TY - JOUR A1 - Hempel, Stefan A1 - Koseska, Aneta A1 - Kurths, Jürgen A1 - Nikoloski, Zoran T1 - Inner composition alignment for inferring directed networks from short time series JF - Physical review letters N2 - Identifying causal links (couplings) is a fundamental problem that facilitates the understanding of emerging structures in complex networks. We propose and analyze inner composition alignment-a novel, permutation-based asymmetric association measure to detect regulatory links from very short time series, currently applied to gene expression. The measure can be used to infer the direction of couplings, detect indirect (superfluous) links, and account for autoregulation. Applications to the gene regulatory network of E. coli are presented. Y1 - 2011 U6 - https://doi.org/10.1103/PhysRevLett.107.054101 SN - 0031-9007 VL - 107 IS - 5 PB - American Physical Society CY - College Park ER - TY - GEN A1 - Nikoloski, Zoran A1 - van Dongen, Joost T. T1 - Modeling alternatives for interpreting the change in oxygen-consumption rates during hypoxic conditions T2 - New phytologist : international journal of plant science KW - hypoxia KW - modeling KW - regulation KW - respiration KW - roots Y1 - 2011 U6 - https://doi.org/10.1111/j.1469-8137.2011.03674.x SN - 0028-646X VL - 190 IS - 2 SP - 273 EP - 276 PB - Wiley-Blackwell CY - Malden ER - TY - JOUR A1 - Lisec, Jan A1 - Römisch-Margl, Lilla A1 - Nikoloski, Zoran A1 - Piepho, Hans-Peter A1 - Giavalisco, Patrick A1 - Selbig, Joachim A1 - Gierl, Alfons A1 - Willmitzer, Lothar T1 - Corn hybrids display lower metabolite variability and complex metabolite inheritance patterns JF - The plant journal N2 - We conducted a comparative analysis of the root metabolome of six parental maize inbred lines and their 14 corresponding hybrids showing fresh weight heterosis. We demonstrated that the metabolic profiles not only exhibit distinct features for each hybrid line compared with its parental lines, but also separate reciprocal hybrids. Reconstructed metabolic networks, based on robust correlations between metabolic profiles, display a higher network density in most hybrids as compared with the corresponding inbred lines. With respect to metabolite level inheritance, additive, dominant and overdominant patterns are observed with no specific overrepresentation. Despite the observed complexity of the inheritance pattern, for the majority of metabolites the variance observed in all 14 hybrids is lower compared with inbred lines. Deviations of metabolite levels from the average levels of the hybrids correlate negatively with biomass, which could be applied for developing predictors of hybrid performance based on characteristics of metabolite patterns. KW - heterosis KW - Zea mays KW - metabolomics Y1 - 2011 U6 - https://doi.org/10.1111/j.1365-313X.2011.04689.x SN - 0960-7412 VL - 68 IS - 2 SP - 326 EP - 336 PB - Wiley-Blackwell CY - Malden ER - TY - JOUR A1 - Larhlimi, Abdelhalim A1 - Blachon, Sylvain A1 - Selbig, Joachim A1 - Nikoloski, Zoran T1 - Robustness of metabolic networks a review of existing definitions JF - Biosystems : journal of biological and information processing sciences N2 - Describing the determinants of robustness of biological systems has become one of the central questions in systems biology. Despite the increasing research efforts, it has proven difficult to arrive at a unifying definition for this important concept. We argue that this is due to the multifaceted nature of the concept of robustness and the possibility to formally capture it at different levels of systemic formalisms (e.g, topology and dynamic behavior). Here we provide a comprehensive review of the existing definitions of robustness pertaining to metabolic networks. As kinetic approaches have been excellently reviewed elsewhere, we focus on definitions of robustness proposed within graph-theoretic and constraint-based formalisms. KW - Robustness KW - Metabolic networks KW - Graph theory KW - Constraint-based approaches Y1 - 2011 U6 - https://doi.org/10.1016/j.biosystems.2011.06.002 SN - 0303-2647 VL - 106 IS - 1 SP - 1 EP - 8 PB - Elsevier CY - Oxford ER - TY - JOUR A1 - Arnold, Anne A1 - Nikoloski, Zoran T1 - A quantitative comparison of Calvin-Benson cycle models JF - Trends in plant science N2 - The Calvin-Benson cycle (CBC) provides the precursors for biomass synthesis necessary for plant growth. The dynamic behavior and yield of the CBC depend on the environmental conditions and regulation of the cellular state. Accurate quantitative models hold the promise of identifying the key determinants of the tightly regulated CBC function and their effects on the responses in future climates. We provide an integrative analysis of the largest compendium of existing models for photosynthetic processes. Based on the proposed ranking, our framework facilitates the discovery of best-performing models with regard to metabolomics data and of candidates for metabolic engineering. Y1 - 2011 U6 - https://doi.org/10.1016/j.tplants.2011.09.004 SN - 1360-1385 VL - 16 IS - 12 SP - 676 EP - 683 PB - Elsevier CY - London ER - TY - THES A1 - Kittner, Madeleine T1 - Folding and aggregation of amyloid peptides T1 - Faltung und Aggregation von Amyloidpeptiden N2 - Aggregation of the Amyloid β (Aβ) peptide to amyloid fibrils is associated with the outbreak of Alzheimer’s disease. Early aggregation intermediates in form of soluble oligomers are of special interest as they are believed to be the major toxic components in the process. These oligomers are of disordered and transient nature. Therefore, their detailed molecular structure is difficult to access experimentally and often remains unknown. In the present work extensive, fully atomistic replica exchange molecular dynamics simulations were performed to study the preaggregated, monomer states and early aggregation intermediates (dimers, trimers) of Aβ(25-35) and Aβ(10-35)-NH2 in aqueous solution. The folding and aggregation of Aβ(25-35) were studied at neutral pH and 293 K. Aβ(25-35) monomers mainly adopt β-hairpin conformations characterized by a β-turn formed by residues G29 and A30, and a β-sheet between residues N27–K28 and I31–I32 in equilibrium with coiled conformations. The β-hairpin conformations served as initial configurations to model spontaneous aggregation of Aβ(25-35). As expected, within the Aβ(25-35) dimer and trimer ensembles many different poorly populated conformations appear. Nevertheless, we were able to distinguish between disordered and fibril-like oligomers. Whereas disordered oligomers are rather compact with few intermolecular hydrogen bonds (HBs), fibril-like oligomers are characterized by the formation of large intermolecular β-sheets. In most of the fibril-like dimers and trimers individual peptides are fully extended forming in- or out-of-register antiparallel β-sheets. A small amount of fibril-like trimers contained V-shaped peptides forming parallel β-sheets. The dimensions of extended and V-shaped oligomers correspond well to the diameters of two distinct morphologies found for Aβ(25-35) fibrils. The transition from disordered to fibril-like Aβ(25-35) dimers is unfavorable but driven by energy. The lower energy of fibril-like dimers arises from favorable intermolecular HBs and other electrostatic interactions which compete with a loss in entropy. Approximately 25 % of the entropic cost correspond to configurational entropy. The rest relates to solvent entropy, presumably caused by hydrophobic and electrostatic effects. In contrast to the transition towards fibril-like dimers the first step of aggregation is driven by entropy. Here, we compared structural and thermodynamic properties of the individual monomer, dimer and trimer ensembles to gain qualitative information about the aggregation process. The β-hairpin conformation observed for monomers is successively dissolved in dimer and trimer ensembles while instead intermolecular β-sheets are formed. As expected upon aggregation the configurational entropy decreases. Additionally, the solvent accessible surface area (SASA), especially the hydrophobic SASA, decreases yielding a favorable solvation free energy which overcompensates the loss in configurational entropy. In summary, the hydrophobic effect, possibly combined with electrostatic effects, yields an increase in solvent entropy which is believed to be one major driving force towards aggregation. Spontaneous