing data which support a role for BFN1 as a direct target of ORE1. Characterization of VNI2 in age-dependent and stress-induced senescence revealed ORE1 as a key up-stream regulator since it can bind and activate VNI2 expression in vivo and in vitro. Furthermore, VNI2 was able to promote or delay senescence depending on the presence of an activation domain located in its C-terminal region. The plasticity of this gene might include alternative splicing (AS) to regulate its function in different organs and at different developmental stages, particularly during senescence. A model is proposed on the molecular mechanism governing the dual role of VNI2 during senescence. N2 - Der Alterungsprozess lebender Organismen wird seit vielen Jahren wissenschaftlich untersucht. In Pflanzen wird der Alterungsprozess Seneszenz genannt. Er ist für das Überleben der Pflanze von großer Bedeutung. Dennoch ist unser Wissen über die molekularen Mechanismen der Blattseneszenz, dessen komplexe Steuerung und die Wechselwirkungen mit Umweltsignale noch sehr limitiert. Ein wichtiges Steuerungselement besteht in der Aktivierung bestimmter Transkriptionsfaktoren (TFs) die während der Seneszenz unterschiedlich exprimiert werden. Aus der Literatur ist bekannt, dass Mitglieder der NAC TF Familie (NAM/ATAF/CUC) an der Regulation der Seneszenz bei Pflanzen beteiligt sind. ORE1 (ANAC092/AtNAC2), ein NAC TF mit erhöhter Genexpression während der Seneszenz, wurde erstmals in Mutanten mit verzögerte Seneszenz beschrieben, die molekularen Mechanismen, wie ORE1 die Seneszenz kontrolliert und die Stoffwechselwege reguliert, sind aber noch weitgehend unbekannt. Die Arbeiten im Rahmen dieser Dissertation wurden durchgeführt, um einen tieferen Einblick in die Regulationsmechanismen von ORE1 auf natürliche, dunkel induzierte sowie Salzstress-induzierte Seneszenz zu erhalten. Ergebnisse von Untersuchungen an zwei unterschiedlichen Pflanzenspezies (Arabidopsis thalinana und Nicotiana tabacum) deuten auf ein ähnliches Expressionsmuster von ORE1 während der natürlichen als auch der Salz-induzierten Seneszenz hin. In der Promotorregion von ORE1 wurde ein für natürliche Seneszenz charakteristisches Muster identifiziert. In vivo Analysen ergaben darüber hinaus. Hinweise auf zwei weitere ORE1 Regulatoren. Debei handelt es sich umeinen weiteren NAC TF (ATAF1) und (ii) CKOR, einer Calcium-abhängige Protein-Kinase (CDPK).In weiteren Studien wurden sechs Gene identifiziert, die durch ORE1 reguliert werden. In den Promotoren dieser Gene wurden entsprechende Bindestellen für ORE1 lokalisiert. Die ORE1-Bindung an die Promotoren wurde daraufhin sowohl in vitro als auch in vivo verifiziert. Zwei dieser Gene, die BIFUNCTIONAL Nuclease I (BFNI) und VND-Interacting2 (VNI2), wurden zudem auf molekularer und physiologischer Ebene untersucht. KW - Blattalterung KW - Transkriptionsfaktor KW - Regulationsweg KW - Leaf senescence KW - transcription factor KW - regulatory pathway Y1 - 2012 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-62646 ER - TY - JOUR A1 - Guljamow, Arthur A1 - Delissen, Friedmar A1 - Baumann, Otto A1 - Thuenemann, Andreas F. A1 - Dittmann-Thünemann, Elke T1 - Unique properties of eukaryote-type actin and profilin horizontally transferred to cyanobacteria JF - PLoS one N2 - A eukaryote-type actin and its binding protein profilin encoded on a genomic island in the cyanobacterium Microcystis aeruginosa PCC 7806 co-localize to form a hollow, spherical enclosure occupying a considerable intracellular space as shown by in vivo fluorescence microscopy. Biochemical and biophysical characterization reveals key differences between these proteins and their eukaryotic homologs. Small-angle X-ray scattering shows that the actin assembles into elongated, filamentous polymers which can be visualized microscopically with fluorescent phalloidin. Whereas rabbit actin forms thin cylindrical filaments about 100 mu m in length, cyanobacterial actin polymers resemble a ribbon, arrest polymerization at 510 lam and tend to form irregular multi-strand assemblies. While eukaryotic profilin is a specific actin monomer binding protein, cyanobacterial profilin shows the unprecedented property of decorating actin filaments. Electron micrographs show that cyanobacterial profilin stimulates actin filament bundling and stabilizes their lateral alignment into heteropolymeric sheets from which the observed hollow enclosure may be formed. We hypothesize that adaptation to the confined space of a bacterial cell devoid of binding proteins usually regulating actin polymerization in eukaryotes has driven the co-evolution of cyanobacterial actin and profilin, giving rise to an intracellular entity. Y1 - 2012 U6 - https://doi.org/10.1371/journal.pone.0029926 SN - 1932-6203 VL - 7 IS - 1 SP - 221 EP - 231 PB - PLoS CY - San Fransisco ER - TY - THES A1 - Künn, Steffen T1 - Unemployment and active labor market policy : new evidence on start-up subsidies, marginal employment and programs for youth unemployed T1 - Arbeitslosigkeit und die Rolle von aktiver Arbeitsmarktpolitik : neue Erkenntnisse zur Existenzgründungsförderung, geringfügiger Beschäftigung und Programmen für arbeitslose Jugendliche N2 - In industrialized economies such as the European countries unemployment rates are very responsive to the business cycle and significant shares stay unemployed for more than one year. To fight cyclical and long-term unemployment countries spend significant shares of their budget on Active Labor Market Policies (ALMP). To improve the allocation and design of ALMP it is essential for policy makers to have reliable evidence on the effectiveness of such programs available. Although the number of studies has been increased during the last decades, policy makers still lack evidence on innovative programs and for specific subgroups of the labor market. Using Germany as a case study, the dissertation aims at contributing in this way by providing new evidence on start-up subsidies, marginal employment and programs for youth unemployed. The idea behind start-up subsidies is to encourage unemployed individuals to exit unemployment by starting their own business. Those programs have compared to traditional programs of ALMP the advantage that not only the participant escapes unemployment but also might generate additional jobs for other individuals. Considering two distinct start-up subsidy programs, the dissertation adds three substantial aspects to the literature: First, the programs are effective in improving the employment and income situation of participants compared to non-participants in the long-run. Second, the analysis on effect heterogeneity reveals that the programs are particularly effective for disadvantaged groups in the labor market like low educated or low qualified individuals, and in regions with unfavorable economic conditions. Third, the analysis considers the effectiveness of start-up programs for women. Due to higher preferences for flexible working hours and limited part-time jobs, unemployed women often face more difficulties to integrate in dependent employment. It can be shown that start-up subsidy programs are very promising as unemployed women become self-employed which gives them more flexibility to reconcile work and family. Overall, the results suggest that the promotion of self-employment among the unemployed is a sensible strategy to fight unemployment by abolishing labor market barriers for disadvantaged groups and sustainably integrating those into the labor market. The next chapter of the dissertation considers the impact of marginal employment on labor market outcomes of the unemployed. Unemployed individuals in Germany are allowed to earn additional income during unemployment without suffering a reduction in their unemployment benefits. Those additional earnings are usually earned by taking up so-called marginal employment that is employment below a certain income level subject to reduced payroll taxes (also known as “mini-job”). The dissertation provides an empirical evaluation of the impact of marginal employment on unemployment duration and subsequent job quality. The results suggest that being marginal employed during unemployment has no significant effect on unemployment duration but extends employment duration. Moreover, it can be shown that taking up marginal employment is particularly effective for long-term unemployed, leading to higher job-finding probabilities and stronger job stability. It seems that mini-jobs can be an effective instrument to help long-term unemployed individuals to find (stable) jobs which is particularly interesting given the persistently high shares of long-term unemployed in European countries. Finally, the dissertation provides an empirical evaluation of the effectiveness of ALMP programs to improve labor market prospects of unemployed youth. Youth are generally considered a population at risk as they have lower search skills and little work experience compared to adults. This results in above-average turnover rates between jobs and unemployment for youth which is particularly sensitive to economic fluctuations. Therefore, countries spend significant resources on ALMP programs to fight youth unemployment. However, so far only little is known about the effectiveness of ALMP for unemployed youth and with respect to Germany no comprehensive quantitative analysis exists at all. Considering seven different ALMP programs, the results show an overall positive picture with respect to post-treatment employment probabilities for all measures under scrutiny except for job creation schemes. With respect to effect heterogeneity, it can be shown that almost all programs particularly improve the labor market prospects of youths with high levels of pretreatment schooling. Furthermore, youths who are assigned to the most successful employment measures have much better characteristics in terms of their pre-treatment employment chances compared to non-participants. Therefore, the program assignment process seems to favor individuals for whom the measures are most beneficial, indicating a lack of ALMP alternatives that could benefit low-educated youths. N2 - Zur Verbesserung der Arbeitsmarktchancen arbeitsloser Personen und damit zur Bekämpfung von Arbeitslosigkeit werden innerhalb der Europäischen Union jedes Jahr beträchtliche Summen für Maßnahmen der aktiven Arbeitsmarktpolitik (AAP) aufgewendet. Vor diesem Hintergrund ergibt sich die Frage nach der Effektivität dieser Programme. Obwohl in den vergangenen Jahren zahlreiche empirische Evaluationsstudien durchgeführt und hierdurch wesentliche Erkenntnisse über die Wirksamkeit von AAP gewonnen wurden, bestehen noch stets unerforschte bzw. nur unzureichend erforschte Bereiche, wie zum Beispiel für innovative Programme oder für Untergruppen am Arbeitsmarkt. Hierin liegt der Beitrag der Dissertationsschrift. Am Beispiel von Deutschland werden neue Erkenntnisse zur Wirksamkeit der Existenzgründungsförderung, der geringfügigen Beschäftigung sowie der Programme für arbeitslose Jugendliche geliefert. Mit Einführung des Existenzgründungszuschusses (Ich-AG) im Rahmen der Hartz-Reformen, standen gründungswilligen Arbeitslosen, zusammen mit dem bereits seit Mitte der Achtziger Jahre bekannten Überbrückungsgeld, zwischen 2003 und 2006 zwei Förderprogramme zur Verfügung. Beide Programme umfassen eine monetäre Förderung während der Gründungsphase, um arbeitslosen Personen den Weg in die berufliche Selbständigkeit zu erleichtern. Die Analyse der beiden Programme zeigt deutlich, dass die intendierten Ziele, d.h. die Verbesserung der Beschäftigungschancen sowie der Einkommenssituation der Teilnehmer, erreicht wurden. Es zeigt sich weiter, dass beide Programme insbesondere effektiv für benachteiligte Gruppen am Arbeitsmarkt, wie z.B. Geringqualifizierte, sowie in Regionen mit eher schlechten ökonomischen Bedingungen sind. Aber auch die getrennte Analyse für Frauen zieht eine positive Bilanz. Hier erweist sich die Förderung als besonders wirksam, da die berufliche Selbständigkeit (im Gegensatz zur abh. Beschäftigung) anscheinend eine bessere Vereinbarkeit von Familie und Beruf ermöglicht. Abschließend lässt sich somit feststellen, dass die Förderung der beruflichen Selbständigkeit eine sinnvolle Strategie darstellt, da insbesondere bestehende Hürden für benachteiligte Gruppen am Arbeitsmarkt beseitigt und diese Personen langfristig in den Arbeitsmarkt integriert werden. Im nächsten Abschnitt der Dissertationsschrift wird die Aufnahme einer geringfügigen Beschäftigung während der Arbeitslosigkeit untersucht. In Deutschland können arbeitslose Personen bis zu 15 Stunden/Woche eine Beschäftigung aufnehmen, wobei ein Zuverdienst bis 165 Euro/Monat keine Auswirkung auf den Bezug von Arbeitslosengeld hat. Hierzu greifen arbeitslose Personen insbesondere auf die geringfügige Beschäftigung (genannt „Mini-Job“) zurück, da diese für die Arbeitslosen selbst abgabenfrei ist und Arbeitgeber nur einen reduzierten Beitrag zur Sozialversicherung sowie Einkommensteuer zahlen. Das erhöhte Einkommensniveau während der Arbeitslosigkeit sowie der enge Kontakt zum Arbeitsmarkt können unterschiedliche Wirkungen generieren. Es zeigt sich, dass die Aufnahme einer geringfügigen Beschäftigung grundsätzlich keinen signifikanten Einfluss auf die Arbeitslosigkeitsdauer hat, jedoch im Anschluss an die Arbeitslosigkeit zu längeren Beschäftigungsphasen führt. Die Untersuchung der Effektheterogenität zeigt, dass die geringfügige Beschäftigung während der Arbeitslosigkeit die Arbeitslosigkeitsdauer für Langzeitarbeitslose verkürzt und zu insgesamt stabileren Beschäftigungsphasen für diese Personengruppe führt. Das Ergebnis ist von hoher politischer Relevanz, da die Möglichkeit einer Zusatzbeschäftigung während der Arbeitslosigkeit anscheinend ein effektives Instrument zur Bekämpfung von Langzeitarbeitslosigkeit darstellt. Abschließend beschäftigt sich die Dissertationsschrift mit der Untersuchung der Effektivität von AAP zur Verbesserung der Arbeitsmarktchancen von arbeitslosen Jugendlichen. Jugendliche sind im Gegensatz zu Erwachsenen häufiger von Arbeitslosigkeit betroffen, da sie über geringere Such- bzw. Arbeitserfahrung verfügen. Die Bekämpfung von Jugendarbeitslosigkeit steht daher im Fokus der AAP. Vor diesem Hintergrund ist es erstaunlich, dass bisher nur wenig über die Wirksamkeit von AAP für arbeitslose Jugendliche bekannt ist bzw. für Deutschland hierzu noch überhaupt keine Erkenntnisse existieren. Die Dissertationsschrift liefert nun erstmalig Evidenz zur Wirksamkeit von AAP für arbeitslose Jugendliche in Deutschland. Die untersuchten Programme (außer Arbeitsbeschaffungsmaßnahmen) erhöhen die Beschäftigungswahrscheinlichkeit der Teilnehmer gegenüber den Nicht-Teilnehmern. Allerdings zeigt sich auch, dass arbeitslose Jugendliche ohne bzw. mit Hauptschulabschluss weniger von einer Programmteilnahme profitieren als Jugendliche mit einer höheren Schulbildung. Hier scheint noch Optimierungsbedarf zu bestehen, indem die Ausgestaltung der AAP stärker auf die Bedürfnisse von geringqualifizierten Jugendlichen eingehen sollte. KW - aktive Arbeitsmarktpolitik KW - Evaluation KW - Mikroökonometrie KW - langfristige Effekte KW - Effektheterogenität KW - active labor market policy KW - evaluation KW - microeconometrics KW - long-term effects KW - effect heterogeneity Y1 - 2012 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-62718 ER - TY - BOOK A1 - Albrecht, Alexander A1 - Naumann, Felix T1 - Understanding cryptic schemata in large extract-transform-load systems N2 - Extract-Transform-Load (ETL) tools are used for the creation, maintenance, and evolution of data warehouses, data marts, and operational data stores. ETL workflows populate those systems with data from various data sources by specifying and executing a DAG of transformations. Over time, hundreds of individual workflows evolve as new sources and new requirements are integrated into the system. The maintenance and evolution of large-scale ETL systems requires much time and manual effort. A key problem is to understand the meaning of unfamiliar attribute labels in source and target databases and ETL transformations. Hard-to-understand attribute labels lead to frustration and time spent to develop and understand ETL workflows. We present a schema decryption technique to support ETL developers in understanding cryptic schemata of sources, targets, and ETL transformations. For a given ETL system, our recommender-like approach leverages the large number of mapped attribute labels in existing ETL workflows to produce good and meaningful decryptions. In this way we are able to decrypt attribute labels consisting of a number of unfamiliar few-letter abbreviations, such as UNP_PEN_INT, which we can decrypt to UNPAID_PENALTY_INTEREST. We evaluate our schema decryption approach on three real-world repositories of ETL workflows and show that our approach is able to suggest high-quality decryptions for cryptic attribute labels in a given schema. N2 - Extract-Transform-Load (ETL) Tools werden häufig beim Erstellen, der Wartung und der Weiterentwicklung von Data Warehouses, Data Marts und operationalen Datenbanken verwendet. ETL Workflows befüllen diese Systeme mit Daten aus vielen unterschiedlichen Quellsystemen. Ein ETL Workflow besteht aus mehreren Transformationsschritten, die einen DAG-strukturierter Graphen bilden. Mit der Zeit entstehen hunderte individueller ETL Workflows, da neue Datenquellen integriert oder neue Anforderungen umgesetzt werden müssen. Die Wartung und Weiterentwicklung von großen ETL Systemen benötigt viel Zeit und manuelle Arbeit. Ein zentrales Problem ist dabei das Verständnis unbekannter Attributnamen in Quell- und Zieldatenbanken und ETL Transformationen. Schwer verständliche Attributnamen führen zu Frustration und hohen Zeitaufwänden bei der Entwicklung und dem Verständnis von ETL Workflows. Wir präsentieren eine Schema Decryption Technik, die ETL Entwicklern das Verständnis kryptischer Schemata in Quell- und Zieldatenbanken und ETL Transformationen erleichtert. Unser Ansatz berücksichtigt für ein gegebenes ETL System die Vielzahl verknüpfter Attributnamen in den existierenden ETL Workflows. So werden gute und aussagekräftige "Decryptions" gefunden und wir sind in der Lage Attributnamen, die aus unbekannten Abkürzungen bestehen, zu "decrypten". So wird z.B. für den Attributenamen UNP_PEN_INT als Decryption UNPAIN_PENALTY_INTEREST vorgeschlagen. Unser Schema Decryption Ansatz wurde für drei ETL-Repositories evaluiert und es zeigte sich, dass unser Ansatz qualitativ hochwertige Decryptions für kryptische Attributnamen vorschlägt. T3 - Technische Berichte des Hasso-Plattner-Instituts für Digital Engineering an der Universität Potsdam - 60 KW - Extract-Transform-Load (ETL) KW - Data Warehouse KW - Datenintegration KW - Extract-Transform-Load (ETL) KW - Data Warehouse KW - Data Integration Y1 - 2012 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-61257 SN - 978-3-86956-201-8 PB - Universitätsverlag Potsdam CY - Potsdam ER - TY - THES A1 - Broß, Justus F. M. T1 - Understanding and leveraging the social physics of the blogosphere Y1 - 2012 CY - Potsdam ER - TY - JOUR A1 - Zurell, Damaris A1 - Grimm, Volker A1 - Rossmanith, Eva A1 - Zbinden, Niklaus A1 - Zimmermann, Niklaus E. A1 - Schröder-Esselbach, Boris T1 - Uncertainty in predictions of range dynamics black grouse climbing the Swiss Alps JF - Ecography : pattern and diversity in ecology ; research papers forum N2 - Empirical species distribution models (SDMs) constitute often the tool of choice for the assessment of rapid climate change effects on species vulnerability. Conclusions regarding extinction risks might be misleading, however, because SDMs do not explicitly incorporate dispersal or other demographic processes. Here, we supplement SDMs with a dynamic population model 1) to predict climate-induced range dynamics for black grouse in Switzerland, 2) to compare direct and indirect measures of extinction risks, and 3) to quantify uncertainty in predictions as well as the sources of that uncertainty. To this end, we linked models of habitat suitability to a spatially explicit, individual-based model. In an extensive sensitivity analysis, we quantified uncertainty in various model outputs introduced by different SDM algorithms, by different climate scenarios and by demographic model parameters. Potentially suitable habitats were predicted to shift uphill and eastwards. By the end of the 21st century, abrupt habitat losses were predicted in the western Prealps for some climate scenarios. In contrast, population size and occupied area were primarily controlled by currently negative population growth and gradually declined from the beginning of the century across all climate scenarios and SDM algorithms. However, predictions of population dynamic features were highly variable across simulations. Results indicate that inferring extinction probabilities simply from the quantity of suitable habitat may underestimate extinction risks because this may ignore important interactions between life history traits and available habitat. Also, in dynamic range predictions uncertainty in SDM algorithms and climate scenarios can become secondary to uncertainty in dynamic model components. Our study emphasises the need for principal evaluation tools like sensitivity analysis in order to assess uncertainty and robustness in dynamic range predictions. A more direct benefit of such robustness analysis is an improved mechanistic understanding of dynamic species responses to climate change. Y1 - 2012 U6 - https://doi.org/10.1111/j.1600-0587.2011.07200.x SN - 0906-7590 VL - 35 IS - 7 SP - 590 EP - 603 PB - Wiley-Blackwell CY - Hoboken ER - TY - CHAP A1 - Intziegianni, Konstantina A1 - Cassel, Michael A1 - Müller, Steffen A1 - Mayer, Frank T1 - Ultrasound evaluation of the patellar tendon cross-sectional area and its relation to maximum force T2 - Medicine and science in sports and exercise : official journal of the American College of Sports Medicine Y1 - 2012 SN - 0195-9131 VL - 44 SP - 714 EP - 714 PB - Lippincott Williams & Wilkins CY - Philadelphia ER - TY - JOUR A1 - Wang, E. A1 - Kirby, E. A1 - Furlong, K. P. A1 - van Soest, M. A1 - Xu, G. A1 - Shi, X. A1 - Kamp, P. J. J. A1 - Hodges, K. V. T1 - Two-phase growth of high topography in eastern Tibet during the Cenozoic JF - NATURE GEOSCIENCE N2 - High topography in eastern Tibet is thought to have formed when deep crust beneath the central Tibetan Plateau flowed towards the plateau margin, causing crustal thickening and surface uplift(1,2). Rapid exhumation starting about 10-15 million years ago is inferred to mark the onset of surface uplift and fluvial incision(3-6). Although geophysical data are consistent with weak crust capable of flow(7,8), it is unclear how the timing(9) and amount of deformation adjacent to the Sichuan Basin during the Cenozoic era can be explained in this way(10,11). Here we use thermochronology to measure the cooling histories of rocks exposed in a section that stretches vertically over 3 km adjacent to the Sichuan Basin. Our thermal models of exhumation-driven cooling show that these rocks, and hence the plateau margin, were subject to slow, steady exhumation during early Cenozoic time, followed by two pulses of rapid exhumation, one beginning 30-25 million years ago and a second 10-15 million years ago that continues to present. Our findings imply that significant topographic relief existed adjacent to the Sichuan Basin before the Indo-Asian collision. Furthermore, the onset of Cenozoic mountain building probably pre-dated development of the weak lower crust, implying that early topography was instead formed during thickening of the upper crust along faults. We suggest that episodes of mountain building may reflect distinct geodynamic mechanisms of crustal thickening. Y1 - 2012 U6 - https://doi.org/10.1038/NGEO1538 SN - 1752-0894 VL - 5 IS - 9 SP - 640 EP - 645 PB - NATURE PUBLISHING GROUP CY - NEW YORK ER - TY - JOUR A1 - Elsner, Robert A1 - Ullmann, Roland A1 - Heuer, Axel A1 - Menzel, Ralf A1 - Ostermeyer, Martin T1 - Two-dimensional modeling of transient gain gratings in saturable gain media JF - OPTICS EXPRESS N2 - A transient two-dimensional model describing degenerate four-wave mixing inside saturable gain media is presented. The new model is compared to existing one-dimensional models with their qualitative results confirmed. Large quantitative differences with respect to peak reflectivity and optimum pump fluence are observed. Furthermore, the influence of the beam focus size, the transverse position and the crossing angle on the reflectivity of the grating is investigated using the improved model. It is demonstrated that the phase conjugate reflectivity depends sensitively on the transverse features of the interacting beams with a transverse shift in the position of the pump beams yielding a threefold improvement in reflectivity. (C) 2012 Optical Society of America Y1 - 2012 U6 - https://doi.org/10.1364/OE.20.006887 SN - 1094-4087 VL - 20 IS - 7 SP - 6887 EP - 6896 PB - OPTICAL SOC AMER CY - WASHINGTON ER - TY - THES A1 - Chen, Xiaoming T1 - Two-dimensional constrained anisotropic inversion of magnetotelluric data T1 - Zweidimensionale constrained anisotrope Inversion von magnetotellurischen Daten N2 - Tectonic and geological processes on Earth often result in structural anisotropy of the subsurface, which can be imaged by various geophysical methods. In order to achieve appropriate and realistic Earth models for interpretation, inversion algorithms have to allow for an anisotropic subsurface. Within the framework of this thesis, I analyzed a magnetotelluric (MT) data set taken from the Cape Fold Belt in South Africa. This data set exhibited strong indications for crustal anisotropy, e.g. MT phases out of the expected quadrant, which are beyond of fitting and interpreting with standard isotropic inversion algorithms. To overcome this obstacle, I have developed a two-dimensional inversion method for reconstructing anisotropic electrical conductivity distributions. The MT inverse problem represents in general a non-linear and ill-posed minimization problem with many degrees of freedom: In isotropic case, we have to assign an electrical conductivity value to each cell of a large grid to assimilate the Earth's subsurface, e.g. a grid with 100 x 50 cells results in 5000 unknown model parameters in an isotropic case; in contrast, we have the sixfold in an anisotropic scenario where the single value of electrical conductivity becomes a symmetric, real-valued tensor while the number of the data remains unchanged. In order to successfully invert for anisotropic conductivities and to overcome the non-uniqueness of the solution of the inverse problem it is necessary to use appropriate constraints on the class of allowed models. This becomes even more important as MT data is not equally sensitive to all anisotropic parameters. In this thesis, I have developed an algorithm through which the solution of the anisotropic inversion problem is calculated by minimization of a global penalty functional consisting of three entries: the data misfit, the model roughness constraint and the anisotropy constraint. For comparison, in an isotropic approach only the first two entries are minimized. The newly defined anisotropy term is measured by the sum of the square difference of the principal conductivity values of the model. The basic idea of this constraint is straightforward. If an isotropic model is already adequate to explain the data, there is no need to introduce electrical anisotropy at all. In order to ensure successful inversion, appropriate trade-off parameters, also known as regularization parameters, have to be chosen for the different model constraints. Synthetic tests show that using fixed trade-off parameters usually causes the inversion to end up by either a smooth model with large RMS error or a rough model with small RMS error. Using of a relaxation approach on the regularization parameters after each successful inversion iteration will result in smoother inversion model and a better convergence. This approach seems to be a sophisticated way for the selection of trade-off parameters. In general, the proposed inversion method is adequate for resolving the principal conductivities defined in horizontal plane. Once none of the principal directions of the anisotropic structure is coincided with the predefined strike direction, only the corresponding effective conductivities, which is the projection of the principal conductivities onto the model coordinate axes direction, can be resolved and the information about the rotation angles is lost. In the end the MT data from the Cape Fold Belt in South Africa has been analyzed. The MT data exhibits an area (> 10 km) where MT phases over 90 degrees occur. This part of data cannot be modeled by standard isotropic modeling procedures and hence can not be properly interpreted. The proposed inversion method, however, could not reproduce the anomalous large phases as desired because of losing the information about rotation angles. MT phases outside the first quadrant are usually obtained by different anisotropic anomalies with oblique anisotropy strike. In order to achieve this challenge, the algorithm needs further developments. However, forward modeling studies with the MT data have shown that surface highly conductive heterogeneity in combination with a mid-crustal electrically anisotropic zone are required to fit the data. According to known geological and tectonic information the mid-crustal zone is interpreted as a deep aquifer related to the fractured Table Mountain Group rocks in the Cape Fold Belt. N2 - Tektonische und geologische Prozesse verursachen häufig eine strukturelle Anisotropie des Untergrundes, welche von verschiedenen geophysikalischen Methoden beobachtet werden kann. Zur Erstellung und Interpretation geeigneter, realistischer Modelle der Erde sind Inversionsalgorithmen notwendig, die einen anisotropen Untergrund einbeziehen können. Für die vorliegende Arbeit habe ich einen magnetotellurischen (MT) Datensatz vom Cape Fold Gürtel in Südafrika untersucht. Diese Daten weisen auf eine ausgeprägte Anisotropie der Kruste hin, da z.B. die MT Phasen außerhalb des erwarteten Quadranten liegen und nicht durch standardisierte isotrope Inversionsalgorithmen angepasst und ausgewertet werden können. Um dieses Problem zu beheben, habe ich eine zweidimensionale Inversionsmethode entwickelt, welche eine anisotrope elektrische Leitfähigkeitsverteilungen in den Modellen zulässt. Die MT Inversion ist im allgemeinen ein nichtlineares, schlecht gestelltes Minimierungsproblem mit einer hohen Anzahl an Freiheitsgraden. Im isotropen Fall wird jeder Gitterzelle eines Modells ein elektrischer Leitfähigkeitswert zugewiesen um den Erduntergrund nachzubilden. Ein Modell mit beispielsweise 100 x 50 Zellen besitzt 5000 unbekannte Modellparameter. Im Gegensatz dazu haben wir im anisotropen Fall die sechsfache Anzahl, da hier aus dem einfachen Zahlenwert der elektrischen Leitfähigkeit ein symmetrischer, reellwertiger Tensor wird, wobei die Anzahl der Daten gleich bleibt. Für die erfolgreiche Inversion von anisotropen Leitfähigkeiten und um die Nicht-Eindeutigkeit der Lösung des inversen Problems zu überwinden, ist eine geeignete Einschränkung der möglichen Modelle absolut notwendig. Dies wird umso wichtiger, da die Sensitivität von MT Daten nicht für alle Anisotropieparameter gleich ist. In der vorliegenden Arbeit habe ich einen Algorithmus entwickelt, welcher die Lösung des anisotropen Inversionsproblems unter Minimierung einer globalen Straffunktion berechnet. Diese besteht aus drei Teilen: der Datenanpassung, den Zusatzbedingungen an die Glätte des Modells und die Anisotropie. Im Gegensatz dazu werden beim isotropen Fall nur die ersten zwei Parameter minimiert. Der neu definierte Anisotropieterm wird mit Hilfe der Summe der quadratischen Abweichung der Hauptleitfähigkeitswerte des Modells gemessen. Die grundlegende Idee dieser Zusatzbedingung ist einfach. Falls ein isotropes Modell die Daten ausreichend gut anpassen kann, wird keine elektrische Anisotropie zusätzlich in das Modell eingefügt. Um eine erfolgreiche Inversion zu garantieren müssen geeignete Regularisierungsparameter für die verschiedenen Nebenbedingungen an das Modell gewählt werden. Tests mit synthetischen Modellen zeigen, dass bei festgesetzten Regularisierungsparametern die Inversion meistens entweder in einem glatten Modell mit hohem RMS Fehler oder einem groben Modell mit kleinem RMS Fehler endet. Die Anwendung einer Relaxationsbedingung auf die Regularisierung nach jedem Iterationsschritt resultiert in glatteren Inversionsmodellen und einer höheren Konvergenz und scheint ein ausgereifter Weg zur Wahl der Parameter zu sein. Die vorgestellte Inversionsmethode ist im allgemeinen in der Lage die Hauptleitfähigkeiten in der horizontalen Ebene zu finden. Wenn keine der Hauptrichtungen der Anisotropiestruktur mit der vorgegebenen Streichrichtung übereinstimmt, können nur die dazugehörigen effektiven Leitfähigkeiten, welche die Projektion der Hauptleitfähigkeiten auf die Koordinatenachsen des Modells darstellen, aufgelöst werden. Allerdings gehen die Informationen über die Rotationswinkel verloren. Am Ende meiner Arbeit werden die MT Daten des Cape Fold Gürtels in Südafrika analysiert. Die MT Daten zeigen in einem Abschnitt des Messprofils (> 10 km) Phasen über 90 Grad. Dieser Teil der Daten kann nicht mit herkömmlichen isotropen Modellierungsverfahren angepasst und daher mit diesen auch nicht vollständig ausgewertet werden. Die vorgestellte Inversionsmethode konnte die außergewöhnlich hohen Phasenwerte nicht wie gewünscht im Inversionsergebnis erreichen, was mit dem erwähnten Informationsverlust der Rotationswinkel begründet werden kann. MT Phasen außerhalb des ersten Quadranten können für gewöhnlich bei Anomalien mit geneigter Streichrichtung der Anisotropie gemessen werden. Um diese auch in den Inversionsergebnissen zu erreichen ist eine Weiterentwicklung des Algorithmus notwendig. Vorwärtsmodellierungen des MT Datensatzes haben allerdings gezeigt, dass eine hohe Leitfähigkeitsheterogenität an der Oberfläche in Kombination mit einer Zone elektrischer Anisotropie in der mittleren Kruste notwendig sind um die Daten anzupassen. Aufgrund geologischer und