folding of the Aβ(10-35)-NH2 monomer was modeled using two force fields, GROMOS96 43a1 and OPLS/AA, and compared to primary NMR data collected at pH 5.6 and 283 K taken from the literature. Unexpectedly, the two force fields yielded significantly different main conformations. Comparison between experimental and calculated nuclear Overhauser effect (NOE) distances is not sufficient to distinguish between the different force fields. Additionally, the comparison with scalar coupling constants suggest that the chosen protonation in both simulations corresponds to a pH lower than in the experiment. Based on this analysis we were unable to determine which force field yields a better description of this system. Dimerization of Aβ(10-35)-NH2 was studied at neutral pH and 300 K. Dimer conformations arrange in many distinct, poorly populated and rather complex alignments or interlocking patterns which are rather stabilized by side chain interactions than by specific intermolecular hydrogen bonds. Similar to Aβ(25-35) dimers, transition towards β-sheet-rich, fibril-like Aβ(10-35) dimers is driven by energy competing with a loss in entropy. Here, transition is mediated by favorable peptide-solvent and solvent-solvent interactions mainly arising from electrostatic interactions. N2 - Die Aggregation des Amyloid β (Aβ) Peptids zu Amyloidfibrillen wird mit dem Ausbruch der Alzheimer Krankheit in Verbindung gebracht. Die toxische Wirkung auf Zellen wird vor allem den zeitigen Intermediaten in Form von löslichen Oligomeren zugeschrieben. Aufgrund deren ungeordneter und flüchtiger Natur kann die molekulare Struktur solcher zeitigen Oligomere oft experimentell nicht aufgelöst werden. In der vorliegenden Arbeit wurden aufwendige atomistische Replica-Exchange-Molekulardynamik-Simulationen durchgeführt, um die molekulare Struktur von Monomeren und Oligomeren der Fragmente Aβ(25-35) und Aβ(10-35)-NH2 in Wasser zu untersuchen. Die Faltung und Aggregation von Aβ(25-35) wurde bei neutralem pH und 293 K untersucht. Monomere dieses Fragments bilden hauptsächlich β-Haarnadelkonformationen im Gleichgewicht mit Knäulstrukturen. Innerhalb der β-Haarnadelkonformationen bilden die Residuen G29 und A30 einen β-turn, während N27–K28 and I31–I32 ein β-Faltblatt bilden. Diese β-Haarnadelkonformationen bildeten den Ausgangspunkt zur Modellierung spontaner Aggregation. Wie zu erwarten, bilden sich eine Vielzahl verschiedener, gering besetzter Dimer- und Trimerkonformationen. Mit Hilfe einer gröberen Einteilung können diese in ungeordnete und fibrillähnliche Oligomere unterteilt werden. Ungeordnete Oligomere bilden kompakte Strukturen, die nur durch wenige intermolekulare Wasserstoffbrückenbindungen (HBB) stabilisiert sind. Typisch für fibrillähnliche Oligomere ist hingegen die Ausbildung großer intermolekularer β-Faltblätter. In vielen dieser Oligomere finden wir antiparallele, in- oder out-of-register β-Faltblätter gebildet durch vollständig ausgestreckte Peptide. Ein kleiner Teil der fibrillähnlichen Trimere bildet parallele, V-förmige β-Faltblätter. Die Ausdehnungen ausgestreckter und V-förmiger Oligomere entspricht in etwa den Durchmessern von zwei verschiedenen, experimentell gefundenen Fibrillmorphologien für Aβ(25-35). Die Umwandlung von ungeordneten zu fibrillähnlichen Aβ(25-35) Dimeren ist energetisch begünstigt, läuft aber nicht freiwillig ab. Fibrillähnliche Dimere haben eine geringere Energie aufgrund günstiger Peptidwechselwirkungen (HBB, Salzbrücken), welche durch den Verlust an Entropie kompensiert wird. Etwa 25 % entsprechen dem Verlust an Konfigurationsentropie. Der restliche Anteil wird einem Verlust an Lösungsmittelentropie aufgrund von hydrophoben und elektrostatischen Effekten zugesprochen. Im Gegensatz zur Umwandlung in fibrillähnliche Dimere, ist die Assoziation von Monomeren oder Oligomeren entropisch begünstigt. Beim Vergleich thermodynamischer Eigenschaften der Monomer-, Dimer- und Trimersysteme zeigt sich im Verlauf der Aggregation, wie erwartet, eine Abnahme der Konfigurationsentropie. Zusätzlich nimmt die dem Lösungsmittel zugängliche Oberfläche (SASA), insbesondere die hydrophobe SASA, ab. In Verbindung damit beobachten wir eine Abnahme der freien Solvatisierungsenergie, welche den Verlust an Konfigurationsentropie kompensiert. Mit anderen Worten, der hydrophobe Effekt in Kombination mit elektrostatischen Wechselwirkungen führt zu einem Ansteigen der Lösungsmittelentropie und begünstigt damit die Aggegation. Die spontane Faltung des Aβ(10-35)-NH2 Monomers wurde für zwei verschiedene Proteinkraftfelder, GROMOS96 43a1 und OPLS/AA, untersucht und mit primären NMR-Daten aus der Literatur, gemessen bei pH 5.6 und 283 K, verglichen. Beide Kraftfelder generieren unterschiedliche Hauptkonformationen. Der Vergleich zwischen experimentellen und berechneten Kern-Overhauser-Effekt (NOE) Abständen ist nicht ausreichend, um zwischen beiden Kraftfeldern zu unterscheiden. Der Vergleich mit Kopplungskonstanten aus Experiment und Simulation zeigt, dass beide Simulationen einem pH-Wert geringer als 5.6 ensprechen. Basierend auf den bisherigen Ergebnissen können wir nicht entscheiden, welches Kraftfeld eine bessere Beschreibung für dieses System liefert. Die Dimerisierung von Aβ(10-35)-NH2 wurde bei neutralem pH und 300 K untersucht. Wir finden eine Vielzahl verschiedener, gering besetzter Dimerstrukturen, welche eher durch Seitenkettenkontakte als durch spezifische HBB stabilisiert sind. Wie bei den Aβ(25-35) Dimeren, ist die Umwandlung zu β-Faltblattreichen, fibrillähnlichen Aβ(10-35) Dimeren energetisch begünstigt, konkurriert aber mit einem Entropieverlust. Die Umwandlung wird in diesem Fall durch elektrostatische Wechselwirkungen zwischen Peptid und Lösungsmittel und innerhalb des Lösungsmittels bestimmt. KW - Amyloid beta KW - Proteinaggregation KW - Alzheimer KW - Molekulardynamik-Simulation KW - Thermodynamische Stabilität KW - amyloid beta KW - protein aggregation KW - Alzheimer KW - molecular dynamics simulation KW - thermodynamic stability Y1 - 2011 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-53570 ER - TY - JOUR A1 - Rivnay, Jonathan A1 - Steyrleuthner, Robert A1 - Jimison, Leslie H. A1 - Casadei, Alberto A1 - Chen, Zhihua A1 - Toney, Michael F. A1 - Facchetti, Antonio A1 - Neher, Dieter A1 - Salleo, Alberto T1 - Drastic control of texture in a high performance n-Type polymeric semiconductor and implications for charge transport JF - Macromolecules : a publication of the American Chemical Society N2 - Control of crystallographic texture from mostly face-on to edge-on is observed for the film morphology of the n-type semicrystalline polymer [N,N-9-bis(2-octyldodecyl)naphthalene-1,4,5,8-bis(dicarboximide)-2,6-diy1]alt-5,59-(2,29-bithiophene)}, P(NDI2OD-T2), when annealing the film to the polymer melting point followed by slow cooling to ambient temperature. A variety of X-ray diffraction analyses, including pole figure construction and Fourier transform peak shape deconvolution, are employed to quantify the texture change, relative degree of crystallinity and lattice order. We find that annealing the polymer film to the melt leads to a shift from 77.5% face-on to 94.6% edge-on lamellar texture as well as to a 2-fold increase in crystallinity and a 40% decrease in intracrystallite cumulative disorder. The texture change results in a significant drop in the electron-only diode current density through the film thickness upon melt annealing while little change is observed in the in-plane transport of bottom gated thin film transistors. This suggests that the texture change is prevalent in the film interior and that either the (bottom) surface structure is different from the interior structure or the intracrystalline order and texture play a secondary role in transistor transport for this material. Y1 - 2011 U6 - https://doi.org/10.1021/ma200864s SN - 0024-9297 VL - 44 IS - 13 SP - 5246 EP - 5255 PB - American Chemical Society CY - Washington ER - TY - JOUR A1 - Tschöpe, Okka A1 - Wallschläger, Hans-Dieter A1 - Burkart, Michael A1 - Tielbörger, Katja T1 - Managing open habitats by wild ungulate browsing and grazing a case-study in North-Eastern Germany JF - Applied vegetation science : official organ of the International Association for Vegetation Science N2 - Question: Can wild ungulates efficiently maintain and restore open habitats? Location: Brandenburg, NE Germany. Methods: The effect of wild ungulate