tektonischer Informationen kann diese Zone in der mittleren Kruste als tiefer Aquifer interpretiert werden, der im Zusammenhang mit den zerrütteten Gesteinen der Table Mountain Group des Cape Fold Gürtels steht. KW - Magnetotellurik KW - Anisotrope Inversion KW - Regularisierung KW - Anisotropie der Leitfähigkeit KW - magnetotelluric KW - anisotropic inversion KW - regularization KW - conductivity anisotropy Y1 - 2012 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-63163 ER - TY - JOUR A1 - Zhu, Jian A1 - Kollosche, Matthias A1 - Lu, Tongqing A1 - Kofod, Guggi A1 - Suo, Zhigang T1 - Two types of transitions to wrinkles in dielectric elastomers JF - Soft matter N2 - A membrane of a dielectric elastomer coated with compliant electrodes may form wrinkles as the applied voltage is ramped up. We present a combination of experiment and theory to investigate the transition to wrinkles using a clamped membrane subject to a constant force and a voltage ramp. Two types of transitions are identified. In type-I transition, the voltage-stretch curve is N-shaped, and flat and wrinkled regions coexist in separate areas of the membrane. The type-I transition progresses by nucleation of small wrinkled regions, followed by the growth of the wrinkled regions at the expense of the flat regions, until the entire membrane is wrinkled. By contrast, in type-II transition, the voltage-stretch curve is monotonic, and the entire flat membrane becomes wrinkled with no nucleation barrier. The two types of transitions are analogous to the first and the second order phase transitions. While the type-I transition is accompanied by a jump in the vertical displacement, type-II transition is accompanied by a continuous change in the vertical displacement. Such transitions may enable applications in muscle-like actuation and energy harvesting, where large deformation and large energy of conversion are desired. Y1 - 2012 U6 - https://doi.org/10.1039/c2sm26034d SN - 1744-683X VL - 8 IS - 34 SP - 8840 EP - 8846 PB - Royal Society of Chemistry CY - Cambridge ER - TY - JOUR A1 - Fettke, Jörg A1 - Leifels, Lydia A1 - Brust, Henrike A1 - Herbst, Karoline A1 - Steup, Martin T1 - Two carbon fluxes to reserve starch in potato (Solanum tuberosum L.) tuber cells are closely interconnected but differently modulated by temperature JF - Journal of experimental botany N2 - Parenchyma cells from tubers of Solanum tuberosum L. convert several externally supplied sugars to starch but the rates vary largely. Conversion of glucose 1-phosphate to starch is exceptionally efficient. In this communication, tuber slices were incubated with either of four solutions containing equimolar [U-C-14]glucose 1-phosphate, [U-C-14]sucrose, [U-C-14]glucose 1-phosphate plus unlabelled equimolar sucrose or [U-C-14]sucrose plus unlabelled equimolar glucose 1-phosphate. C-14-incorporation into starch was monitored. In slices from freshly harvested tubers each unlabelled compound strongly enhanced C-14 incorporation into starch indicating closely interacting paths of starch biosynthesis. However, enhancement disappeared when the tubers were stored. The two paths (and, consequently, the mutual enhancement effect) differ in temperature dependence. At lower temperatures, the glucose 1-phosphate-dependent path is functional, reaching maximal activity at approximately 20 degrees C but the flux of the sucrose-dependent route strongly increases above 20 degrees C. Results are confirmed by in vitro experiments using [U-C-14]glucose 1-phosphate or adenosine-[U-C-14]glucose and by quantitative zymograms of starch synthase or phosphorylase activity. In mutants almost completely lacking the plastidial phosphorylase isozyme(s), the glucose 1-phosphate-dependent path is largely impeded. Irrespective of the size of the granules, glucose 1-phosphate-dependent incorporation per granule surface area is essentially equal. Furthermore, within the granules no preference of distinct glucosyl acceptor sites was detectable. Thus, the path is integrated into the entire granule biosynthesis. In vitro C-14-incorporation into starch granules mediated by the recombinant plastidial phosphorylase isozyme clearly differed from the in situ results. Taken together, the data clearly demonstrate that two closely but flexibly interacting general paths of starch biosynthesis are functional in potato tuber cells. KW - glucose 1-phosphate KW - phosphorylase KW - potato tubers KW - starch KW - starch synthase Y1 - 2012 U6 - https://doi.org/10.1093/jxb/ers014 SN - 0022-0957 VL - 63 IS - 8 SP - 3011 EP - 3029 PB - Oxford Univ. Press CY - Oxford ER - TY - JOUR A1 - Klein, Markus A1 - Rosenberger, Elke T1 - Tunneling for a class of difference operators JF - ANNALES HENRI POINCARE N2 - We analyze a general class of difference operators on where is a multi-well potential and is a small parameter. We decouple the wells by introducing certain Dirichlet operators on regions containing only one potential well, and we shall treat the eigenvalue problem for as a small perturbation of these comparison problems. We describe tunneling by a certain interaction matrix, similar to the analysis for the Schrodinger operator [see Helffer and Sjostrand in Commun Partial Differ Equ 9:337-408, 1984], and estimate the remainder, which is exponentially small and roughly quadratic compared with the interaction matrix. Y1 - 2012 U6 - https://doi.org/10.1007/s00023-011-0152-x SN - 1424-0637 VL - 13 IS - 5 SP - 1231 EP - 1269 PB - Springer CY - Basel ER - TY - INPR A1 - Klein, Markus A1 - Rosenberger, Elke T1 - Tunneling for a class of difference operators N2 - We analyze a general class of difference operators containing a multi-well potential and a small parameter. We decouple the wells by introducing certain Dirichlet operators on regions containing only one potential well, and we treat the eigenvalue problem as a small perturbation of these comparison problems. We describe tunneling by a certain interaction matrix similar to the analysis for the Schrödinger operator, and estimate the remainder, which is exponentially small and roughly quadratic compared with the interaction matrix. T3 - Preprints des Instituts für Mathematik der Universität Potsdam - 1 (2012) 5 KW - semi-classical difference operator KW - tunneling KW - interaction matrix Y1 - 2012 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-56989 ER - TY - JOUR A1 - Caliendo, Marco A1 - Fossen, Frank A1 - Kritikos, Alexander T1 - Trust, positive reciprocity, and negative reciprocity Do these traits impact entrepreneurial dynamics? JF - Journal of economic psychology : research in economic psychology and behavioral economics N2 - Experimental evidence reveals that there is a strong willingness to trust and to act in both positively and negatively reciprocal ways. So far it is rarely analyzed whether these variables of social cognition influence everyday decision making behavior. We focus on entrepreneurs who are permanently facing exchange processes in the interplay with investors, sellers, and buyers, as well as needing to trust others and reciprocate with their network. We base our analysis on the German Socio-Economic Panel with its recently introduced questions about trust, positive reciprocity, and negative reciprocity to examine the extent that these variables influence the entrepreneurial decision processes. More specifically, we analyze whether (i) the willingness to trust other people influences the probability of starting a business; (ii) trust, positive reciprocity, and negative reciprocity influence the exit probability of entrepreneurs; and (iii) willingness to trust and to act reciprocally influences the probability of being an entrepreneur versus an employee or a manager. Our findings reveal that, in particular, trust impacts entrepreneurial development. Interestingly, entrepreneurs are more trustful than employees, but much less trustful than managers. KW - Entrepreneurship KW - Trust KW - Reciprocity Y1 - 2012 U6 - https://doi.org/10.1016/j.joep.2011.01.005 SN - 0167-4870 VL - 33 IS - 2 SP - 394 EP - 409 PB - Elsevier CY - Amsterdam ER - TY - JOUR A1 - Fedyunin, Ivan A1 - Lehnhardt, Lothar A1 - Böhmer, Nadine A1 - Kaufmann, Paul A1 - Zhang, Gong A1 - Ignatov, Zoya T1 - tRNA concentration fine tunes protein solubility Y1 - 2012 UR - http://www.sciencedirect.com/science/article/pii/S0014579312005807 ER - TY - JOUR A1 - Fedyunin, Ivan A1 - Lehnhardt, Lothar A1 - Böhmer, Nadine A1 - Kaufmann, Paul A1 - Zhang, Gong A1 - Ignatova, Zoya T1 - tRNA concentration fine tunes protein solubility JF - FEBS letters : the journal for rapid publication of short reports in molecular biosciences N2 - Clusters of codons pairing to low-abundance tRNAs synchronize the translation with co-translational folding of single domains in multidomain proteins. Although proven with some examples, the impact of the ribosomal speed on the folding and solubility on a global, cell-wide level remains elusive. Here we show that upregulation of three low-abundance tRNAs in Escherichia coil increased the aggregation propensity of several cellular proteins as a result of an accelerated elongation rate. Intriguingly, alterations in the concentration of the natural tRNA pool compromised the solubility of various chaperones consequently rendering the solubility of some chaperone-dependent proteins. KW - Protein translation KW - Protein misfolding KW - tRNA KW - E. coli Y1 - 2012 U6 - https://doi.org/10.1016/j.febslet.2012.07.012 SN - 0014-5793 VL - 586 IS - 19 SP - 3336 EP - 3340 PB - Elsevier CY - Amsterdam ER - TY - JOUR A1 - Christ, Nicolas A1 - Immenhauser, Adrian A1 - Amour, Frederic A1 - Mutti, Maria A1 - Preston, Rosalind A1 - Whitaker, Fiona F. A1 - Peterhänsel, Arndt A1 - Egenhoff, Sven O. A1 - Dunn, Paul A. A1 - Agar, Susan M. T1 - Triassic Latemar cycle tops - Subaerial exposure of platform carbonates under tropical arid climate JF - Sedimentary geology : international journal of applied and regional sedimentology N2 - The Triassic Latemar platform in the Dolomites, Italy, is the site of several ongoing controversies. Perhaps the most interesting debate focuses on apparent cyclic deposition within the Latemar platform, whose nature and duration are still open to debate. Further disagreement concerns the lack of meteoric diagenesis-related isotope shifts at cycle tops that bear circumstantial petrographic evidence for subaerial emergence. Here, an evaluation of the nature of Latemar cycle tops is presented combining evidence from previous work and new field, petrographic and geochemical data. Cycle tops are ranked according to increasing exposure duration and spatial extent: type I surfaces lacking unequivocal evidence of prolonged supratidal conditions; type II dolomite caps formed in warm, evaporitic, intertidal lagoonal waters followed by exposure of perhaps intermediate duration; type III clastic-rich, red calcareous horizons with some showing platform-wide extent, representing prolonged supratidal conditions, and type IV discontinuities in tepee belts, genetically related to type II and III surfaces, but likely representing shorter-lived exposure stages. Petrographic and geochemical criteria indicate that most diagenesis occurred in the shallow marine and burial domain whilst an extensive meteoric overprint of cycle tops is lacking. This is underlined by the scarcity of meteoric diagenetic fabrics such as gravitational cements that, where present, are here interpreted as marine-vadose in origin. The scarcity of carbon and oxygen isotope signatures commonly assigned to subaerial exposure stages is best explained in the context of mid-Triassic climate. The low latitude, tropical but arid setting of the Latemar, situated in the western extension of the Tethys ocean, its isolation from nearby continental areas and overall short-term emergence episodes are in agreement with a limited degree of meteoric alteration of most cycle tops. High amounts of aeolian clastic material beneath some cycle tops, along with high Fe and Mn elemental abundances argue for intermittent subaerial conditions. This study proposes an enhancement of the classical Allan and Matthews (1982) isotope model for subaerial exposure under strongly arid climates. As the subaerial exposure nature of Latemar cycle tops, and therefore eustasy as the cause for cyclicity, have been previously challenged due to the lack of meteoric-induced isotopic signatures, the outcome of this study is of significance for the ongoing Latemar stratigraphic controversy. KW - Triassic KW - Latemar KW - Subaerial exposure KW - Carbonate platforms KW - Carbon and oxygen stable isotopes KW - Diagenesis Y1 - 2012 U6 - https://doi.org/10.1016/j.sedgeo.2012.02.008 SN - 0037-0738 VL - 265 IS - 28 SP - 1 EP - 29 PB - Elsevier CY - Amsterdam ER - TY - CHAP A1 - Masson, Michael E. J. A1 - Kliegl, Reinhold T1 - Trial history modulates joint effects of stimulus quality, frequency, and priming in lexical decision T2 - Canadian journal of experimental psychology = Revue canadienne de psychologie expérimentale Y1 - 2012 SN - 1196-1961 VL - 66 IS - 4 SP - 318 EP - 318 PB - Canadian Psychological Assoc. CY - Ottawa ER - TY - JOUR A1 - Rychkov, Dmitry A1 - Altafim, Ruy Alberto Pisani A1 - Qiu, Xunlin A1 - Gerhard, Reimund T1 - Treatment with orthophosphoric acid enhances the thermal stability of the piezoelectricity in low-density polyethylene ferroelectrets JF - Journal of applied physics N2 - Ferroelectrets have been fabricated from low-density polyethylene (LDPE) films by means of a template-based lamination. The temperature dependence of the piezoelectric d(33) coefficient has been investigated. It was found that low-density polyethylene ferroelectrets have rather low thermal stability with the piezoelectric coefficient decaying almost to zero already at 100 degrees C. This behavior is attributed to the poor electret properties of the polyethylene films used for the fabrication of the ferroelectrets. In order to improve the charge trapping and the thermal stability of electret charge and piezoelectricity, LDPE ferroelectrets were treated with orthophosphoric acid. The treatment resulted in considerable improvements of the charge stability in LDPE films and in ferroelectret systems made from them. For example, the charge and piezoelectric-coefficient decay curves shifted to higher temperatures by 60 K and 40 K, respectively. It is shown that the decay of the piezoelectric coefficient in LDPE ferroelectrets is governed by the relaxation of less stable positive charges. The treatment also leads to noticeable changes in the chemical composition of the LDPE surface. Infrared spectroscopy reveals absorption bands attributed to phosphorus-containing structures, while scanning electron microscopy shows new island-like structures, 50-200 nm in diameter, on the modified surface. Y1 - 2012 U6 - https://doi.org/10.1063/1.4729866 SN - 0021-8979 VL - 111 IS - 12 PB - American Institute of Physics CY - Melville ER - TY - JOUR A1 - Caravelli, Francesco A1 - Hamma, Alioscia A1 - Markopoulou, Fotini A1 - Riera, Arnau T1 - Trapped surfaces and emergent curved space in the Bose-Hubbard model JF - Physical review : D, Particles, fields, gravitation, and cosmology N2 - A Bose-Hubbard model on a dynamical lattice was introduced in previous work as a spin system analogue of emergent geometry and gravity. Graphs with regions of high connectivity in the lattice were identified as candidate analogues of spacetime geometries that contain trapped surfaces. We carry out a detailed study of these systems and show explicitly that the highly connected subgraphs trap matter. We do this by solving the model in the limit of no back-reaction of the matter on the lattice, and for states with certain symmetries that are natural for our problem. We find that in this case the problem reduces to a one-dimensional Hubbard model on a lattice with variable vertex degree and multiple edges between the same two vertices. In addition, we obtain a (discrete) differential equation for the evolution of the probability density of particles which is closed in the classical regime. This is a wave equation in which the vertex degree is related to the local speed of propagation of probability. This allows an interpretation of the probability density of particles similar to that in analogue gravity systems: matter inside this analogue system sees a curved spacetime. We verify our analytic results by numerical simulations. Finally, we analyze the dependence of localization on a gradual, rather than abrupt, falloff of the vertex degree on the boundary of the highly connected region and find that matter is localized in and around that region. Y1 - 2012 U6 - https://doi.org/10.1103/PhysRevD.85.044046 SN - 1550-7998 VL - 85 IS - 4 PB - American Physical Society CY - College Park ER - TY - JOUR A1 - Ette, Ottmar T1 - TransTropics: Alexander von Humboldt and Hemispheric Constructions Y1 - 2012 SN - 978-3-938944-63-9 ER - TY - JOUR A1 - Henze, Andrea A1 - Espe, Katharina M. A1 - Wanner, Christoph A1 - Krane, Vera A1 - Raila, Jens A1 - Hocher, Berthold A1 - Schweigert, Florian J. A1 - Drechsler, Christiane T1 - Transthyretin predicts cardiovascular outcome in hemodialysis patients with type 2 diabetes JF - Diabetes care N2 - OBJECTIVE-BMI and albumin are commonly accepted parameters to recognize wasting in dialysis patients and are powerful predictors of morbidity and mortality. However, both parameters reveal limitations and may not cover the entire range of patients with wasting. The visceral protein transthyretin (TTR) may be helpful in overcoming the diagnostic and prognostic gap. Therefore, the aim of this study was to assess the association of TTR with morbidity and mortality in hemodialysis patients. RESEARCH DESIGN AND METHODS-The TTR concentration was determined in plasma samples of 1,177 hemodialysis patients with type 2 diabetes. Cox regression analyses were used to determine hazard ratios (HRs) for the risk of cardiovascular end points (CVEs) and mortality according to quartiles of TTR concentration for the total study cohort and the subgroups BMI >= 23 kg/m(2), albumin concentration >= 3.8 g/dL, and a combination of both. RESULTS-A low TTR concentration was associated with an increased risk for CVE for the total study cohort (HR 1.65 [95% CI 1.27-2.14]), patients with BMI >= 23 kg/m(2) (1.70 [1.22-2.37]), albumin >= 3.8 g/dL (1.68 [1.17-2.42]), and the combination of both (1.69 [1.13-2.53]). Additionally, a low TTR concentration predicted mortality for the total study cohort (1.79 [1.43-2.24]) and patients with BMI >= 23 kg/m(2) (1.46 [1.09-1.95]). CONCLUSIONS-The current study demonstrated that TTR is a useful predictor for cardiovascular outcome and mortality in diabetic hemodialysis patients. TTR was particularly useful in patients who were not identified to be at risk by BMI or albumin status. Y1 - 2012 U6 - https://doi.org/10.2337/dc12-0455 SN - 0149-5992 VL - 35 IS - 11 SP - 2365 EP - 2372 PB - American Diabetes Association CY - Alexandria ER - TY - JOUR A1 - Ribeiro, Dimas M. A1 - Araujo, Wagner L. A1 - Fernie, Alisdair R. A1 - Schippers, Jos H. M. A1 - Müller-Röber, Bernd T1 - Translatome and metabolome effects triggered by gibberellins during rosette growth in Arabidopsis JF - Journal of experimental botany N2 - Although gibberellins (GAs) are well known for their growth control function, little is known about their effects on primary metabolism. Here the modulation of gene expression and metabolic adjustment in response to changes in plant (Arabidopsis thaliana) growth imposed on varying the gibberellin regime were evaluated. Polysomal mRNA populations were profiled following treatment of plants with paclobutrazol (PAC), an inhibitor of GA biosynthesis, and gibberellic acid (GA(3)) to monitor translational regulation of mRNAs globally. Gibberellin levels did not affect levels of carbohydrates in plants treated with PAC and/or GA(3). However, the tricarboxylic acid cycle intermediates malate and fumarate, two alternative carbon storage molecules, accumulated upon PAC treatment. Moreover, an increase in nitrate and in the levels of the amino acids was observed in plants grown under a low GA regime. Only minor changes in amino acid levels were detected in plants treated with GA(3) alone, or PAC plus GA(3). Comparison of the molecular changes at the transcript and metabolite levels demonstrated that a low GA level mainly affects growth by uncoupling growth from carbon availability. These observations, together with the translatome changes, reveal an interaction between energy metabolism and GA-mediated control of growth to coordinate cell wall extension, secondary metabolism, and lipid metabolism. KW - Gibberellin KW - growth KW - paclobutrazol KW - primary metabolism KW - translatome Y1 - 2012 U6 - https://doi.org/10.1093/jxb/err463 SN - 0022-0957 VL - 63 IS - 7 SP - 2769 EP - 2786 PB - Oxford Univ. Press CY - Oxford ER - TY - JOUR A1 - Fan, Xuanmei A1 - van Westen, Cees J. A1 - Korup, Oliver A1 - Gorum, Tolga A1 - Xu, Qiang A1 - Dai, Fuchu A1 - Huang, Runqiu A1 - Wang, Gonghui T1 - Transient water and sediment storage of the decaying landslide dams induced by the 2008 Wenchuan earthquake, China JF - Geomorphology : an international journal on pure and applied geomorphology N2 - Earthquake-triggered landslide dams are potentially dangerous disrupters of water and sediment flux in mountain rivers, and capable of releasing catastrophic outburst flows to downstream areas. We analyze an inventory of 828 landslide dams in the Longmen Shan mountains, China, triggered by the M-w 7.9 2008 Wenchuan earthquake. This database is unique in that it is the largest of its kind attributable to a single regional-scale triggering event: 501 of the spatially clustered landslides fully blocked rivers, while the remainder only partially obstructed or diverted channels in steep watersheds of the hanging wall of the Yingxiu-Beichuan Fault Zone. The size distributions of the earthquake-triggered landslides, landslide dams, and associated lakes (a) can be modeled by an inverse gamma distribution; (b) show that moderate-size slope failures caused the majority of blockages; and (c) allow a detailed assessment of seismically induced river-blockage effects on regional water and sediment storage. Monte Carlo simulations based on volumetric scaling relationships for soil and bedrock failures respectively indicate that 14% (18%) of the estimated total coseismic landslide volume of 6.4 (14.6) x 10(9) m(3) was contained in landslide dams, representing only 1.4% of the >60,000 slope failures attributed to the earthquake. These dams have created storage capacity of similar to 0.6x 10(9) m(3) for incoming water and sediment. About 25% of the dams containing 2% of the total river-blocking debris volume failed one week after the earthquake; these figures had risen to 60% (similar to 20%), and >90% (>90%) within one month, and one:year, respectively, thus also emptying similar to 92% of the total potential water and sediment storage behind these, dams within one year following the earthquake. Currently only similar to 0.08 x 10(9) m(3) remain available as natural reservoirs for storing water and sediment, while similar to 0.19 x 10(9) m(3), i.e. about a third of the total river-blocking debris volume, has been eroded by rivers. Dam volume and upstream catchment area control to first order the longevity of the barriers, and bivariate domain plots are consistent with the observation that most earthquake-triggered landslide dams were ephemeral. We conclude that the river-blocking portion of coseismic slope failures disproportionately modulates the post-seismic sediment flux in the Longmen Shan on annual to decadal timescales. KW - Landslide dam KW - Earthquake KW - Magnitude and frequency KW - Sediment budget Y1 - 2012 U6 - https://doi.org/10.1016/j.geomorph.2012.05.003 SN - 0169-555X VL - 171 SP - 58 EP - 68 PB - Elsevier CY - Amsterdam ER - TY - JOUR A1 - Schmidt, Romy A1 - Schippers, Jos H. M. A1 - Welker, Annelie A1 - Mieulet, Delphine A1 - Guiderdoni, Emmanuel A1 - Müller-Röber, Bernd T1 - Transcription factor OsHsfC1b regulates salt tolerance and development in Oryza sativa ssp japonica JF - AoB PLANTS N2 - Background and aims Salt stress leads to attenuated growth and productivity in rice. Transcription factors like heat shock factors (HSFs) represent central regulators of stress adaptation. Heat shock factors of the classes A and B are well established as regulators of thermal and non-thermal stress responses in plants; however, the role of class C HSFs is unknown. Here we characterized the function of the OsHsfC1b (Os01g53220) transcription factor from rice. Methodology We analysed the expression of OsHsfC1b in the rice japonica cultivars Dongjin and Nipponbare exposed to salt stress as well as after mannitol, abscisic acid (ABA) and H2O2 treatment. For functional characterization of OsHsfC1b, we analysed the physiological response of a T-DNA insertion line (hsfc1b) and two artificial micro-RNA (amiRNA) knock-down lines to salt, mannitol and ABA treatment. In addition, we quantified the expression of small Heat Shock Protein (sHSP) genes and those related to signalling and ion homeostasis by quantitative real-time polymerase chain reaction in roots exposed to salt. The subcellular localization of OsHsfC1b protein fused to green fluorescent protein (GFP) was determined in Arabidopsis mesophyll cell protoplasts. Principal results Expression of OsHsfC1b was induced by salt, mannitol and ABA, but not by H2O2. Impaired function of OsHsfC1b in the hsfc1b mutant and the amiRNA lines led to decreased salt and osmotic stress tolerance, increased sensitivity to ABA, and temporal misregulation of salt-responsive genes involved in signalling and ion homeostasis. Furthermore, sHSP genes showed enhanced expression in knock-down plants under salt stress. We observed retarded growth of hsfc1b and knock-down lines in comparison with control plants under non-stress conditions. Transient expression of OsHsfC1b fused to GFP in protoplasts revealed nuclear localization of the transcription factor. Conclusions OsHsfC1b plays a role in ABA-mediated salt stress tolerance in rice. Furthermore, OsHsfC1b is involved in the response to osmotic stress and is required for plant growth under non-stress conditions. Y1 - 2012 U6 - https://doi.org/10.1093/aobpla/pls011 SN - 2041-2851 IS - 3 PB - Oxford Univ. Press CY - Oxford ER - TY - JOUR A1 - Dimigen, Olaf A1 - Kliegl, Reinhold A1 - Sommer, Werner T1 - Trans-saccadic parafoveal preview benefits in fluent reading: A study with fixation-related brain potentials JF - NeuroImage : a journal of brain function N2 - During natural reading, a parafoveal preview of the upcoming word facilitates its subsequent recognition (e.g., shorter fixation durations compared to masked preview) but nothing is known about the neural correlates of this so-called preview benefit. Furthermore, while the evidence is strong that readers preprocess orthographic features of upcoming words, it is controversial whether word meaning can also be accessed parafoveally. We investigated the timing, scope, and electrophysiological correlates of parafoveal information use in reading by simultaneously recording eye movements and fixation-related brain potentials (FRPs) while participants read word lists fluently from left to right. For one word the target (e.g., "blade") parafoveal information was manipulated by showing an identical ("blade"), semantically related ("knife"), or unrelated ("sugar") word as preview. In boundary trials, the preview was shown parafoveally but changed to the correct target word during the incoming saccade. Replicating classic findings, target words were fixated shorter after identical previews. In the EEG, this benefit was reflected in an occipitotemporal preview positivity between 200 and 280 ms. In contrast, there was no facilitation from related previews. In parafoveal-on-foveal trials, preview and target were embedded at neighboring list positions without a display change. Consecutive fixation of two related words produced N400 priming effects, but only shortly (160 ms) after the second word was directly fixated. Results demonstrate that neural responses to words are substantially altered by parafoveal preprocessing under normal reading conditions. We found no evidence that word meaning contributes to these effects. Saccade-contingent display manipulations can be combined with EEG recordings to study extrafoveal perception in vision. KW - EEG KW - Eye tracking KW - Active vision KW - Eye-fixation-related potentials (EFRP) KW - Parafoveal vision KW - Boundary technique Y1 - 2012 U6 - https://doi.org/10.1016/j.neuroimage.2012.04.006 SN - 1053-8119 SN - 1095-9572 VL - 62 IS - 1 SP - 381 EP - 393 PB - Elsevier CY - San Diego ER - TY - JOUR A1 - Wells, Konstans A1 - O'Hara, R. B. A1 - Boehm, S. M. A1 - Gockel, Sonja A1 - Hemp, Andreas A1 - Renner, S. C. A1 - Pfeiffer, S. A1 - Boehning-Gaese, Katrin A1 - Kalko, Elisabeth K. V. T1 - Trait-dependent occupancy dynamics of birds in temperate forest landscapes fine-scale observations in a hierarchical multi-species framework JF - Animal conservation N2 - Silvicultural practices lead to changes in forest composition and structure and may impact species diversity from the overall regional species pool to stand-level species occurrence. We explored to what extent fine-scale occupancy patterns in differently managed forest stands are driven by environment and ecological traits in three regions in Germany using a multi-species hierarchical model. We tested for the possible impact of environmental variables and ecological traits on occupancy dynamics in a joint modelling exercise while taking possible variation in coefficient estimates over years and plots into account. Bird species richness differed across regions and years, and trends in species richness across years were different in the three regions. On the species level, forest management affected occupancy of species in all regions, but only 35% of the total assemblage-level variation in occurrence probability was explained by either forest type and successional stage and 50% upper crustal shortening, suggesting substantial crustal thickening and surface elevation gain. Thermal modeling of combined thermochronometers requires exhumation of most samples to depths of <3 km between 85 and 45 Ma, followed by a decrease in erosional exhumation rate to low values of <0.05 mm/yr. The thermochronological results, when interpreted in the context of the deformation and paleoaltimetric history, are best explained by a scenario of plateau growth that began locally in central Tibet during the Late Cretaceous and expanded to encompass most of central Tibet by 45 Ma. Y1 - 2012 U6 - https://doi.org/10.1130/G32530.1 SN - 0091-7613 VL - 40 IS - 2 SP - 187 EP - 190 PB - American Institute of Physics CY - Boulder ER - TY - JOUR A1 - Riera, Arnau A1 - Gogolin, Christian A1 - Eisert, Jens T1 - Thermalization in nature and on a quantum computer JF - Physical review letters N2 - In this work, we show how Gibbs or thermal states appear dynamically in closed quantum many-body systems, building on the program of dynamical typicality. We introduce a novel perturbation theorem for physically relevant weak system-bath couplings that is applicable even in the thermodynamic limit. We identify conditions under which thermalization happens and discuss the underlying physics. Based on these results, we also present a fully general quantum algorithm for preparing Gibbs states on a quantum computer with a certified runtime and error bound. This complements quantum Metropolis algorithms, which are expected to be efficient but have no known runtime estimates and only work for local Hamiltonians. Y1 - 2012 U6 - https://doi.org/10.1103/PhysRevLett.108.080402 SN - 0031-9007 VL - 108 IS - 8 PB - American Physical Society CY - College Park ER - TY - THES A1 - Deneke, Carlus T1 - Theory of mRNA degradation T1 - Theoretische Beschreibung des Abbaus von mRNA N2 - One of the central themes of biology is to understand how individual cells achieve a high fidelity in gene expression. Each cell needs to ensure accurate protein levels for its proper functioning and its capability to proliferate. Therefore, complex regulatory mechanisms have evolved in order to render the expression of each gene dependent on the expression level of (all) other genes. Regulation can occur at different stages within the framework of the central dogma of molecular biology. One very effective and relatively direct mechanism concerns the regulation of the stability of mRNAs. All organisms have evolved diverse and powerful mechanisms to achieve this. In order to better comprehend the regulation in living cells, biochemists have studied specific degradation mechanisms in detail. In addition to that, modern high-throughput techniques allow to obtain quantitative data on a global scale by parallel analysis of the decay patterns of many different mRNAs from different genes. In previous studies, the interpretation of these mRNA decay experiments relied on a simple theoretical description based on an exponential decay. However, this does not account for the complexity of the responsible mechanisms and, as a consequence, the exponential decay is often not in agreement with the experimental decay patterns. We have developed an improved and more general theory of mRNA degradation which provides a general framework of mRNA expression and allows describing specific degradation mechanisms. We have made an attempt to provide detailed models for the regulation in different organisms. In the yeast S. cerevisiae, different degradation pathways are known to compete and furthermore most of them rely on the biochemical modification of mRNA molecules. In bacteria such as E. coli, degradation proceeds primarily endonucleolytically, i.e. it is governed by the initial cleavage within the coding region. In addition, it is often coupled to the level of maturity and the size of the polysome of an mRNA. Both for S. cerevisiae and E. coli, our descriptions lead to a considerable improvement of the interpretation of experimental data. The general outcome is that the degradation of mRNA must be described by an age-dependent degradation rate, which can be interpreted as a consequence of molecular aging of mRNAs. Within our