grazing and browsing was studied in three successional stages: (1) Corynephorus canescens-dominated grassland; (2) ruderal tall forb vegetation dominated by Tanacetum vulgare; and (3) Pinus sylvestris-pioneer forest. The study was conducted over 3 yr. In each successional stage, six paired 4 m(2)-monitoring plots of permanently grazed versus ungrazed plots were arranged in three random blocks. Removal of grazing was introduced de novo for the study. In each plot, percentage cover of each plant and lichen species and total cover of woody plants was recorded. Results: Wild ungulates considerably affected successional pathways and species composition in open habitats but this influence became evident in alteration of abundances of only a few species. Grazing effects differed considerably between successional stages: species richness was higher in grazed versus ungrazed ruderal and pioneer forest plots, but not in the Corynephorus sites. Herbivory affected woody plant cover only in the Pioneer forest sites. Although the study period was too short to observe drastic changes in species richness and woody plant cover, notable changes in species composition were still detected in all successional stages. Conclusion: Wild ungulate browsing is a useful tool to inhibit encroachment of woody vegetation and to conserve a species-rich, open landscape. KW - Conservation KW - Red deer KW - Fallow deer KW - Succession KW - Species richness KW - Woody plant Y1 - 2011 U6 - https://doi.org/10.1111/j.1654-109X.2010.01119.x SN - 1402-2001 VL - 14 IS - 2 SP - 200 EP - 209 PB - Wiley-Blackwell CY - Hoboken ER - TY - JOUR A1 - Donges, Jonathan A1 - Donner, Reik Volker A1 - Rehfeld, Kira A1 - Marwan, Norbert A1 - Trauth, Martin H. A1 - Kurths, Jürgen T1 - Identification of dynamical transitions in marine palaeoclimate records by recurrence network analysis JF - Nonlinear processes in geophysics N2 - The analysis of palaeoclimate time series is usually affected by severe methodological problems, resulting primarily from non-equidistant sampling and uncertain age models. As an alternative to existing methods of time series analysis, in this paper we argue that the statistical properties of recurrence networks - a recently developed approach - are promising candidates for characterising the system's nonlinear dynamics and quantifying structural changes in its reconstructed phase space as time evolves. In a first order approximation, the results of recurrence network analysis are invariant to changes in the age model and are not directly affected by non-equidistant sampling of the data. Specifically, we investigate the behaviour of recurrence network measures for both paradigmatic model systems with non-stationary parameters and four marine records of long-term palaeoclimate variations. We show that the obtained results are qualitatively robust under changes of the relevant parameters of our method, including detrending, size of the running window used for analysis, and embedding delay. We demonstrate that recurrence network analysis is able to detect relevant regime shifts in synthetic data as well as in problematic geoscientific time series. This suggests its application as a general exploratory tool of time series analysis complementing existing methods. Y1 - 2011 U6 - https://doi.org/10.5194/npg-18-545-2011 SN - 1023-5809 VL - 18 IS - 5 SP - 545 EP - 562 PB - Copernicus CY - Göttingen ER - TY - JOUR A1 - Ilnytskyi, Jaroslav M. A1 - Neher, Dieter A1 - Saphiannikova, Marina T1 - Opposite photo-induced deformations in azobenzene-containing polymers with different molecular architecture molecular dynamics study JF - The journal of chemical physics : bridges a gap between journals of physics and journals of chemistr N2 - Photo-induced deformations in azobenzene-containing polymers (azo-polymers) are central to a number of applications, such as optical storage and fabrication of diffractive elements. The microscopic nature of the underlying opto-mechanical coupling is yet not clear. In this study, we address the experimental finding that the scenario of the effects depends on molecular architecture of the used azo-polymer. Typically, opposite deformations in respect to the direction of light polarization are observed for liquid crystalline and amorphous azo-polymers. In this study, we undertake molecular dynamics simulations of two different models that mimic these two types of azo-polymers. We employ hybrid force field modeling and consider only trans-isomers of azobenzene, represented as Gay-Berne sites. The effect of illumination on the orientation of the chromophores is considered on the level of orientational hole burning and emphasis is given to the resulting deformation of the polymer matrix. We reproduce deformations of opposite sign for the two models being considered here and discuss the relevant microscopic mechanisms in both cases. KW - amorphous state KW - light polarisation KW - liquid crystal polymers KW - molecular dynamics method KW - optical hole burning KW - photochemistry Y1 - 2011 U6 - https://doi.org/10.1063/1.3614499 SN - 0021-9606 VL - 135 IS - 4 PB - American Institute of Physics CY - Melville ER - TY - JOUR A1 - Kniepert, Juliane A1 - Schubert, Marcel A1 - Blakesley, James C. A1 - Neher, Dieter T1 - Photogeneration and recombination in P3HT/PCBM solar cells probed by time-delayed collection field experiments JF - The journal of physical chemistry letters N2 - Time-delayed collection field (TDCF) experiments are performed on bulk heterojunction solar cells comprised of a blend of poly(3-hexylthiophene) and [6,6]-phenyl C-71 butyric acid methyl ester. TDCF is analogous to a pump-probe experiment using optical excitation and an electrical probe with a resolution of < 100 ns. The number of free charge carriers extracted after a short delay is found to be independent of the electric field during illumination. Also, experiments performed with a variable delay between the optical excitation and the electrical probe do not reveal any evidence for the generation of charge via field-assisted dissociation of bound long-lived polaron pairs. Photocurrent transients are well fitted by computational drift diffusion simulations with only direct generation of free charge carriers. With increasing delay times between pump and probe, two loss mechanisms are identified; first, charge-carriers are swept out of the device by the internal electric field, and second, bimolecular recombination of the remaining carriers takes place with a reduced recombination coefficient. Y1 - 2011 U6 - https://doi.org/10.1021/jz200155b SN - 1948-7185 VL - 2 IS - 7 SP - 700 EP - 705 PB - American Chemical Society CY - Washington ER - TY - JOUR A1 - Kuehn, Sergei A1 - Pingel, Patrick A1 - Breusing, Markus A1 - Fischer, Thomas A1 - Stumpe, Joachim A1 - Neher, Dieter A1 - Elsaesser, Thomas T1 - High-Resolution Near-Field Optical Investigation of Crystalline Domains in Oligomeric PQT-12 Thin Films JF - Advanced functional materials N2 - The structure and morphology on different length scales dictate both the electrical and optical properties of organic semiconductor thin films. Using a combination of spectroscopic methods, including scanning near-field optical microscopy, we study the domain structure and packing quality of highly crystalline thin films of oligomeric PQT-12 with 100 nanometer spatial resolution. The pronounced optical anisotropy of these layers measured by polarized light microscopy facilitates the identification of regions with uniform molecular orientation. We find that a hierarchical order on three different length scales exists in these layers, made up of distinct well-ordered dichroic areas at the ten-micrometer-scale, which are sub-divided into domains with different molecular in-plane orientation. These serve as a template for the formation of smaller needle-like crystallites at the layer surface. A high degree of crystalline order is believed to be the cause of the rather high field-effect mobility of these layers of 10(-3) cm 2 V(-1) s(-1), whereas it is limited by the presence of domain boundaries at macroscopic distances. Y1 - 2011 U6 - https://doi.org/10.1002/adfm.201001978 SN - 1616-301X VL - 21 IS - 5 SP - 860 EP - 868 PB - Wiley-Blackwell CY - Malden ER - TY - JOUR A1 - Blakesley, James C. A1 - Neher, Dieter T1 - Relationship between energetic disorder and open-circuit voltage in bulk heterojunction organic solar