theory, we find adequate ways to address this much debated topic from a theoretical perspective. The improvements of the understanding of mRNA degradation can be readily applied to further comprehend the mRNA expression under different internal or environmental conditions such as after the induction of transcription or stress application. Also, the role of mRNA decay can be assessed in the context of translation and protein synthesis. The ultimate goal in understanding gene regulation mediated by mRNA stability will be to identify the relevance and biological function of different mechanisms. Once more quantitative data will become available, our description allows to elaborate the role of each mechanism by devising a suitable model. N2 - Ein zentrales Ziel der modernen Biologie ist es, ein umfassendes Verständnis der Genexpression zu erlangen. Die fundamentalen Prozesse sind im zentralen Dogma der Genexpression zusammengefasst: Die genetische Information wird von DNA in Boten-RNAs (mRNA) transkribiert und im Prozess der Translation von mRNA in Proteine übersetzt. Zum Erhalt ihrer Funktionalität und der Möglichkeit von Wachstum und Fortpflanzung muss in jeder Zelle und für jedes Gen die optimale Proteinkonzentration akkurat eingestellt werden. Hierzu hat jeder Organismus detaillierte Regulationsmechanismen entwickelt. Regulation kann auf allen Stufen der Genexpression erfolgen, insbesondere liefert der Abbau der mRNA-Moleküle einen effizienten und direkten Kontrollmechanismus. Daher sind in allen Lebewesen spezifische Mechanismen - die Degradationsmechanismen - entstanden, welche aktiv den Abbau befördern. Um ein besseres Verständnis von den zugrunde liegenden Prozessen zu erlangen, untersuchen Biochemiker die Degradationsmechanismen im Detail. Gleichzeitig erlauben moderne molekularbiologische Verfahren die simultane Bestimmung der Zerfallskurven von mRNA für alle untersuchten Gene einer Zelle. Aus theoretischer Perspektive wird der Zerfall der mRNA-Menge als exponentieller Zerfall mit konstanter Rate betrachtet. Diese Betrachtung dient der Interpretation der zugrunde liegenden Experimente, berücksichtigt aber nicht die fundierten Kenntnisse über die molekularen Mechanismen der Degradation. Zudem zeigen viele experimentelle Studien ein deutliches Abweichen von einem exponentiellen Zerfall. In der vorliegenden Doktorarbeit wird daher eine erweiterte theoretische Beschreibung für die Expression von mRNA-Molekülen eingeführt. Insbesondere lag der Schwerpunkt auf einer verbesserten Beschreibung des Prozesses der Degradation. Die Genexpression kann als ein stochastischer Prozess aufgefasst werden, in dem alle Einzelprozesse auf zufällig ablaufenden chemischen Reaktionen basieren. Die Beschreibung erfolgt daher im Rahmen von Methoden der stochastischen Modellierung. Die fundamentale Annahme besteht darin, dass jedes mRNA-Molekül eine zufällige Lebenszeit hat und diese Lebenszeit für jedes Gen durch eine statistische Lebenszeitverteilung gegeben ist. Ziel ist es nun, spezifische Lebenszeitverteilungen basierend auf den molekularen Degradationsmechanismen zu finden. In dieser Arbeit wurden theoretische Modelle für die Degradation in zwei verschiedenen Organismen entwickelt. Zum einen ist bekannt, dass in eukaryotischen Zellen wie dem Hefepilz S. cerevisiae mehrere Mechanismen zum Abbau der mRNA-Moleküle in Konkurrenz zueinander stehen. Zudem ist der Abbau durch mehrere geschwindigkeitsbestimmende biochemische Schritte charakterisiert. In der vorliegenden Arbeit wurden diese Feststellungen durch ein theoretisches Modell beschrieben. Eine Markow-Kette stellte sich als sehr erfolgreich heraus, um diese Komplexität in eine mathematisch-fassbare Form abzubilden. Zum anderen wird in Kolibakterien die Degradation überwiegend durch einen initialen Schnitt in der kodierenden Sequenz der mRNA eingeleitet. Des Weiteren gibt es komplexe Wechselwirkungen mit dem Prozess der Translation. Die dafür verantwortlichen Enzyme - die Ribosomen - schützen Teile der mRNA und vermindern dadurch deren Zerfall. In der vorliegenden Arbeit wurden diese Zusammenhänge im Rahmen eines weiteren spezifischen, theoretischen Modells untersucht. Beide Mechanismen konnten an experimentellen Daten verifiziert werden. Unter anderem konnten dadurch die Interpretation der Zerfallsexperimente deutlich verbessert und fundamentale Eigenschaften der mRNA-Moleküle bestimmt werden. Ein Vorteil der statistischen Herangehensweise in dieser Arbeit liegt darin, dass theoretische Konzepte für das molekulare Altern der mRNAs entwickelt werden konnten. Mit Hilfe dieser neuentwickelten Methode konnte gezeigt werden, dass sich die Komplexität der Abbaumechanismen in einem Alterungsprozess manifestiert. Dieser kann mit der Lebenserwartung von einzelnen mRNA-Molekülen beschrieben werden. In dieser Doktorarbeit wurde eine verallgemeinerte theoretische Beschreibung des Abbaus von mRNAMolek ülen entwickelt. Die zentrale Idee basiert auf der Verknüpfung von experimentellen Zerfallsmessungen mit den biochemischen Mechanismen der Degradation. In zukünftigen experimentellen Untersuchungen können die entwickelten Verfahren angewandt werden, um eine genauere Interpretation der Befunde zu ermöglichen. Insbesondere zeigt die Arbeit auf, wie verschiedene Hypothesen über den Degradationsmechanismus anhand eines geeigneten mathematischen Modells durch quantitative Experimente verifiziert oder falsifiziert werden können. KW - Abbau von Boten-RNS KW - Stochastische Genexpression KW - Posttranskriptionale Genregulation KW - Nichtexponentieller Zerfall von mRNA KW - Molekulares Altern KW - Degradation of messenger RNA KW - Stochastic gene expression KW - Post-transcriptional gene regulation KW - Non-exponential mRNA decay KW - Molecular Aging Y1 - 2012 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-61998 ER - TY - JOUR A1 - Schad, Daniel A1 - Engbert, Ralf T1 - The zoom lens of attention simulating shuffled versus normal text reading using the SWIFT model JF - Visual cognition N2 - Assumptions on the allocation of attention during reading are crucial for theoretical models of eye guidance. The zoom lens model of attention postulates that attentional deployment can vary from a sharp focus to a broad window. The model is closely related to the foveal load hypothesis, i.e., the assumption that the perceptual span is modulated by the difficulty of the fixated word. However, these important theoretical concepts for cognitive research have not been tested quantitatively in eye movement models. Here we show that the zoom lens model, implemented in the SWIFT model of saccade generation, captures many important patterns of eye movements. We compared the model's performance to experimental data from normal and shuffled text reading. Our results demonstrate that the zoom lens of attention might be an important concept for eye movement control in reading. KW - Computational modelling KW - Eye movements KW - Foveal load hypothesis KW - Perceptual span KW - Reading KW - Zoom lens model of attention Y1 - 2012 U6 - https://doi.org/10.1080/13506285.2012.670143 SN - 1350-6285 SN - 1464-0716 VL - 20 IS - 4-5 SP - 391 EP - 421 PB - Wiley CY - Hove ER - TY - JOUR A1 - Jackson, Gregory A1 - Sorge, Arndt T1 - The trajectory of institutional change in Germany, 1979-2009 JF - Journal of European public policy N2 - Over the last three decades, the German political economy can be characterized by both institutional continuity and change. Understanding the dynamics of institutional change therefore requires an examination of the interplay of changes in formal institutional rules and how organizations respond to these changes by strategic attempts to promote or hinder further change in institutions. The macro-level political story of institutional change shows a number of paradoxes resulting in unexpected and often incomplete forms of market liberalization shaped by continued support for some core features of Germany's social market economy. The resulting erosion of Germany's co-ordinated model of economic organization through networks and business associations has gone hand-in-hand with the attempts to preserve these institutions for core workers and sectors of the economy in the face of changing environments. The result is a more varied institutional landscape characterized by international diffusion of liberal policies and the politics of their variable re-embedding within a long-term path of institutional continuity. KW - Germany KW - institutional change KW - varieties of capitalism Y1 - 2012 U6 - https://doi.org/10.1080/13501763.2012.709009 SN - 1350-1763 SN - 1466-4429 VL - 19 IS - 8 SP - 1146 EP - 1167 PB - Routledge, Taylor & Francis Group CY - Abingdon ER - TY - GEN A1 - Felser, Claudia A1 - Cunnings, Ian A1 - Batterham, Claire A1 - Clahsen, Harald T1 - The timing of island effects in nonnative sentence processing T2 - Postprints der Universität Potsdam Humanwissenschaftliche Reihe N2 - Using the eye-movement monitoring technique in two reading comprehension experiments, this study investigated the timing of constraints on wh-dependencies (so-called island constraints) in first- and second-language (L1 and L2) sentence processing. The results show that both L1 and L2 speakers of English are sensitive to extraction islands during processing, suggesting that memory storage limitations affect L1 and L2 comprehenders in essentially the same way. Furthermore, these results show that the timing of island effects in L1 compared to L2 sentence comprehension is affected differently by the type of cue (semantic fit versus filled gaps) signaling whether dependency formation is possible at a potential gap site. Even though L1 English speakers showed immediate sensitivity to filled gaps but not to lack of semantic fit, proficient German-speaking learners of English as a L2 showed the opposite sensitivity pattern. This indicates that initial wh-dependency formation in L2 processing is based on semantic feature matching rather than being structurally mediated as in L1 comprehension. T3 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe - 526 KW - trace positions KW - empty categories KW - garden-paths KW - 2nd-language KW - grammar KW - dependencies KW - plausibility KW - constraints KW - english KW - comprehension Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-415179 SN - 1866-8364 EP - 526 ER - TY - JOUR A1 - Felser, Claudia A1 - Cunnings, Ian A1 - Batterham, Claire A1 - Clahsen, Harald T1 - The timing of Island effects in nonnative sentence processing JF - Studies in second language acquisition N2 - Using the eye-movement monitoring technique in two reading comprehension experiments, this study investigated the timing of constraints on wh-dependencies (so-called island constraints) in first- and second-language (L1 and L2) sentence processing. The results show that both L1 and L2 speakers of English are sensitive to extraction islands during processing, suggesting that memory storage limitations affect L1 and L2 comprehenders in essentially the same way. Furthermore, these results show that the timing of island effects in L1 compared to L2 sentence comprehension is affected differently by the type of cue (semantic fit versus filled gaps) signaling whether dependency formation is possible at a potential gap site. Even though L1 English speakers showed immediate sensitivity to filled gaps but not to lack of semantic fit, proficient German-speaking learners of English as a L2 showed the opposite sensitivity pattern. This indicates that initial wh-dependency formation in L2 processing is based on semantic feature matching rather than being structurally mediated as in L1 comprehension. KW - trace positions KW - empty categories KW - garden-paths KW - 2nd-language KW - grammar KW - dependencies KW - plausibility KW - constraints KW - english KW - comprehension Y1 - 2012 U6 - https://doi.org/10.1017/S0272263111000507 SN - 0272-2631 VL - 34 IS - 1 SP - 67 EP - 98 PB - Cambridge University Press CY - Cambridge ER - TY - BOOK A1 - Krivochen, Diego Gabriel T1 - The Syntax and Semantics of the Nominal Construction BT - A Radically Minimalist Perspective T3 - Potsdam Linguistic Investigations Y1 - 2012 SN - 978-3-631-62448-7 VL - 8 PB - Peter Lang CY - Frankfurt am Main ER - TY - BOOK A1 - Zimmermann, Andreas A1 - Oellers-Frahm, Karin A1 - Tomuschat, Christian A1 - Tams, Christian J. T1 - The statute of the international court of justice : a commentary Y1 - 2012 SN - 978-0-19-969299-6 PB - Oxford Univ. Press CY - Oxford ET - 2. ed. ER - TY - JOUR A1 - Griffiths, Toni T1 - The state of jewish memory in York and Winchester JF - PaRDeS : Zeitschrift der Vereinigung für Jüdische Studien e.V. N2 - Am Beispiel der englischen Städte York und Winchester wird in diesem Artikel das Konzept der Erinnerung von Pierre Nora untersucht, um die Individualität lokaler Ansätze der Erinnerung an mittelalterliche englische Judenheiten zu veranschaulichen. Allgemein wird in diesem Beitrag aufgezeigt, wie Erinnerung einerseits aus einem Zeitalter anhaltenden Schweigens befreien und andererseits wieder in ein größeres historisches Narrativ integriert werden kann. Vice versa wird ebenfalls untersucht, wie das die jüdische Erinnerung umschließende Schweigen dennoch seine Fortsetzung im scharfen Gegensatz zu diesem neuen Verständnis von Erinnerung findet. Abschließend wird im Artikel die Frage gestellt, warum dieses Schweigen anhält und ob Noras Theorie, dass sich Erinnerung kontinuierlich entwickelt, auf die Erfahrungen jüdischer Erinnerung in York und Winchester angewendet werden kann. N2 - This article examines Pierre Nora’s concept of memory using the examples of York and Winchester to demonstrate the individuality of local approaches to the memory of medieval Anglo-Jewries. Overall, this paper will highlight how memory can be rescued from a period of prolonged silence and reintegrated back into a wider historical narrative. Conversely it will also examine how in stark contrast to this new attitude of remembering the silence surrounding Jewish memory continues to exist elsewhere. Finally this paper will ask why this silence remains, and question whether Nora’s theory that memory is constantly evolving is applicable to the experiences of Jewish memory in York and Winchester. Y1 - 2012 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-61523 SN - 1614-6492 SN - 1862-7684 IS - 18 SP - 67 EP - 78 PB - Universitätsverlag Potsdam CY - Potsdam ER - TY - GEN A1 - Oskinova, Lida A1 - Guerrero, Martín A. A1 - Hénault-Brunet, Vincent A1 - Sun, W. A1 - Chu, You-Hua A1 - Evans, Chris A1 - Gallagher, John S. A1 - Gruendl, Robert A. A1 - Reyes-Iturbide, Jorge T1 - The slow X-ray pulsar SXP 1062 and associated supernova remnant in the Wing of the Small Magellanic Cloud T2 - Postprints der Universität Potsdam Mathematisch-Naturwissenschaftliche Reihe N2 - SXP 1062 is an exceptional case of a young neutron star in a wind-fed high-mass X-ray binary associated with a supernova remnant. A unique combination of measured spin period, its derivative, luminosity and young age makes this source a key probe for the physics of accretion and neutron star evolution. Theoretical models proposed to explain the properties of SXP 1062 shall be tested with new data. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 591 KW - stars: emission-line KW - Be KW - X-rays: binaries KW - pulsars: individual (SXP 1062) Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-415135 SN - 1866-8372 IS - 591 ER - TY - JOUR A1 - Paschke, Marco A1 - Stiller, Manfred A1 - Ryberg, Trond A1 - Weber, Michael H. T1 - The shallow P-velocity structure of the southern Dead Sea basin derived from near-vertical incidence reflection seismic data in project DESIRE JF - Geophysical journal international N2 - As a part of the DEad Sea Integrated REsearch (DESIRE) project a near-vertical incidence reflection (NVR) experiment with a profile length of 122 km was completed in spring 2006. The profile crossed the southern Dead Sea basin (DSB), a pull-apart basin due to the strike-slip motion along the Dead Sea Transform (DST). The DST with a total displacement of 107 km since about 18 Ma is part of a left-lateral fault system which connects the spreading centre in the Red Sea with the Taurus collision zone in Turkey over a distance of about 1100 km. The seismic experiment comprises 972 source locations and 1045 receiver locations. Each source was recorded by similar to 180 active receivers and a field data set with 175 000 traces was created. From this data set, 124 444 P-wave first-break traveltimes have been picked. With these traveltimes a tomographic inversion was carried out, resulting in a 2-D P-wave velocity model with a rms error of 20.9 ms. This model is dominated by a low-velocity region associated with the DSB. Within the DSB, the model shows clearly the position of the Lisan salt diapir, identified by a high-velocity zone. A further feature is an unexpected laterally low-velocity zone with P-velocities of 3 km s1 embedded in regions with 4 km s1 in the shallow part on the west side of the DSB. Another observation is an anticlinal structure west of the DSB interpretated to the related Syrian arc fold belt. KW - Tomography KW - Controlled source seismology KW - Transform faults Y1 - 2012 U6 - https://doi.org/10.1111/j.1365-246X.2011.05270.x SN - 0956-540X VL - 188 IS - 2 SP - 524 EP - 534 PB - Wiley-Blackwell CY - Malden ER - TY - JOUR A1 - Lopez-Tarazon, Jose Andres A1 - Batalla Villanueva, Ramon J. A1 - Vericat, Damia A1 - Francke, Till T1 - The sediment budget of a highly dynamic mesoscale catchment the River Isabena JF - Geomorphology : an international journal on pure and applied geomorphology N2 - The paper presents the sediment budget of the Isabena basin, a highly dynamic 445-km(2) catchment located in the Central Pyrenees that is patched by highly erodible areas (i.e., badlands). The budget for the period 2007-2009 is constructed following a methodology that allows the interpolation of intermittent measurements of suspended sediment concentrations and enables a subsequent calculation of sediment loads. Data allow specification of the contribution of each subbasin to the water and sediment yield in the catchment outlet. Mean annual sediment load was 235,000 t y(-1). Specific sediment yield reached 2000 t km(-2) y(-1), a value that indicates very high sedimentary activity, especially in the case of Villacarli and Lascuarre subcatchments, were most badlands are located. The specific sediment yield obtained for the entire Isabena is 527 t km(-2) y(-1), a high value for such a mesoscale basin. Results show that a small part of the area (i.e., 1%) controls most of the catchment's gross sediment contribution. Sediment delivery ratio (ratio between sediment input from primary sources and basin export) has been estimated at around 90%, while in-channel storage represents the 5% of the annual load on average. The high connectivity between sediment sources (i.e., badlands) and transfer paths (i.e., streamcourses) exacerbates the influence of the local sediment production on the catchment's sediment yield, a quite unusual fact for a basin of this scale. KW - Sediment budget KW - Sediment transport KW - Random forests KW - Quantile regression forests KW - River Isabena KW - Ebro basin Y1 - 2012 U6 - https://doi.org/10.1016/j.geomorph.2011.08.020 SN - 0169-555X VL - 138 IS - 1 SP - 15 EP - 28 PB - Elsevier CY - Amsterdam ER - TY - JOUR A1 - Stede, Manfred A1 - Peldszus, Andreas T1 - The role of illocutionary status in the usage conditions of causal connectives and in coherence relations JF - Journal of pragmatics : an interdisciplinary journal of language studies N2 - The meaning of linguistic connectives has often been characterized in terms of their position in a bipartite (semantic, pragmatic) or a tripartite (content, epistemic, speech act) structure of domains, depending on what kinds of entities are being connected (largely: propositions or speech acts). This paper argues that a more fine-grained analysis can be achieved by directing some more attention to the characterization of the entities being related. We propose an inventory of categories of illocutionary status for labelling the spans that are being connected. On this basis, the distinction between the content and the epistemic domain, in particular, can be made more explicit. Focusing on the group of causal connectives in German, we conducted a corpus annotation study from which we derived distinct pragmatic 'usage profiles' of the most frequent causal connectives. Finally, we offer some suggestions on the role of illocutions in relation-based accounts of discourse structure. KW - Connective KW - Coherence relation KW - Speech act KW - Illocutionary force Y1 - 2012 U6 - https://doi.org/10.1016/j.pragma.2012.01.004 SN - 0378-2166 VL - 44 IS - 2 SP - 214 EP - 229 PB - Elsevier CY - Amsterdam ER - TY - JOUR A1 - Koss, Michael T1 - The role of governments in legislative agenda setting JF - West European politics Y1 - 2012 U6 - https://doi.org/10.1080/01402382.2011.648482 SN - 0140-2382 VL - 35 IS - 2 SP - 436 EP - 437 PB - Routledge, Taylor & Francis Group CY - Abingdon ER - TY - JOUR A1 - Metzler, Ralf A1 - Jeon, Jae-Hyung T1 - The role of ergodicity in anomalous stochastic processes - analysis of single-particle trajectories JF - Physica scripta : an international journal for experimental and theoretical physics N2 - Single-particle experiments produce time series x(t) of individual particle trajectories, frequently revealing anomalous diffusion behaviour. Typically, individual x(t) are evaluated in terms of time-averaged quantities instead of ensemble averages. Here we discuss the behaviour of the time-averaged mean squared displacement of different stochastic processes giving rise to anomalous diffusion. In particular, we pay attention to the ergodic properties of these processes, i.e. the (non)equivalence of time and ensemble averages. Y1 - 2012 U6 - https://doi.org/10.1088/0031-8949/86/05/058510 SN - 0031-8949 VL - 86 IS - 5 PB - IOP Publ. Ltd. CY - Bristol ER - TY - THES A1 - Langerwisch, Fanny T1 - The Role of climate and land use change on the riverine carbon fluxes in Amazonia Y1 - 2012 CY - Potsdam ER - TY - JOUR A1 - Romero-Sanchez, Monica A1 - Megias, Jesus L. A1 - Krahé, Barbara T1 - The role of alcohol and victim sexual interest in spanish students' perceptions of sexual assault JF - Journal of interpersonal violence : concerned with the study and treatment of victims and perpetrators of physical and sexual violence N2 - Two studies investigated the effects of information related to rape myths on Spanish college students' perceptions of sexual assault. In Study 1, 92 participants read a vignette about a nonconsensual sexual encounter and rated whether it was a sexual assault and how much the woman was to blame. In the scenario, the man either used physical force or offered alcohol to the woman to overcome her resistance. Rape myth acceptance (RMA) was measured as an individual difference variable. Participants were more convinced that the incident was a sexual assault and blamed the woman less when the man had used force rather than offering her alcohol. In Study 2, 164 college students read a scenario in which the woman rejected a man's sexual advances after having either accepted or turned down his offer of alcohol. In addition, the woman was either portrayed as being sexually attracted to him or there was no mention of her sexual interest. Participants' RMA was again included. High RMA participants blamed the victim more than low RMA participants and were less certain that the incident was a sexual assault, especially when the victim had accepted alcohol and was described as being sexually attracted to the man. The findings are discussed in terms of their implications for the prevention and legal prosecution of sexual assault. KW - sexual assault KW - rape myth acceptance KW - alcohol KW - victim blame KW - token resistance Y1 - 2012 U6 - https://doi.org/10.1177/0886260511432149 SN - 0886-2605 VL - 27 IS - 11 SP - 2230 EP - 2258 PB - Sage Publ. CY - Thousand Oaks ER - TY - JOUR A1 - Baibolatov, Yernur A1 - Spahn, Frank T1 - The role of adhesion for ensembles of mesoscopic particles JF - Granular matter N2 - We present a toy-model for an ensemble of adhering mesoscopic constituents in order to estimate the effect of the granular temperature on the sizes of embedded aggregates. The major goal is to illustrate the relation between the mean aggregate size and the granular temperature in dense planetary rings. For sake of simplicity we describe the collective behavior of the ensemble by means of equilibrium statistical mechanics, motivated by the stationary temperature established by the balance between a Kepler-shear driven viscous heating and inelastic cooling in these cosmic granular disks. The ensemble consists of N' equal constituents which can form cluster(s) or move like a gas-or both phases may coexist-depending on the (granular) temperature of the system. We assume the binding energy levels of a cluster E-c = -N-c gamma a to be determined by a certain contact number N-c, given by the configuration of N constituents of the aggregate (energy per contact: -gamma a). By applying canonical and grand-canonical ensembles, we show that the granular temperature T of a gas of constituents (their mean kinetic energy) controls the size distribution of the aggregates. They are the smaller the higher the granular temperature T is. A mere gas of single constituents is sustained for T >> gamma a. In the case of large clusters (low temperatures T << gamma a) the size distribution becomes a Poissonian. KW - Adhesion KW - Statistical mechanics KW - Planetary rings Y1 - 2012 U6 - https://doi.org/10.1007/s10035-012-0325-4 SN - 1434-5021 VL - 14 IS - 2 SP - 197 EP - 202 PB - Springer CY - New York ER - TY - JOUR A1 - De Frenne, Pieter A1 - Graae, Bente J. A1 - Brunet, Jörg A1 - Shevtsova, Anna A1 - De Schrijver, An A1 - Chabrerie, Olivier A1 - Cousins, Sara A. O. A1 - Decocq, Guillaume A1 - Diekmann, Martin A1 - Hermy, Martin A1 - Heinken, Thilo A1 - Kolb, Annette A1 - Nilsson, Christer A1 - Stanton, Sharon A1 - Verheyen, Kris T1 - The response of forest plant regeneration to temperature variation along a latitudinal gradient JF - Annals of botany N2 - The response of forest herb regeneration from seed to temperature variations across latitudes was experimentally assessed in order to forecast the likely response of understorey community dynamics to climate warming. Seeds of two characteristic forest plants (Anemone nemorosa and Milium effusum) were collected in natural populations along a latitudinal gradient from northern France to northern Sweden and exposed to three temperature regimes in growth chambers (first experiment). To test the importance of local adaptation, reciprocal transplants were also made of adult individuals that originated from the same populations in three common gardens located in southern, central and northern sites along the same gradient, and the resulting seeds were germinated (second experiment). Seedling establishment was quantified by measuring the timing and percentage of seedling emergence, and seedling biomass in both experiments. Spring warming increased emergence rates and seedling growth in the early-flowering forb A. nemorosa. Seedlings of the summer-flowering grass M. effusum originating from northern populations responded more strongly in terms of biomass growth to temperature than southern populations. The above-ground biomass of the seedlings of both species decreased with increasing latitude of origin, irrespective of whether seeds were collected from natural populations or from the common gardens. The emergence percentage decreased with increasing home-away distance in seeds from the transplant experiment, suggesting that the maternal plants were locally adapted. Decreasing seedling emergence and growth were found from the centre to the northern edge of the distribution range for both species. Stronger responses to temperature variation in seedling growth of the grass M. effusum in the north may offer a way to cope with environmental change. The results further suggest that climate warming might differentially affect seedling establishment of understorey plants across their distribution range and thus alter future understorey plant dynamics. KW - Anemone nemorosa KW - climate change KW - common garden KW - growth chambers KW - latitudinal gradient KW - local adaptation KW - Milium effusum KW - plant regeneration KW - range edges KW - recruitment KW - seedling establishment KW - temperature Y1 - 2012 U6 - https://doi.org/10.1093/aob/mcs015 SN - 0305-7364 VL - 109 IS - 5 SP - 1037 EP - 1046 PB - Oxford Univ. Press CY - Oxford ER - TY - CHAP A1 - Boehm, Andreas A1 - Polzin, A. A1 - Lueth, Anja A1 - Kleuser, Burkhard A1 - Rassaf, T. A1 - Kelm, M. A1 - Kroemer, H. K. A1 - Schroer, K. A1 - Rauch, B. H. T1 - The release of sphingosine-1-phosphate from human platelets during acute coronary syndrome is attenuated by aspirin T2 - NAUNYN-SCHMIEDEBERGS ARCHIVES OF PHARMACOLOGY Y1 - 2012 SN - 0028-1298 VL - 385 SP - 12 EP - 12 PB - Springer CY - New York ER - TY - JOUR A1 - Eliazar, Iddo A1 - Metzler, Ralf T1 - The RARE model a generalized approach to random relaxation processes in disordered systems JF - The journal of chemical physics : bridges a gap between journals of physics and journals of chemistr N2 - This paper introduces and analyses a general statistical model, termed the RAndom RElaxations (RARE) model, of random relaxation processes in disordered systems. The model considers excitations that are randomly scattered around a reaction center in a general embedding space. The model's input quantities are the spatial scattering statistics of the excitations around the reaction center, and the chemical reaction rates between the excitations and the reaction center as a function of their mutual distance. The framework of the RARE model is versatile and a detailed stochastic analysis of the random relaxation processes is established. Analytic results regarding the duration and the range of the random relaxation processes, as well as the model's thermodynamic limit, are obtained in closed form. In particular, the case of power-law inputs, which turn out to yield stretched exponential relaxation patterns and asymptotically Paretian relaxation ranges, is addressed in detail. KW - chemical relaxation KW - Pareto analysis KW - reaction kinetics theory KW - reaction rate constants KW - stochastic processes Y1 - 2012 U6 - https://doi.org/10.1063/1.4770266 SN - 0021-9606 SN - 1089-7690 VL - 137 IS - 23 PB - American Institute of Physics CY - Melville ER - TY - JOUR A1 - Liermann, A. A1 - Hamann, Wolf-Rainer A1 - Oskinova, Lida T1 - The Quintuplet cluster III. Hertzsprung-Russell diagram and cluster age JF - Astronomy and astrophysics : an international weekly journal N2 - The Quintuplet, one of three massive stellar clusters in the Galactic center (GC), is located about 30 pc in projection from Sagittarius A*. We aim at the construction of the Hertzsprung-Russell diagram (HRD) of the cluster to study its evolution and to constrain its star-formation history. For this purpose we use the most complete spectral catalog of the Quintuplet stars. Based on the K-band spectra we determine stellar temperatures and luminosities for all stars in the catalog under the assumption of a uniform reddening towards the cluster. We find two groups in the resulting HRD: early-type OB stars and late-type KM stars, well separated from each other. By comparison with Geneva stellar evolution models we derive initial masses exceeding 8 M-circle dot for the OB stars. In the HRD these stars are located along an isochrone corresponding to an age of about 4 Myr. This confirms previous considerations, where a similar age estimate was based on the presence of evolved Wolf-Rayet stars in the cluster. We derive number ratios for the various spectral subtype groups (e.g. N-WR/N-O, N-WC/N-WN) and compare them with predictions of population synthesis models. We find that an instantaneous burst of star formation at about 3.3 to 3.6 Myr ago is the most likely scenario to form the Quintuplet cluster. Furthermore, we apply a mass-luminosity relation to construct the initial mass function (IMF) of the cluster. We find indications for a slightly top-heavy IMF. The late-type stars in the LHO catalog are red giant branch (RGB) stars or red supergiants (RSGs) according to their spectral signatures. Under the assumption that they are located at about the distance of the Galactic center we can derive their luminosities. The comparison with stellar evolution models reveals that the initial masses of these stars are lower than 15 M-circle dot implying that they needed about 15 Myr (RSG) or even more than 30 Myr (RGB) to evolve into their present stage. It might be suspected that these late-type stars do not physically belong to the Quintuplet cluster. Indeed, most of them disqualify as cluster members because their radial velocities differ too much from the cluster average. Nevertheless, five of the brightest RGB/RSG stars from the LHO catalog share the mean radial velocity of the Quintuplet, and thus remain highly suspect for being gravitationally bound members. If so, this would challenge the cluster formation and evolution scenario. KW - stars: late-type KW - Hertzsprung-Russell and C-M diagrams KW - infrared: stars KW - stars: early-type KW - open cluster and associations: individual: Quintuplet Y1 - 2012 U6 - https://doi.org/10.1051/0004-6361/201117534 SN - 0004-6361 VL - 540 PB - EDP Sciences CY - Les Ulis ER - TY - JOUR A1 - Rocchetti, Alessandra A1 - Sharma, Tripti A1 - Wulfetange, Camilla A1 - Scholz-Starke, Joachim A1 - Grippa, Alexandra A1 - Carpaneto, Armando A1 - Dreyer, Ingo A1 - Vitale, Alessandro A1 - Czempinski, Katrin A1 - Pedrazzini, Emanuela T1 - The putative K+ channel subunit AtKCO3 forms stable dimers in arabidopsis JF - Frontiers in plant science N2 - The permeation pore of K+ channels is formed by four copies of the pore domain. AtKCO3 is the only putative voltage-independent K+ channel subunit of Arabidopsis thaliana with a single pore domain. KCO3-like proteins recently emerged in evolution and, to date, have been found only in the genus Arabidopsis (A. thaliana and A. lyrata). We show that the absence of KCO3 does