cells JF - Physical review : B, Condensed matter and materials physics N2 - We simulate organic bulk heterojunction solar cells. The effects of energetic disorder are incorporated through a Gaussian or exponential model of density of states. Analytical models of open-circuit voltage (V(OC)) are derived from the splitting of quasi-Fermi potentials. Their predictions are backed up by more complex numerical device simulations including effects such as carrier-density-dependent charge-carrier mobilities. It is predicted that the V(OC) depends on: (1) the donor-acceptor energy gap; (2) charge-carrier recombination rates; (3) illumination intensity; (4) the contact work functions (if not in the pinning regime); and (5) the amount of energetic disorder. A large degree of energetic disorder, or a high density of traps, is found to cause significant reductions in V(OC). This can explain why V(OC) is often less than expected in real devices. Energetic disorder also explains the nonideal temperature and intensity dependence of V(OC) and the superbimolecular recombination rates observed in many real bulk heterojunction solar cells. Y1 - 2011 U6 - https://doi.org/10.1103/PhysRevB.84.075210 SN - 1098-0121 VL - 84 IS - 7 PB - American Physical Society CY - College Park ER - TY - JOUR A1 - Lange, Ilja A1 - Blakesley, James C. A1 - Frisch, Johannes A1 - Vollmer, Antje A1 - Koch, Norbert A1 - Neher, Dieter T1 - Band bending in conjugated polymer layers JF - Physical review letters N2 - We use the Kelvin probe method to study the energy-level alignment of four conjugated polymers deposited on various electrodes. Band bending is observed in all polymers when the substrate work function exceeds critical values. Through modeling, we show that the band bending is explained by charge transfer from the electrodes into a small density of states that extends several hundred meV into the band gap. The energetic spread of these states is correlated with charge-carrier mobilities, suggesting that the same states also govern charge transport in the bulk of these polymers. Y1 - 2011 U6 - https://doi.org/10.1103/PhysRevLett.106.216402 SN - 0031-9007 VL - 106 IS - 21 PB - American Physical Society CY - College Park ER - TY - JOUR A1 - Hundertmark, Michaela A1 - Dimova, Rumiana A1 - Lengefeld, Jan A1 - Seckler, Robert A1 - Hincha, Dirk K. T1 - The intrinsically disordered late embryogenesis abundant protein LEA18 from Arabidopsis thaliana modulates membrane stability through binding and folding JF - Biochimica et biophysica acta : Biomembranes N2 - Intrinsically disordered proteins (IDPs) constitute a substantial part of cellular proteomes. late embryogenesis abundant (LEA) proteins are mostly predicted to be IDPs associated with dehydration tolerance in many plant, animal and bacterial species. Their functions, however, are largely unexplored and also their structure and interactions with potential target molecules have only recently been experimentally investigated in a small number of proteins. Here, we report on the structure and interactions with membranes of the Pfam LEA_1 protein LEA18 from the higher plant Arabidopsis thaliana. This functionally uncharacterized positively charged protein specifically aggregated and destabilized negatively charged liposomes. Isothermal titration calorimetry showed binding of the protein to both charged and uncharged membranes. LEA18 alone was largely unstructured in solution. While uncharged membranes had no influence on the secondary structure of LEA18, the protein partially folded into beta-sheet structure in the presence of negatively charged liposomes. These data suggest that LEA18 does not function as a membrane stabilizing protein, as suggested for other LEA proteins. Instead, a possible function of LEA18 could be the composition-dependent modulation of membrane stability, e.g., during signaling or vesicle-mediated transport. KW - Intrinsically disordered protein KW - Late embryogenesis abundant protein KW - Membrane stability KW - Protein-membrane interaction KW - Protein folding Y1 - 2011 U6 - https://doi.org/10.1016/j.bbamem.2010.09.010 SN - 0005-2736 VL - 1808 IS - 1 SP - 446 EP - 453 PB - Elsevier CY - Amsterdam ER - TY - JOUR A1 - Popova, Antoaneta V. A1 - Hundertmark, Michaela A1 - Seckler, Robert A1 - Hincha, Dirk K. T1 - Structural transitions in the intrinsically disordered plant dehydration stress protein LEA7 upon drying are modulated by the presence of membranes JF - Biochimica et biophysica acta : Biomembranes N2 - Dehydration stress-related late embryogenesis abundant (LEA) proteins have been found in plants, invertebrates and bacteria. Most LEA proteins are unstructured in solution, but some fold into amphipathic a-helices during drying. The Pfam LEA_4 (Group 3) protein LEA7 from the higher plant Arabidopsis thaliana was predicted to be 87% alpha-helical, while CD spectroscopy showed it to be largely unstructured in solution and only 35% alpha-helical in the dry state. However, the dry protein contained 15% beta-sheets. FTIR spectroscopy revealed the (beta-sheets to be largely due to aggregation. beta-Sheet content was reduced and alpha-helix content increased when LEA7 was dried in the presence of liposomes with secondary structure apparently influenced by lipid composition. Secondary structure was also affected by the presence of membranes in the fully hydrated state. A temperature-induced increase in the flexibility of the dry protein was also only observed in the presence of membranes. Functional interactions of LEA7 with membranes in the dry state were indicated by its influence on the thermotropic phase transitions of the lipids and interactions with the lipid headgroup phosphates. KW - Desiccation KW - CD spectroscopy KW - FTIR spectroscopy KW - LEA protein KW - Protein-membrane interactions KW - Protein secondary structure Y1 - 2011 U6 - https://doi.org/10.1016/j.bbamem.2011.03.009 SN - 0005-2736 VL - 1808 IS - 7 SP - 1879 EP - 1887 PB - Elsevier CY - Amsterdam ER - TY - JOUR A1 - Eichler, David A1 - Pohl, Martin T1 - Can ultrahigh-energy cosmic rays come from Gamma-ray bursts? - cosmic rays below the ankle and galactic gamma-ray bursts JF - The astrophysical journal : an international review of spectroscopy and astronomical physics ; Part 2, Letters N2 - The maximum cosmic-ray energy achievable by acceleration by a relativistic blast wave is derived. It is shown that forward shocks from long gamma-ray bursts (GRBs) in the interstellar medium accelerate protons to large enough energies, and have a sufficient energy budget, to produce the Galactic cosmic-ray component just below the ankle at 4 x 10(18) eV, as per an earlier suggestion. It is further argued that, were extragalactic long GRBs responsible for the component above the ankle as well, the occasional Galactic GRB within the solar circle would contribute more than the observational limits on the outward flux from the solar circle, unless an avoidance scenario, such as intermittency and/or beaming, allows the present-day local flux to be less than 10(-3) of the average. Difficulties with these avoidance scenarios are noted. KW - cosmic rays KW - galaxies: general KW - gamma-ray burst: general Y1 - 2011 U6 - https://doi.org/10.1088/2041-8205/738/2/L21 SN - 2041-8205 VL - 738 IS - 2 PB - IOP Publ. Ltd. CY - Bristol ER - TY - JOUR A1 - Mizuno, Yosuke A1 - Pohl, Martin A1 - Niemiec, Jacek A1 - Zhang, Bing A1 - Nishikawa, Ken-Ichi A1 - Hardee, Philip E. T1 - Magnetic-field amplification by turbulence in a relativistic shockpropagating through an inhomogeneous medium JF - The astrophysical journal : an international review of spectroscopy and astronomical physics N2 - We perform two-dimensional relativistic magnetohydrodynamic simulations of a mildly relativistic shock propagating through an inhomogeneous medium. We show that the postshock region becomes turbulent owing to preshock density inhomogeneity, and the magnetic field is strongly amplified due to the stretching and folding of field lines in the turbulent velocity field. The amplified magnetic field evolves into a filamentary structure in two-dimensional simulations. The magnetic energy spectrum is flatter than the Kolmogorov spectrum and indicates that a so-called small-scale dynamo is occurring in the postshock region. We also find that the amount of magnetic-field amplification depends on the direction of the mean preshock magnetic field, and