not cause marked changes in growth under various conditions. Only under osmotic stress we observed reduced root growth of the kco3-1 null-allele line. This phenotype was complemented by expressing a KCO3 mutant with an inactive pore, indicating that the function of KCO3 under osmotic stress does not depend on its direct ability to transport ions. Constitutively overexpressed AtKCO3 or AtKCO3::G FP are efficiently sorted to the tonoplast indicating that the protein is approved by the endoplasmic reticulum quality control. However, vacuoles isolated from transgenic plants do not have significant alterations in current density. Consistently, both AtKCO3 and AtKCO3::GFP are detected as homodimers upon velocity gradient centrifugation, an assembly state that would not allow for activity. We conclude that if AtKCO3 ever functions as a K+ channel, active tetramers are held by particularly weak interactions, are formed only in unknown specific conditions and may require partner proteins. KW - Arabidopsis KW - membrane proteins KW - potassium channels KW - protein assembly KW - tonoplast Y1 - 2012 U6 - https://doi.org/10.3389/fpls.2012.00251 SN - 1664-462X VL - 3 PB - Frontiers Research Foundation CY - Lausanne ER - TY - JOUR A1 - Rettig, R. A1 - Pohl, M. T1 - The properties of non-thermal X-ray filaments in young supernova remnants JF - Astronomy and astrophysics : an international weekly journal N2 - Context. Young supernova remnants (SNRs) exhibit narrow filaments of non-thermal X-ray emission whose widths can be limited either by electron energy losses or damping of the magnetic field. Aims. We want to investigate whether or not different models of these filaments can be observationally tested. Methods. Using observational parameters of four historical remnants, we calculated the filament profiles and compared the spectra of the filaments with those of the total non-thermal emission. For that purpose, we solved a one-dimensional stationary transport equation for the isotropic differential number density of the electrons. Results. We find that the difference between the spectra of filament and total non-thermal emission above 1 keV is more pronounced in the damping model than in the energy-loss model. Conclusions. A considerable damping of the magnetic field can result in an observable difference between the spectra of filament and total non-thermal emission, thus potentially permitting an observational discrimination between the energy-loss model and the damping model of the X-ray filaments. KW - acceleration of particles KW - ISM: supernova remnants KW - ISM: magnetic fields KW - X-rays: ISM Y1 - 2012 U6 - https://doi.org/10.1051/0004-6361/201219409 SN - 0004-6361 VL - 545 IS - 5 PB - EDP Sciences CY - Les Ulis ER - TY - JOUR A1 - Hejazi, Mahdi A1 - Steup, Martin A1 - Fettke, Jörg T1 - The plastidial glucan, water dikinase (GWD) catalyses multiple phosphotransfer reactions JF - The FEBS journal N2 - The plant genome encodes at least two distinct and evolutionary conserved plastidial starch-related dikinases that phosphorylate a low percentage of glucosyl residues at the starch granule surface. Esterification of starch favours the transition of highly ordered a-glucans to a less ordered state and thereby facilitates the cleavage of interglucose bonds by hydrolases. Metabolically most important is the phosphorylation at position C6, which is catalysed by the glucan, water dikinase (GWD). The reactions mediated by recombinant wild-type GWD from Arabidopsis thaliana (AtGWD) and from Solanum tuberosum (StGWD) were studied. Two mutated proteins lacking the conserved histidine residue that is indispensible for glucan phosphorylation were also included. The wild-type GWDs consume approximately 20% more ATP than is required for glucan phosphorylation. Similarly, although incapable of phosphorylating a-glucans, the two mutated dikinase proteins are capable of degrading ATP. Thus, consumption of ATP and phosphorylation of a-glucans are not strictly coupled processes but, to some extent, occur as independent phosphotransfer reactions. As revealed by incubation of the GWDs with [gamma-33P]ATP, the consumption of ATP includes the transfer of the gamma-phosphate group to the GWD protein but this autophosphorylation does not require the conserved histidine residue. Thus, the GWD proteins possess two vicinal phosphorylation sites, both of which are transiently phosphorylated. Following autophosphorylation at both sites, native dikinases flexibly use various terminal phosphate acceptors, such as water, alpha-glucans, AMP and ADP. A model is presented describing the complex phosphotransfer reactions of GWDs as affected by the availability of the various acceptors. KW - glucan phosphorylation KW - glucan KW - water dikinase KW - protein autophosphorylation KW - starch metabolism KW - starch phosphorylation Y1 - 2012 U6 - https://doi.org/10.1111/j.1742-4658.2012.08576.x SN - 1742-464X VL - 279 IS - 11 SP - 1953 EP - 1966 PB - Wiley-Blackwell CY - Malden ER - TY - JOUR A1 - Gonzalez, Wendy A1 - Riedelsberger, Janin A1 - Morales-Navarro, Samuel E. A1 - Caballero, Julio A1 - Alzate-Morales, Jans H. A1 - Gonzalez-Nilo, Fernando D. A1 - Dreyer, Ingo T1 - The pH sensor of the plant K+-uptake channel KAT1 is built from a sensory cloud rather than from single key amino acids JF - The biochemical journal N2 - The uptake of potassium ions (K+) accompanied by an acidification of the apoplasm is a prerequisite for stomatal opening. The acidification (approximately 2-2.5 pH units) is perceived by voltage-gated inward potassium channels (K-in) that then can open their pores with lower energy cost. The sensory units for extracellular pH in stomatal K-in channels are proposed to be histidines exposed to the apoplasm. However, in the Arabidopsis thaliana stomatal K-in channel KAT1, mutations in the unique histidine exposed to the solvent (His(267)) do not affect the pH dependency. We demonstrate in the present study that His(267) of the KAT1 channel cannot sense pH changes since the neighbouring residue Phe(266) shifts its pK(a) to undetectable values through a cation-pi interaction. Instead, we show that Glu(240) placed in the extracellular loop between transmembrane segments S5 and S6 is involved in the extracellular acid activation mechanism. Based on structural models we propose that this region may serve as a molecular link between the pH- and the voltage-sensor. Like Glu(240), several other titratable residues could contribute to the pH-sensor of KAT1, interact with each other and even connect such residues far away from the voltage-sensor with the gating machinery of the channel. KW - Arabidopsis thaliana KW - channel protein structure KW - channel protein-proton interaction KW - KAT1 KW - pH regulation KW - potassium chanel Y1 - 2012 U6 - https://doi.org/10.1042/BJ20111498 SN - 0264-6021 VL - 442 IS - 7 SP - 57 EP - 63 PB - Portland Press CY - London ER - TY - CHAP A1 - Gonzalez, W. A1 - Riedelsberger, J. A1 - Morales-Navarro, S. E. A1 - Caballero, Julio A1 - Alzate-Morales, Jans H. A1 - Gonzalez-Nilo, F. D. A1 - Dreyer, Ingo T1 - The pH sensor of the plant K plus uptake channel KAT1 is built from a sensory cloud rather than from single key amino acids T2 - The FEBS journal Y1 - 2012 SN - 1742-464X VL - 279 SP - 455 EP - 455 PB - Wiley-Blackwell CY - Hoboken ER - TY - JOUR A1 - Zamagni, Jessica A1 - Mutti, Maria A1 - Ballato, Paolo A1 - Kosir, Adrijan T1 - The Paleocene-Eocene thermal maximum (PETM) in shallow-marine successions of the Adriatic carbonate platform (SW Slovenia) JF - Geological Society of America bulletin N2 - The Paleocene-Eocene thermal maximum represents one of the most rapid and extreme warming events in the Cenozoic. Shallow-water stratigraphic sections from the Adriatic carbonate platform offer a rare opportunity to learn about the nature of Paleocene-Eocene thermal maximum and the effects on shallow-water ecosystems. We use carbon and oxygen isotope stratigraphy, in conjunction with detailed larger benthic foraminiferal biostratigraphy, to establish a high-resolution paleoclimatic record for the Paleocene-Eocene thermal maximum. A prominent negative excursion in delta C-13 curves of bulk-rock (similar to 1 parts per thousand-3 parts per thousand), matrix (similar to 4 parts per thousand), and foraminifera (similar to 6 parts per thousand) is interpreted as the carbon isotope excursion during the Paleocene-Eocene thermal maximum. The strongly C-13-depleted delta(1)d(3)C record of our shallow-marine carbonates compared to open-marine records could result from organic matter oxidation, suggesting intensified weathering, runoff, and organic matter flux. The Ilerdian larger benthie foraminiferal turnover is documented in detail based on high-resolution correlation with the carbon isotopic excursion. The turnover is described as a two-step process, with the first step (early Ilerdian) marked by a rapid diversification of small alveolinids and nummulitids with weak adult dimorphism, possibly as adaptations to fluctuating Paleocene-Eocene thermal maximum nutrient levels, and a second step (middle Ilerdian) characterized by a further specific diversification, increase of shell size, and well-developed adult dimorphism. Within an evolutionary scheme controlled by long-term biological processes, we argue that high seawater temperatures could have stimulated the early Ilerdian rapid specific diversification. Together, these data help elucidate the effects of global warming and associated feedbacks in shallow-water ecosystems, and by inference, could serve as an assessment analog for future changes. Y1 - 2012 U6 - https://doi.org/10.1130/B30553.1 SN - 0016-7606 VL - 124 IS - 7-8 SP - 1071 EP - 1086 PB - American Institute of Physics CY - Boulder ER - TY - JOUR A1 - Winck, Flavia V. A1 - Riano-Pachon, Diego M. A1 - Sommer, Frederik A1 - Rupprecht, Jens A1 - Müller-Röber, Bernd T1 - The nuclear proteome of the green alga Chlamydomonas reinhardtii JF - Proteomics N2 - Nuclear proteins play a central role in regulating gene expression. Their identification is important for understanding how the nuclear repertoire changes over time under different conditions. Nuclear proteins are often underrepresented in proteomic studies due to the frequently low abundance of proteins involved in regulatory processes. So far, only few studies describing the nuclear proteome of plant species have been published. Recently, the genome sequence of the unicellular green alga Chlamydomonas reinhardtii has been obtained and annotated, allowing the development of further detailed studies for this organism. However, a detailed description of its nuclear proteome has not been reported so far. Here, we present an analysis of the nuclear proteome of the sequenced Chlamydomonas strain cc503. Using LC-MS/MS, we identified 672 proteins from nuclei isolates with a maximum 1% peptide spectrum false discovery rate. Besides well-known proteins (e.g. histones), transcription factors and other transcriptional regulators (e.g. tubby and HMG) were identified. The presence of protein motifs in nuclear proteins was investigated by computational tools, and specific over-represented protein motifs were identified. This study provides new insights into the complexity of the nuclear environment and reveals novel putative protein targets for further studies of nuclear mechanisms. KW - Nuclear proteomics KW - Plant proteomics KW - Systems biology KW - Transcription factor Y1 - 2012 U6 - https://doi.org/10.1002/pmic.201000782 SN - 1615-9853 VL - 12 IS - 1 SP - 95 EP - 100 PB - Wiley-Blackwell CY - Malden ER - TY - INPR A1 - Alsaedy, Ammar A1 - Tarkhanov, Nikolai Nikolaevich T1 - The method of Fischer-Riesz equations for elliptic boundary value problems N2 - We develop the method of Fischer-Riesz equations for general boundary value problems elliptic in the sense of Douglis-Nirenberg. To this end we reduce them to a boundary problem for a (possibly overdetermined) first order system whose classical symbol has a left inverse. For such a problem there is a uniquely determined boundary value problem which is adjoint to the given one with respect to the Green formula. On using a well elaborated theory of approximation by solutions of the adjoint problem, we find the Cauchy data of solutions of our problem. T3 - Preprints des Instituts für Mathematik der Universität Potsdam - 1(2012)24 KW - Boundary value problems for first order systems KW - Green formula KW - Fischer-Riesz equations KW - regularisation Y1 - 2012 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-61792 ER - TY - JOUR A1 - Dimitrova, Ilinka A1 - Fernandes, Vitor H. A1 - Koppitz, Jörg T1 - The maximal subsemigroups of semigroups of transformations preserving or reversing the orientation on a finite chain JF - Publicationes mathematicae N2 - The study of the semigroups OPn, of all orientation-preserving transformations on an n-element chain, and ORn, of all orientation-preserving or orientation-reversing transformations on an n-element chain, has began in [17] and [5]. In order to bring more insight into the subsemigroup structure of OPn and ORn, we characterize their maximal subsemigroups. KW - finite transformation semigroup KW - orientation-preserving and orientation-reversing transformations KW - maximal subsemigroups Y1 - 2012 U6 - https://doi.org/10.5486/PMD.2012.4897 SN - 0033-3883 VL - 81 IS - 1-2 SP - 11 EP - 29 PB - Institutum Mathematicum Universitatis Debreceniensis, Debreceni Tudományegyetem Matematikai Intézete CY - Debrecen ER - TY - JOUR A1 - Brotman, Yariv A1 - Landau, Udi A1 - Pnini, Smadar A1 - Lisec, Jan A1 - Balazadeh, Salma A1 - Müller-Röber, Bernd A1 - Zilberstein, Aviah A1 - Willmitzer, Lothar A1 - Chet, Ilan A1 - Viterbo, Ada T1 - The LysM Receptor-Like Kinase LysM RLK1 is required to activate defense and abiotic-stress responses induced by overexpression of fungal chitinases in arabidopsis plants JF - Molecular plant N2 - Application of crab shell chitin or pentamer chitin oligosaccharide to Arabidopsis seedlings increased tolerance to salinity in wild-type but not in knockout mutants of the LysM Receptor-Like Kinase1 (CERK1/LysM RLK1) gene, known to play a critical role in signaling defense responses induced by exogenous chitin. Arabidopsis plants overexpressing the endochitinase chit36 and hexoaminidase excy1 genes from the fungus Trichoderma asperelleoides T203 showed increased tolerance to salinity, heavy-metal stresses, and Botrytis cinerea infection. Resistant lines, overexpressing fungal chitinases at different levels, were outcrossed to lysm rlk1 mutants. Independent homozygous hybrids lost resistance to biotic and abiotic stresses, despite enhanced chitinase activity. Expression analysis of 270 stress-related genes, including those induced by reactive oxygen species (ROS) and chitin, revealed constant up-regulation (at least twofold) of 10 genes in the chitinase-overexpressing line and an additional 76 salt-induced genes whose expression was not elevated in the lysm rlk1 knockout mutant or the hybrids harboring the mutation. These findings elucidate that chitin-induced signaling mediated by LysM RLK1 receptor is not limited to biotic stress response but also encompasses abiotic-stress signaling and can be conveyed by ectopic expression of chitinases in plants. KW - abiotic stress KW - chitin-induced signaling KW - chitinases KW - LysM receptor kinase KW - Trichoderma Y1 - 2012 U6 - https://doi.org/10.1093/mp/sss021 SN - 1674-2052 VL - 5 IS - 5 SP - 1113 EP - 1124 PB - Oxford Univ. Press CY - Oxford ER - TY - INPR A1 - Tarkhanov, Nikolai Nikolaevich A1 - Wallenta, Daniel T1 - The Lefschetz number of sequences of trace class curvature N2 - For a sequence of Hilbert spaces and continuous linear operators the curvature is defined to be the composition of any two consecutive operators. This is modeled on the de Rham resolution of a connection on a module over an algebra. Of particular interest are those sequences for which the curvature is "small" at each step, e.g., belongs to a fixed operator ideal. In this context we elaborate the theory of Fredholm sequences and show how to introduce the Lefschetz number. T3 - Preprints des Instituts für Mathematik der Universität Potsdam - 1 (2012) 3 KW - Perturbed complexes KW - curvature KW - Lefschetz number Y1 - 2012 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-56969 ER - TY - JOUR A1 - Kaplan, Aaron A1 - Harel, Moshe A1 - Kaplan-Levy, Ruth N. A1 - Hadas, Ora A1 - Sukenik, Assaf A1 - Dittmann-Thünemann, Elke T1 - The languages spoken in the water body (or the biological role of cyanobacterial toxins) JF - Frontiers in microbiology N2 - Although intensification of toxic cyanobacterial blooms over the last decade is a matter of growing concern due to bloom impact on water quality, the biological role of most of the toxins produced is not known. In this critical review we focus primarily on the biological role of two toxins, microcystins and cylindrospermopsin, in inter- and intra-species communication and in nutrient acquisition. We examine the experimental evidence supporting some of the dogmas in the field and raise several open questions to be dealt with in future research. We