the timescale of magnetic-field growth depends on the shock strength. KW - gamma-ray burst: general KW - magnetohydrodynamics (MHD) KW - methods: numerical KW - relativistic processes KW - shock waves KW - turbulence Y1 - 2011 U6 - https://doi.org/10.1088/0004-637X/726/2/62 SN - 0004-637X VL - 726 IS - 2 PB - IOP Publ. Ltd. CY - Bristol ER - TY - JOUR A1 - Pohl, Martin A1 - Eichler, David T1 - Origin of ultra-high-energy galactic cosmic rays the isotropy problem JF - The astrophysical journal : an international review of spectroscopy and astronomical physics N2 - We study the propagation of ultra-high-energy cosmic rays (UHECRs) in the Galaxy, concentrating on the energy range below the ankle in the spectrum at 4 EeV. A Monte Carlo method, based on analytical solutions to the time-dependent diffusion problem, is used to account for intermittency by placing sources at random locations. Assuming a source population that scales with baryon mass density or star formation (e.g., long GRB), we derive constraints arising from intermittency and the observational limits on the composition and anisotropy. It is shown that the composition and anisotropy at 10(18) eV are difficult to reproduce and require that either (1) the particle mean free path is much smaller than a gyroradius, implying the escape time is very long, (2) the composition is heavier than suggested by recent Auger data, (3) the ultra-high-energy sub-ankle component is mostly extragalactic, or (4) we are living in a rare lull in the UHECR production, and the current UHECR intensity is far below the Galactic time average. We therefore recommend a strong observational focus on determining the UHECR composition around 10(18) eV. KW - cosmic rays KW - gamma-ray burst: general Y1 - 2011 U6 - https://doi.org/10.1088/0004-637X/742/2/114 SN - 0004-637X VL - 742 IS - 2 PB - IOP Publ. Ltd. CY - Bristol ER - TY - JOUR A1 - Abdo, A. A. A1 - Ackermann, Margit A1 - Ajello, M. A1 - Allafort, A. J. A1 - Baldini, L. A1 - Ballet, J. A1 - Barbiellini, G. A1 - Baring, M. G. A1 - Bastieri, D. A1 - Bellazzini, R. A1 - Berenji, B. A1 - Blandford, R. D. A1 - Bloom, E. D. A1 - Bonamente, E. A1 - Borgland, A. W. A1 - Bouvier, A. A1 - Brandt, T. J. A1 - Bregeon, Johan A1 - Brigida, M. A1 - Bruel, P. A1 - Buehler, R. A1 - Buson, S. A1 - Caliandro, G. A. A1 - Cameron, R. A. A1 - Caraveo, P. A. A1 - Casandjian, J. M. A1 - Cecchi, C. A1 - Chaty, S. A1 - Chekhtman, A. A1 - Cheung, C. C. A1 - Chiang, J. A1 - Cillis, A. N. A1 - Ciprini, S. A1 - Claus, R. A1 - Cohen-Tanugi, J. A1 - Conrad, Jan A1 - Corbel, S. A1 - Cutini, S. A1 - de Angelis, A. A1 - de Palma, F. A1 - Dermer, C. D. A1 - Digel, S. W. A1 - do Couto e Silva, E. A1 - Drell, P. S. A1 - Drlica-Wagner, A. A1 - Dubois, R. A1 - Dumora, D. A1 - Favuzzi, C. A1 - Ferrara, E. C. A1 - Fortin, P. A1 - Frailis, M. A1 - Fukazawa, Y. A1 - Fukui, Y. A1 - Funk, S. A1 - Fusco, P. A1 - Gargano, F. A1 - Gasparrini, D. A1 - Gehrels, N. A1 - Germani, S. A1 - Giglietto, N. A1 - Giordano, F. A1 - Giroletti, M. A1 - Glanzman, T. A1 - Godfrey, G. A1 - Grenier, I. A. A1 - Grondin, M. -H. A1 - Guiriec, S. A1 - Hadasch, D. A1 - Hanabata, Y. A1 - Harding, A. K. A1 - Hayashida, M. A1 - Hayashi, K. A1 - Hays, E. A1 - Horan, D. A1 - Jackson, M. S. A1 - Johannesson, G. A1 - Johnson, A. S. A1 - Kamae, T. A1 - Katagiri, H. A1 - Kataoka, J. A1 - Kerr, M. A1 - Knoedlseder, J. A1 - Kuss, M. A1 - Lande, J. A1 - Latronico, L. A1 - Lee, S. -H. A1 - Lemoine-Goumard, M. A1 - Longo, F. A1 - Loparco, F. A1 - Lovellette, M. N. A1 - Lubrano, P. A1 - Madejski, G. M. A1 - Makeev, A. A1 - Mazziotta, Mario Nicola A1 - McEnery, J. E. A1 - Michelson, P. F. A1 - Mignani, R. P. A1 - Mitthumsiri, W. A1 - Mizuno, T. A1 - Moiseev, A. A. A1 - Monte, C. A1 - Monzani, M. E. A1 - Morselli, A. A1 - Moskalenko, I. V. A1 - Murgia, S. A1 - Naumann-Godo, M. A1 - Nolan, P. L. A1 - Norris, J. P. A1 - Nuss, E. A1 - Ohsugi, T. A1 - Okumura, A. A1 - Orlando, E. A1 - Ormes, J. F. A1 - Paneque, D. A1 - Parent, D. A1 - Pelassa, V. A1 - Pesce-Rollins, M. A1 - Pierbattista, M. A1 - Piron, F. A1 - Pohl, Martin A1 - Porter, T. A. A1 - Raino, S. A1 - Rando, R. A1 - Razzano, M. A1 - Reimer, O. A1 - Reposeur, T. A1 - Ritz, S. A1 - Romani, R. W. A1 - Roth, M. A1 - Sadrozinski, H. F. -W. A1 - Parkinson, P. M. Saz A1 - Sgro, C. A1 - Smith, D. A. A1 - Smith, P. D. A1 - Spandre, G. A1 - Spinelli, P. A1 - Strickman, M. S. A1 - Tajima, H. A1 - Takahashi, H. A1 - Takahashi, T. A1 - Tanaka, T. A1 - Thayer, J. G. A1 - Thayer, J. B. A1 - Thompson, D. J. A1 - Tibaldo, L. A1 - Tibolla, O. A1 - Torres, D. F. A1 - Tosti, G. A1 - Tramacere, A. A1 - Troja, E. A1 - Uchiyama, Y. A1 - Vandenbroucke, J. A1 - Vasileiou, V. A1 - Vianello, G. A1 - Vilchez, N. A1 - Vitale, V. A1 - Waite, A. P. A1 - Wang, P. A1 - Winer, B. L. A1 - Wood, K. S. A1 - Yamamoto, H. A1 - Yamazaki, R. A1 - Yang, Z. A1 - Ziegler, M. T1 - Observations of the young supernova remnant RX J1713.7-3946 with the fermi large area telescope JF - The astrophysical journal : an international review of spectroscopy and astronomical physics N2 - We present observations of the young supernova remnant (SNR) RX J1713.7-3946 with the Fermi Large Area Telescope (LAT). We clearly detect a source positionally coincident with the SNR. The source is extended with a best-fit extension of 0 degrees.55 +/- 0 degrees.04 matching the size of the non-thermal X-ray and TeV gamma-ray emission from the remnant. The positional coincidence and the matching extended emission allow us to identify the LAT source with SNR RX J1713.7-3946. The spectrum of the source can be described by a very hard power law with a photon index of Gamma = 1.5 +/- 0.1 that coincides in normalization with the steeper H. E. S. S.-detected gamma-ray spectrum at higher energies. The broadband gamma-ray emission is consistent with a leptonic origin as the dominant mechanism for the gamma-ray emission. KW - acceleration of particles KW - gamma rays: general KW - gamma rays: ISM KW - ISM: individual objects (RX J1713.7-3946) KW - ISM: supernova remnants KW - radiation mechanisms: non-thermal Y1 - 2011 U6 - https://doi.org/10.1088/0004-637X/734/1/28 SN - 0004-637X VL - 734 IS - 1 PB - IOP Publ. Ltd. CY - Bristol ER - TY - JOUR A1 - Acciari, V. A. A1 - Aliu, E. A1 - Arlen, T. A1 - Aune, T. A1 - Beilicke, M. A1 - Benbow, W. A1 - Bradbury, S. M. A1 - Buckley, J. H. A1 - Bugaev, V. A1 - Byrum, K. A1 - Cannon, A. A1 - Cesarini, A. A1 - Ciupik, L. A1 - Collins-Hughes, E. A1 - Connolly, M. P. A1 - Cui, W. A1 - Dickherber, R. A1 - Duke, C. A1 - Errando, M. A1 - Falcone, A. A1 - Finley, J. P. A1 - Finnegan, G. A1 - Fortson, L. A1 - Furniss, A. A1 - Galante, N. A1 - Gall, D. A1 - Gillanders, G. H. A1 - Godambe, S. A1 - Griffin, S. A1 - Grube, J. A1 - Guenette, R. A1 - Gyuk, G. A1 - Hanna, D. A1 - Holder, J. A1 - Hughes, G. A1 - Hui, C. M. A1 - Humensky, T. B. A1 - Kaaret, P. A1 - Karlsson, N. A1 - Kertzman, M. A1 - Kieda, D. A1 - Krawczynski, H. A1 - Krennrich, F. A1 - Lang, M. J. A1 - LeBohec, S. A1 - Maier, G. A1 - Majumdar, P. A1 - McArthur, S. A1 - McCann, A. A1 - Moriarty, P. A1 - Mukherjee, R. A1 - Ong, R. A. A1 - Orr, M. A1 - Otte, A. N. A1 - Park, N. A1 - Perkins, J. S. A1 - Pohl, Martin A1 - Prokoph, H. A1 - Quinn, J. A1 - Ragan, K. A1 - Reyes, L. C. A1 - Reynolds, P. T. A1 - Roache, E. A1 - Rose, H. J. A1 - Ruppel, J. A1 - Saxon, D. B. A1 - Schroedter, M. A1 - Sembroski, G. H. A1 - Senturk, G. D. A1 - Smith, A. W. A1 - Staszak, D. A1 - Tesic, G. A1 - Theiling, M. A1 - Thibadeau, S. A1 - Tsurusaki, K. A1 - Varlotta, A. A1 - Vassiliev, V. V. A1 - Vincent, S. A1 - Vivier, M. A1 - Wakely, S. P. A1 - Ward, J. E. A1 - Weekes, T. C. A1 - Weinstein, A. A1 - Weisgarber, T. A1 - Williams, D. A. A1 - Zitzer, B. T1 - VERITAS OBSERVATIONS OF THE TeV BINARY LS I+61 degrees 303 DURING 2008-2010 JF - The astrophysical journal : an international review of spectroscopy and astronomical physics N2 - We present the results of observations of the TeV binary LS I + 61 degrees 303 with the VERITAS telescope array between 2008 and 2010, at energies above 300 GeV. In the past, both ground-based gamma-ray telescopes VERITAS and MAGIC have reported detections of TeV emission near the apastron phases of the binary orbit. The observations presented here show no strong evidence for TeV emission during these orbital phases; however, during observations taken in late 2010, significant emission was detected from the source close to the phase of superior conjunction (much closer to periastron passage) at a 5.6 standard deviation (5.6 sigma) post-trials significance. In total, between 2008 October and 2010 December a total exposure of 64.5 hr was accumulated with VERITAS on LS I + 61 degrees 303, resulting in an excess at the 3.3 sigma significance level for constant emission over the entire integrated data set. The flux upper limits derived for emission during the previously reliably active TeV phases (i.e., close to apastron) are less than 5% of the Crab Nebula flux in the same energy range. This result stands in apparent contrast to previous observations by both MAGIC and VERITAS which detected the source during these phases at 10% of the Crab Nebula flux. During the two year span of observations, a large amount of X-ray data were also accrued on LS I + 61 degrees 303 by the Swift X-ray Telescope and the Rossi X-ray Timing Explorer Proportional Counter Array. We find no evidence for a correlation between emission in the X-ray and TeV regimes during 20 directly overlapping observations. We also comment on data obtained contemporaneously by the Fermi Large Area Telescope. KW - binaries: general KW - gamma rays: general KW - X-rays: binaries Y1 - 2011 U6 - https://doi.org/10.1088/0004-637X/738/1/3 SN - 0004-637X VL - 738 IS - 1 PB - IOP Publ. Ltd. CY - Bristol ER - TY - THES A1 - Wang, Long T1 - X-tracking the usage interest on web sites T1 - X-tracking des Nutzungsinteresses für Webseiten N2 - The exponential expanding of the numbers of web sites and Internet users makes WWW the most important global information resource. From information publishing and electronic commerce to entertainment and social networking, the Web allows an inexpensive and efficient access to the services provided by individuals and institutions. The basic units for distributing these services are the web sites scattered throughout the world. However, the extreme fragility of web services and content, the high competence between similar services supplied by different sites, and the wide geographic distributions of the web users drive the urgent requirement from the web managers to track and understand the usage interest of their web customers. This thesis, "X-tracking the Usage Interest on Web Sites", aims to fulfill this requirement. "X" stands two meanings: one is that the usage interest differs from various web sites, and the other is that usage interest is depicted from multi aspects: internal and external, structural and conceptual, objective and subjective. "Tracking" shows that our concentration is on locating and measuring the differences and changes among usage patterns. This thesis presents the methodologies on discovering usage interest on three kinds of web sites: the public information portal site, e-learning site that provides kinds of streaming lectures and social site that supplies the public discussions on IT issues. On different sites, we concentrate on different issues related with mining usage interest. The educational information portal sites were the first implementation scenarios on discovering usage patterns and optimizing the organization of web services. In such cases, the usage patterns are modeled as frequent page sets, navigation paths, navigation structures or graphs. However, a necessary requirement is to rebuild the individual behaviors from usage history. We give a systematic study on how to rebuild individual behaviors. Besides, this thesis shows a new strategy on building content clusters based on pair browsing retrieved from usage logs. The difference between such clusters and the original web structure displays the distance between the destinations from usage side and the expectations from design side. Moreover, we study the problem on tracking the changes of usage patterns in their life cycles. The changes are described from internal side integrating conceptual and structure features, and from external side for the physical features; and described from local side measuring the difference between two time spans, and global side showing the change tendency along the life cycle. A platform, Web-Cares, is developed to discover the usage interest, to measure the difference between usage interest and site expectation and to track the changes of usage patterns. E-learning site provides the teaching materials such as slides, recorded lecture videos and exercise sheets. We focus on discovering the learning interest on streaming lectures, such as real medias, mp4 and flash clips. Compared to the information portal site, the usage on streaming lectures encapsulates the variables such as viewing time and actions during learning processes. The learning interest is discovered in the form of answering 6 questions, which covers finding the relations between pieces of lectures and the preference among different forms of lectures. We prefer on detecting the changes of learning interest on the same course from different semesters. The differences on the content and structure between two courses leverage the changes on the learning interest. We give an algorithm on measuring the difference on learning interest integrated with similarity comparison between courses. A search engine, TASK-Moniminer, is created to help the teacher query the learning interest on their streaming lectures on tele-TASK site. Social site acts as an online community attracting web users to discuss the common topics and share their interesting information. Compared to the public information portal site and e-learning web site, the rich interactions among users and web content bring the wider range of content quality, on the other hand, provide more possibilities to express and model usage interest. We propose a framework on finding and recommending high reputation articles in a social site. We observed that the reputation is classified into global and local categories; the quality of the articles having high reputation is related with the content features. Based on these observations, our framework is implemented firstly by finding the articles having global or local reputation, and secondly clustering articles based on their content relations, and then the articles are selected and recommended from each cluster based on their reputation ranks. N2 - Wegen des exponentiellen Ansteigens der Anzahl an Internet-Nutzern und Websites ist das WWW (World Wide Web) die wichtigste globale Informationsressource geworden. Das Web bietet verschiedene Dienste (z. B. Informationsveröffentlichung, Electronic Commerce, Entertainment oder Social Networking) zum kostengünstigen und effizienten erlaubten Zugriff an, die von Einzelpersonen und Institutionen zur Verfügung gestellt werden. Um solche Dienste anzubieten, werden weltweite, vereinzelte Websites als Basiseinheiten definiert. Aber die extreme Fragilität der Web-Services und -inhalte, die hohe Kompetenz zwischen ähnlichen Diensten für verschiedene Sites bzw. die breite geographische Verteilung der Web-Nutzer treiben einen dringenden Bedarf für Web-Manager und das Verfolgen und Verstehen der Nutzungsinteresse ihrer Web-Kunden. Die Arbeit zielt darauf ab, dass die Anforderung "X-tracking the Usage Interest on Web Sites" erfüllt wird. "X" hat zwei Bedeutungen. Die erste Bedeutung ist, dass das Nutzungsinteresse von verschiedenen Websites sich unterscheidet. Außerdem stellt die zweite Bedeutung dar, dass das Nutzungsinteresse durch verschiedene Aspekte (interne und externe, strukturelle und konzeptionelle) beschrieben wird. Tracking zeigt, dass die Änderungen zwischen Nutzungsmustern festgelegt und gemessen werden. Die Arbeit eine Methodologie dar, um das Nutzungsinteresse gekoppelt an drei Arten von Websites (Public Informationsportal-Website, E-Learning-Website und Social-Website) zu finden. Wir konzentrieren uns auf unterschiedliche Themen im Bezug auf verschieden Sites, die mit Usage-Interest-Mining eng verbunden werden. Education Informationsportal-Website ist das erste Implementierungsscenario für Web-Usage-Mining. Durch das Scenario können Nutzungsmuster gefunden und die Organisation von Web-Services optimiert werden. In solchen Fällen wird das Nutzungsmuster als häufige Pagemenge, Navigation-Wege, -Strukturen oder -Graphen modelliert. Eine notwendige Voraussetzung ist jedoch, dass man individuelle Verhaltensmuster aus dem Verlauf der Nutzung (Usage History) wieder aufbauen muss. Deshalb geben wir in dieser Arbeit eine