do not discuss the health and environmental implications of toxin presence in the water body. KW - aoa KW - cylindrospermopsin KW - microcystin KW - cyr KW - mcy Y1 - 2012 U6 - https://doi.org/10.3389/fmicb.2012.00138 SN - 1664-302X VL - 3 PB - Frontiers Research Foundation CY - Lausanne ER - TY - BOOK A1 - Appeltauer, Malte A1 - Hirschfeld, Robert T1 - The JCop language specification : Version 1.0, April 2012 N2 - Program behavior that relies on contextual information, such as physical location or network accessibility, is common in today's applications, yet its representation is not sufficiently supported by programming languages. With context-oriented programming (COP), such context-dependent behavioral variations can be explicitly modularized and dynamically activated. In general, COP could be used to manage any context-specific behavior. However, its contemporary realizations limit the control of dynamic adaptation. This, in turn, limits the interaction of COP's adaptation mechanisms with widely used architectures, such as event-based, mobile, and distributed programming. The JCop programming language extends Java with language constructs for context-oriented programming and additionally provides a domain-specific aspect language for declarative control over runtime adaptations. As a result, these redesigned implementations are more concise and better modularized than their counterparts using plain COP. JCop's main features have been described in our previous publications. However, a complete language specification has not been presented so far. This report presents the entire JCop language including the syntax and semantics of its new language constructs. N2 - Das Verhalten von modernen Software-Anwendungen benötigt häufig Informationen über den Kontext ihrer Ausführung, z.B. die geografische Position, die Tageszeit oder die aktuelle Netzwerkbandbreite. Dennoch bieten heutige Programmiersprachen nur wenig Unterstützung für die Repräsentation kontextspezifischen Verhaltens. Kontextorientiertes Programmieren ist ein Ansatz, der die explizite Modularisierung und Laufzeitaktivierung von kontextspezifischem Verhalten auf der Ebene von Programmiersprachkonstrukten ermöglicht. Die bisherigen Umsetzungen von kontextorientiertem Programmieren schränken jedoch die Kontrolle der Laufzeitaktivierungen solches kontextspezifischen Verhaltens ein. Daraus folgt eine Einschränkung der Anwendungsbereiche für kontextorientiertes Programmieren, unter anderem für solche Domänen, in denen Programme sehr häufig kontextabhängiges Verhalten bereitstellen, z.B. ereignisbasierte, mobile und dienstorientierte Systeme. Die Programmiersprache JCop erweitert Java um Sprachkonstrukte für kontextorientieres Programmieren und bietet zusätzlich eine domänenspezifische Aspektsprach an, mit deren Hilfe Laufzeitadaptionen deklarativ spezifiziert werden können. Die Kernkonzepte von JCop wurden bereits in mehrern Publikationen vorgestellt, dieser Bericht enthält nun eine umfassende Sprachspezifikation von JCop. T3 - Technische Berichte des Hasso-Plattner-Instituts für Digital Engineering an der Universität Potsdam - 59 KW - Programming Languages KW - Context-oriented Programming KW - Aspect-oriented Programming KW - Java KW - JCop KW - runtime adaptations Y1 - 2012 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-60208 SN - 978-3-86956-193-6 PB - Universitätsverlag Potsdam CY - Potsdam ER - TY - CHAP A1 - Knoll, Nina A1 - Wiedemannm, A. U. A1 - Heckhausen, Juliane A1 - Burkert, Silke A1 - Felber, Juliane A1 - Schrader, M. T1 - The interplay of autonomy goals and spousal support a prospective study with couples facing cancer T2 - Psychology & health : official journal of the European Health Psychology Society Y1 - 2012 SN - 0887-0446 VL - 27 IS - 33 SP - 70 EP - 71 PB - Routledge, Taylor & Francis Group CY - Abingdon ER - TY - JOUR A1 - Hennemann, Anja T1 - The interaction between the linguistic domains of evidentiality and deixis as exemplified by Spanish detective novels Y1 - 2012 SN - 978-3-89323-140-9 ER - TY - JOUR A1 - Kaiser, M. A1 - Ellerbrock, Ruth H. A1 - Wulf, M. A1 - Dultz, S. A1 - Hierath, C. A1 - Sommer, M. T1 - The influence of mineral characteristics on organic matter content, composition, and stability of topsoils under long-term arable and forest land use JF - Journal of geophysical research : Biogeosciences N2 - In this study, we analyzed the influence of soil mineral characteristics (e. g., clay concentration and mineralogical composition, iron and aluminum oxide concentration and crystallinity, specific surface area, and exchangeable cation concentration) on (i) organic carbon (OC) content (kg m(-2)) and (ii) the concentration (g kg(-1)), composition, and stability of the mineral-associated organic matter (OM) of arable and forest topsoils. We selected seven soil types with different mineral characteristics for this study. For each soil type, samples were taken from topsoils of a deciduous forest and an adjacent arable site. The arable and forest sites have been used continuously for more than 100 years. Na-pyrophosphate soluble OM fractions (OM(PY)), representing mineral-associated OM, were extracted, analyzed for OC and C-14 concentrations, and characterized by FTIR spectroscopy. For the forest and arable topsoils, a linear relationship was found between the OC content and exchangeable Ca. For the arable topsoils (pH 6.7-7.5), correlation analyses indicated that the OCPY concentration increased with an increase in oxalate soluble Fe and Al, exchangeable Ca, and Na-pyrophosphate soluble Mg and Fe concentrations. The stability of OM(PY) determined by the C-14 measurements of the near-neutral arable topsoils was shown to increase with the specific surface area and the concentration of exchangeable Ca. For the acidic forest topsoils (pH < 5), the stability of OM(PY) was found to increase as the pH, and the concentration of C=O groups and Na-pyrophosphate soluble Mg increase. Y1 - 2012 U6 - https://doi.org/10.1029/2011JG001712 SN - 0148-0227 VL - 117 IS - 4 PB - American Geophysical Union CY - Washington ER - TY - JOUR A1 - Hartmann, Tobias A1 - Terao, Mineko A1 - Garattini, Enrico A1 - Teutloff, Christian A1 - Alfaro, Joshua F. A1 - Jones, Jeffrey P. A1 - Leimkühler, Silke T1 - The impact of single nucleotide polymorphisms on human aldehyde oxidase JF - Drug metabolism and disposition : the biological fate of chemicals N2 - Aldehyde oxidase (AO) is a complex molybdo-flavoprotein that belongs to the xanthine oxidase family. AO is active as a homodimer, and each 150-kDa monomer binds two distinct [2Fe2S] clusters, FAD, and the molybdenum cofactor. AO has an important role in the metabolism of drugs based on its broad substrate specificity oxidizing aromatic aza-heterocycles, for example, N-1-methylnicotinamide and N-methylphthalazinium, or aldehydes, such as benzaldehyde, retinal, and vanillin. Sequencing the 35 coding exons of the human AOX1 gene in a sample of 180 Italian individuals led to the identification of relatively frequent, synonymous, missense and nonsense single-nucleotide polymorphisms (SNPs). Human aldehyde oxidase (hAOX1) was purified after heterologous expression in Escherichia coli. The recombinant protein was obtained with a purity of 95% and a yield of 50 mu g/l E. coli culture. Site-directed mutagenesis of the hAOX1 cDNA allowed the purification of protein variants bearing the amino acid changes R802C, R921H, N1135S, and H1297R, which correspond to some of the identified SNPs. The hAOX1 variants were purified and compared with the wild-type protein relative to activity, oligomerization state, and metal content. Our data show that the mutation of each amino acid residue has a variable impact on the ability of hAOX1 to metabolize selected substrates. Thus, the human population is characterized by the presence of functionally inactive hAOX1 allelic variants as well as variants encoding enzymes with different catalytic activities. Our results indicate that the presence of these allelic variants should be considered for the design of future drugs. Y1 - 2012 U6 - https://doi.org/10.1124/dmd.111.043828 SN - 0090-9556 VL - 40 IS - 5 SP - 856 EP - 864 PB - American Society for Pharmacology and Experimental Therapeutics CY - Bethesda ER - TY - GEN A1 - Pfäffle, Frank A1 - Stephan, Christoph A. T1 - The holst action by the spectral action principle (vol 307, pg 261, 2011) T2 - Communications in mathematical physics Y1 - 2012 U6 - https://doi.org/10.1007/s00220-012-1507-y SN - 0010-3616 VL - 313 IS - 1 SP - 291 EP - 292 PB - Springer CY - New York ER - TY - INPR A1 - Pfäffle, Frank A1 - Stephan, Christoph A. T1 - The Holst action by the spectral action principle N2 - We investigate the Holst action for closed Riemannian 4-manifolds with orthogonal connections. For connections whose torsion has zero Cartan type component we show that the Holst action can be recovered from the heat asymptotics for the natural Dirac operator acting on left-handed spinor fields. T3 - Preprints des Instituts für Mathematik der Universität Potsdam - 1(2012)19 Y1 - 2012 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-60032 ER - TY - JOUR A1 - Bukovinszky, Tibor A1 - Verschoor, Antonie M. A1 - Helmsing, Nico R. A1 - Bezemer, T. Martijn A1 - Bakker, Elisabeth S. A1 - Vos, Matthijs A1 - Domis, Lisette Nicole de Senerpont T1 - The Good, the bad and the plenty Interactive effects of food quality and quantity on the growth of different daphnia species JF - PLoS one N2 - Effects of food quality and quantity on consumers are neither independent nor interchangeable. Although consumer growth and reproduction show strong variation in relation to both food quality and quantity, the effects of food quality or food quantity have usually been studied in isolation. In two experiments, we studied the growth and reproduction in three filter-feeding freshwater zooplankton species, i.e. Daphnia galeata x hyalina, D. pulicaria and D. magna, on their algal food (Scenedesmus obliquus), varying in carbon to phosphorus (C:P) ratios and quantities (concentrations). In the first experiment, we found a strong positive effect of the phosphorus content of food on growth of Daphnia, both in their early and late juvenile development. Variation in the relationship between the P-content of animals and their growth rate reflected interspecific differences in nutrient requirements. Although growth rates typically decreased as development neared maturation, this did not affect these species-specific couplings between growth rate and Daphnia P-content. In the second experiment, we examined the effects of food quality on Daphnia growth at different levels of food quantity. With the same decrease in P-content of food, species with higher estimated P-content at zero growth showed a larger increase in threshold food concentrations (i.e. food concentration sufficient to meet metabolic requirements but not growth). These results suggest that physiological processes such as maintenance and growth may in combination explain effects of food quality and quantity on consumers. Our study shows that differences in response to variation in food quality and quantity exist between species. As a consequence, species-specific effects of food quality on consumer growth will also determine how species deal with varying food levels, which has implications for resource-consumer interactions. Y1 - 2012 U6 - https://doi.org/10.1371/journal.pone.0042966 SN - 1932-6203 VL - 7 IS - 9 PB - PLoS CY - San Fransisco ER - TY - JOUR A1 - Zaklan, Aleksandar A1 - Cullmann, Astrid A1 - Neumann, Anne A1 - von Hirschhausen, Christian T1 - The globalization of steam coal markets and the role of logistics an empirical analysis JF - Energy economics N2 - In this paper, we provide a comprehensive multivariate cointegration analysis of three parts of the steam coal value chain - export, transport and import prices. The analysis is based on a rich dataset of international coal prices: in particular, we combine data on steam coal prices with freight rates, covering the period December 2001 until August 2009 at weekly frequency. We then test whether the demand and supply side components of steam coal trade are consistently integrated with one another. In addition, export and import prices as well as freight rates for individual trading routes, across regions and globally are combined. We find evidence of significant yet incomplete integration. We also find heterogeneous short-term dynamics of individual markets. Furthermore, we examine whether logistics enter coal price dynamics through transportation costs, which are mainly determined by oil prices. Our results suggest that this is generally not the case. KW - Steam coal KW - Market integration KW - Multivariate cointegration Y1 - 2012 U6 - https://doi.org/10.1016/j.eneco.2011.03.001 SN - 0140-9883 VL - 34 IS - 1 SP - 105 EP - 116 PB - Elsevier CY - Amsterdam ER - TY - GEN A1 - Caliendo, Marco A1 - Hogenacker, Jens T1 - The German labor market after the Great Recession BT - successful reforms and future challenges T2 - Postprints der Universität Potsdam : Wirtschafts- und Sozialwissenschaftliche Reihe N2 - The reaction of the German labor market to the Great Recession 2008/09 was relatively mild – especially compared to other countries. The reason lies not only in the specific type of the recession – which was favorable for the German economy structure – but also in a series of labor market reforms initiated between 2002 and 2005 altering, inter alia, labor supply incentives. However, irrespective of the mild response to the Great Recession, there are a number of substantial future challenges the German labor market will soon have to face. Female labor supply still lies well below that of other countries and a massive demographic change over the next 50 years will have substantial effects on labor supply as well as the pension system. In addition, due to a skill-biased technological change over the next decades, firms will face problems of finding employees with adequate skills. The aim of this paper is threefold. First, we outline why the German labor market reacted in such a mild fashion, describe current economic trends of the labor market in light of general trends in the European Union, and reveal some of the main associated challenges. Thereafter, the paper analyzes recent reforms of the main institutional settings of the labor market which influence labor supply. Finally, based on the status quo of these institutional settings, the paper gives a brief overview of strategies to combat adequately the challenges in terms of labor supply and to ensure economic growth in the future. T3 - Zweitveröffentlichungen der Universität Potsdam : Wirtschafts- und Sozialwissenschaftliche Reihe - 129 KW - unemployment KW - labor force participation KW - Labor supply KW - benefit systems KW - public policy Y1 - 2020 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-435195 SN - 1867-5808 IS - 129 ER - TY - JOUR A1 - Altenberger, Uwe A1 - Mejia Jimenez, D. M. A1 - Günter, C. A1 - Sierra Rodriguez, G. I. A1 - Scheffler, F. A1 - Oberhänsli, Roland T1 - The Garzn Massif, Colombia-a new ultrahigh-temperature metamorphic complex in the early Neoproterozoic of northern South America JF - Mineralogy and petrology N2 - The Garzn Complex of the Garzn Massif in SW Colombia is composed of the Vergel Granulite Unit (VG) and the Las Margaritas Migmatite Unit (LMM). Previous studies reveal peak temperature conditions for the VG of about 740 A degrees C. The present study considers the remarkable exsolution phenomena in feldspars and pyroxenes and titanium-in-quartz thermometry. Recalculated ternary feldspar compositions indicate temperatures around 900-1,000 A degrees C just at or above the ultra-high temperature-metamorphism (UHTM) boundary of granulites. The calculated temperatures range of exsolved ortho- and clinopyroxenes also supports the existence of an UHTM event. In addition, titanium-in-quartz thermometry points towards ultra-high temperatures. It is the first known UHTM crustal segment in the northern part of South America. Although a mean geothermal gradient of ca 38 A degrees C km(-1) could imply additional heat supply in the lower crust controlling this extreme of peak metamorphism, an alternative model is suggested. The formation of the Vergel Granulite Unit is supposed to be formed in a continental back-arc environment with a thinned and weakened crust behind a magmatic arc (Guapotn-Mancagua Gneiss) followed by collision. In contrast, rocks of the adjacent Las Margaritas Migmatite Unit display "normal" granulite facies temperatures and are formed in a colder lower crust outside the arc, preserved by the Guapotn-Mancagu Gneiss. Back-arc formation was followed by inversion and thickening of the basin. The three units that form the modern-day Garzn Massif, were juxtaposed upon each other during collision (at ca. 1,000 Ma) and exhumation. The collision leading to the deformation of the studied area is part of the Grenville orogeny leading to the amalgamation of Rodinia. Y1 - 2012 U6 - https://doi.org/10.1007/s00710-012-0202-1 SN - 0930-0708 VL - 105 IS - 3-4 SP - 171 EP - 185 PB - Springer CY - Wien ER -