systematische Studie zum Nachempfinden der individuellen Verhaltensweisen. Außerdem zeigt die Arbeit eine neue Strategie, dass auf Page-Paaren basierten Content-Clustering aus Nutzungssite aufgebaut werden. Der Unterschied zwischen solchen Clustern und der originalen Webstruktur ist der Abstand zwischen Zielen der Nutzungssite und Erwartungen der Designsite. Darüber hinaus erforschen wir Probleme beim Tracking der Änderungen von Nutzungsmustern in ihrem Lebenszyklus. Die Änderungen werden durch mehrere Aspekte beschrieben. Für internen Aspekt werden konzeptionelle Strukturen und Funktionen integriert. Der externe Aspekt beschreibt physische Eigenschaften. Für lokalen Aspekt wird die Differenz zwischen zwei Zeitspannen gemessen. Der globale Aspekt zeigt Tendenzen der Änderung entlang des Lebenszyklus. Eine Plattform "Web-Cares" wird entwickelt, die die Nutzungsinteressen findet, Unterschiede zwischen Nutzungsinteresse und Website messen bzw. die Änderungen von Nutzungsmustern verfolgen kann. E-Learning-Websites bieten Lernmaterialien wie z.B. Folien, erfaßte Video-Vorlesungen und Übungsblätter an. Wir konzentrieren uns auf die Erfoschung des Lerninteresses auf Streaming-Vorlesungen z.B. Real-Media, mp4 und Flash-Clips. Im Vergleich zum Informationsportal Website kapselt die Nutzung auf Streaming-Vorlesungen die Variablen wie Schauzeit und Schautätigkeiten während der Lernprozesse. Das Lerninteresse wird erfasst, wenn wir Antworten zu sechs Fragen gehandelt haben. Diese Fragen umfassen verschiedene Themen, wie Erforschung der Relation zwischen Teilen von Lehrveranstaltungen oder die Präferenz zwischen den verschiedenen Formen der Lehrveranstaltungen. Wir bevorzugen die Aufdeckung der Veränderungen des Lerninteresses anhand der gleichen Kurse aus verschiedenen Semestern. Der Differenz auf den Inhalt und die Struktur zwischen zwei Kurse beeinflusst die Änderungen auf das Lerninteresse. Ein Algorithmus misst die Differenz des Lerninteresses im Bezug auf einen Ähnlichkeitsvergleich zwischen den Kursen. Die Suchmaschine „Task-Moniminer“ wird entwickelt, dass die Lehrkräfte das Lerninteresse für ihre Streaming-Vorlesungen über das Videoportal tele-TASK abrufen können. Social Websites dienen als eine Online-Community, in den teilnehmenden Web-Benutzern die gemeinsamen Themen diskutieren und ihre interessanten Informationen miteinander teilen. Im Vergleich zur Public Informationsportal-Website und E-Learning Website bietet diese Art von Website reichhaltige Interaktionen zwischen Benutzern und Inhalten an, die die breitere Auswahl der inhaltlichen Qualität bringen. Allerdings bietet eine Social-Website mehr Möglichkeiten zur Modellierung des Nutzungsinteresses an. Wir schlagen ein Rahmensystem vor, die hohe Reputation für Artikel in eine Social-Website empfiehlt. Unsere Beobachtungen sind, dass die Reputation in globalen und lokalen Kategorien klassifiziert wird. Außerdem wird die Qualität von Artikeln mit hoher Reputation mit den Content-Funktionen in Zusammenhang stehen. Durch die folgenden Schritte wird das Rahmensystem im Bezug auf die Überwachungen implementiert. Der erste Schritt ist, dass man die Artikel mit globalen oder lokalen Reputation findet. Danach werden Artikel im Bezug auf ihre Content-Relationen in jeder Kategorie gesammelt. Zum Schluß werden die ausgewählten Artikel aus jedem basierend auf ihren Reputation-Ranking Cluster empfohlen. KW - Tracking KW - Nutzungsinteresse KW - Webseite KW - Tracking KW - Usage Interest KW - Web Sites Y1 - 2011 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-51077 ER - TY - JOUR A1 - Pollatos, Olga A1 - Dietel, Anja A1 - Herbert, Beate M. A1 - Wankner, Sarah A1 - Wachsmuth, Cornelia A1 - Henningsen, Peter A1 - Sack, Martin T1 - Blunted autonomic reactivity and increased pain tolerance in somatoform patients JF - Pain : journal of the International Association for the Study of Pain N2 - Somatoform disorders are characterized by the presence of multiple somatic symptoms. Patients often experience different pain syndromes, and recent research suggests that sympathovagal balance is disturbed in somatoform patients, which could be related to alteration in pain sensitivity. This study analyzed how proposed sympathovagal imbalance interacts with objective pain assessment and the imagination of pain in somatoform disorders. Twenty-one patients (4 men) with diagnosed multisomatoform disorder were included in the study and matched to healthy control subjects. Autonomic measures and heart rate variability were assessed during baseline; pain perception was assessed by means of a pressure algometer and pain imagination. We found evidence for a sympathovagal imbalance in somatoform disorders characterized by low parasympathetic activation and high sympathetic activation during all conditions. Additionally, somatoform patients had reduced pain tolerance. Vagal withdrawal during pain assessment was more pronounced for healthy control subjects and correlated positively with assessed pain tolerance. During imagination somatoform, patients reported higher pain unpleasantness and higher pain intensity as compared to control subjects. We conclude that our data demonstrate an imbalance in sympathovagal activation and a hyposensitivity to pain tolerance stimuli in somatoform disorders. Parasympathetic reactivity might form crucial information when judging pain-associated affective-motivational components. Our results might be attributable to a deficient detection of visceral signals and might be a pathogenetic mechanism for the development of emotional difficulties and increased everyday vulnerability in somatoform patients. KW - Autonomic KW - Heart rate variability KW - Pain threshold KW - Pain tolerance KW - Response KW - Somatoform disorder KW - Sympathovagal balance Y1 - 2011 U6 - https://doi.org/10.1016/j.pain.2011.05.024 SN - 0304-3959 VL - 152 IS - 9 SP - 2157 EP - 2164 PB - Elsevier CY - Amsterdam ER - TY - JOUR A1 - Pollatos, Olga A1 - Werner, Natalie S. A1 - Duschek, Stefan A1 - Schandry, Rainer A1 - Matthias, Ellen A1 - Traut-Mattausch, Eva A1 - Herbert, Beate M. T1 - Differential effects of alexithymia subscales on autonomic reactivity and anxiety during social stress JF - Journal of psychosomatic research N2 - Objectives: Alexithymia is characterized by a difficulty in identifying and describing one's emotions. Recent research has associated differential effects of the alexithymia facets to hypothalamic pituitary adrenal (HPA) axis markers during stress. This study aimed to analyze how the facets of alexithymia interact with autonomic reactivity as well as self- and observer-rated anxiety during a social stress task. Methods: With the use of a public-speaking paradigm, skin conductance levels (SCLs) and heart rate (HR) during the defined periods of baseline, preparation, stress, and recovery were assessed in 60 volunteers (42 females, mean age 22.8) categorized as having either high (HDA) or low (LDA) degrees of alexithymia. Results: We found smaller SCLs during preparation and speech in the HDA group. Regression analyses indicated that only the alexithymia facet "difficulty in describing feelings" (DDF) was associated with smaller electrodermal responses. In the HDA group, self- and observer-rated anxiety was higher in the HDA than in the LDA group, which was attributable to higher scores in the subscales "difficulty in identifying feelings" (DIF) and "externally oriented thinking" (EOT). Conclusions: Our data support and specify the decoupling hypothesis of alexithymia by showing that the facets of alexithymia are differentially related to autonomic reactivity as well as self- and observer-rated anxiety during social stress. KW - Alexithymia KW - Autonomic response KW - Social stress KW - Skin conductance KW - Anxiety KW - Social performance KW - Decoupling hypothesis Y1 - 2011 U6 - https://doi.org/10.1016/j.jpsychores.2010.12.003 SN - 0022-3999 VL - 70 IS - 6 SP - 525 EP - 533 PB - Elsevier CY - Oxford ER - TY - JOUR A1 - Pollatos, Olga A1 - Herbert, Beate M. A1 - Wankner, Sarah A1 - Dietel, Anja A1 - Wachsmuth, Cornelia A1 - Henningsen, Peter A1 - Sack, Martin T1 - Autonomic imbalance is associated with reduced facial recognition in somatoform disorders JF - Journal of psychosomatic research N2 - Objectives: Somatoform disorders are characterized by the presence of multiple somatic symptoms. While the accuracy of perceiving bodily signal (interoceptive awareness) is only sparely investigated in somatoform disorders, recent research has associated autonomic imbalance with cognitive and emotional difficulties in stress-related diseases. This study aimed to investigate how sympathovagal reactivity interacts with performance in recognizing emotions in faces (facial recognition task). Methods: Using a facial recognition and appraisal task, skin conductance levels (SCLs), heart rate (HR) and heart rate variability (HRV) were assessed in 26 somatoform patients and compared to healthy controls. Interoceptive awareness was assessed by a heartbeat detection task. Results: We found evidence for a sympathovagal imbalance in somatoform disorders characterized by low parasympathetic reactivity during emotional tasks and increased sympathetic activation during baseline. Somatoform patients exhibited a reduced recognition performance for neutral and sad emotional expressions only. Possible confounding variables such as alexithymia, anxiety or depression were taken into account. Interoceptive awareness was reduced in somatoform patients. Conclusions: Our data demonstrate an imbalance in sympathovagal activation in somatoform disorders associated with decreased parasympathetic activation. This might account for difficulties in processing of sad and neutral facial expressions in somatoform patients which might be a pathogenic mechanism for increased everyday vulnerability. KW - Somatoform disorder KW - Interoceptive awareness KW - Facial recognition KW - Autonomic response KW - Heart rate variability Y1 - 2011 U6 - https://doi.org/10.1016/j.jpsychores.2011.03.012 SN - 0022-3999 VL - 71 IS - 4 SP - 232 EP - 239 PB - Elsevier CY - Oxford ER - TY - JOUR A1 - Herbert, Beate M. A1 - Herbert, Cornelia A1 - Pollatos, Olga T1 - On the relationship between interoceptive awareness and alexithymia - is interoceptive awareness related to emotional awareness? JF - Journal of personality N2 - Interoceptive awareness (IA) is associated with emotional experience, the processing of emotional stimuli, and activation of brain structures that monitor the internal visceral and emotional state of the organism. Alexithymia is characterized by difficulties in identifying and describing one's emotions and externally oriented thinking (EOT) and reflects impairments in emotional awareness and the regulation of emotions. This study examined the relationship between alexithymia and IA in a healthy population of N = 155 persons. A well-validated heartbeat perception task to measure interoceptive awareness, the Toronto Alexithymia Scale (TAS-20) and a depression questionnaire (BDI-2) were administered to 88 women and 67 men. IA was inversely associated with all features of alexithymia in the whole sample. When considering sex differences, IA turned out to be a relevant negative predictor for the EOT subscale only in men. This large sample investigation in a nonclinical population indicates that IA represents a relevant negative predictor for alexithymia. Y1 - 2011 U6 - https://doi.org/10.1111/j.1467-6494.2011.00717.x SN - 0022-3506 VL - 79 IS - 5 SP - 1149 EP - 1175 PB - Wiley-Blackwell CY - Malden ER - TY - JOUR A1 - Pollatos, Olga A1 - Gramann, Klaus T1 - Electrophysiological evidence of early processing deficits in alexithymia JF - Biological psychology N2 - Alexithymia describes difficulties to identify and describe one's emotions. Previous research focused on difficulties associated with the later processing stages of appraisal in alexithymia. We tested whether early processing deficits are apparent in alexithymic persons and whether these abnormalities contribute to later processing difficulties. 20 participants were selected and identified as either having high (HDA) or low (LDA) degrees of alexithymia. IAPS pictures were presented while EEG was recorded. For HDA subjects processing of emotional pictures was accompanied by reduced P1 amplitudes most pronounced for pleasant and neutral pictures. In response to unpleasant pictures the P3 amplitudes were reduced. These amplitude modulations were predicted only by one alexithymia facet. P1 amplitudes systematically covaried with P3 amplitudes supporting the assumption that deficits in early emotional processing contribute to later processing deficits. KW - Evoked potentials KW - Emotions KW - Alexithymia KW - Perceived arousal KW - Unpleasant stimuli KW - IAPS Y1 - 2011 U6 - https://doi.org/10.1016/j.biopsycho.2011.02.016 SN - 0301-0511 VL - 87 IS - 1 SP - 113 EP - 121 PB - Elsevier CY - Amsterdam ER - TY - THES A1 - Wang, Yongbo T1 - Late glacial to Holocene climate and vegetation changes on the Tibetan Plateau inferred from fossil pollen records in lacustrine sediments T1 - Pollenanalytische Ableitung der spätglazialen und holozänen Klima- und Vegetationsveränderungen auf dem tibetischen Hochland anhand von Seesedimenten N2 - The past climate in central Asia, and especially on the Tibetan Plateau (TP), is of great importance for an understanding of global climate processes and for predicting the future climate. As a major influence on the climate in this region, the Asian Summer Monsoon (ASM) and its evolutionary history are of vital importance for accurate predictions. However, neither the evolutionary pattern of the summer monsoon nor the driving mechanisms behind it are yet clearly understood. For this research, I first synthesized previously published Late Glacial to Holocene climatic records from monsoonal central Asia in order to extract the general climate signals and the associated summer monsoon intensities. New climate and vegetation sequences were then established using improved quantitative methods, focusing on fossil pollen records recovered from Tibetan lakes and also incorporating new modern datasets. The pollen-vegetation and vegetation-climate relationships on the TP were also evaluated in order to achieve a better understanding of fossil pollen records. The synthesis of previously published moisture-related palaeoclimate records in monsoonal central Asia revealed generally different temporal patterns for the two monsoonal subsystems, i.e. the Indian Summer Monsoon (ISM) and East Asian Summer Monsoon (EASM). The ISM appears to have experienced maximum wet conditions during the early Holocene, while many records from the area affected by the EASM indicate relatively dry conditions at that time, particularly in north-central China where the maximum moisture levels occurred during the middle Holocene. A detailed consideration of possible driving factors affecting the summer monsoon, including summer solar insolation and sea surface temperatures, revealed that the ISM was primarily driven by variations in northern hemisphere solar insolation, and that the EASM may have been constrained by the ISM resulting in asynchronous patterns of evolution for these two subsystems. This hypothesis is further supported by modern monsoon indices estimated using the NCEP/NCAR Reanalysis data from the last 50 years, which indicate a significant negative correlation between the two summer monsoon subsystems. By analogy with the early Holocene, intensification of the ISM during coming decades could lead to increased aridification elsewhere as a result of the asynchronous nature of the monsoon subsystems, as can already be observed in the meteorological data from the last 15 years. A quantitative climate reconstruction using fossil pollen records was achieved through analysis of sediment core recovered from Lake Donggi Cona (in the north-eastern part of the TP) which has been dated back to the Last Glacial Maximum (LGM). A new data-set of modern pollen collected from large lakes in arid to semi-arid regions of central Asia is also presented herein. The concept of "pollen source area" was introduced to modern climate calibration based on pollen from large lakes, and was applied to the fossil pollen sequence from Lake Donggi Cona. Extremely dry conditions were found to have dominated the LGM, and a subsequent gradually increasing trend in moisture during the Late Glacial period was terminated by an abrupt reversion to a dry phase that lasted for about 1000 years and coincided with the first Heinrich Event of the northern Atlantic region. Subsequent periods corresponding to the warm Bølling-Allerød period and the Younger Dryas cold event were followed by moist conditions during the early Holocene, with annual precipitation of up to about 400 mm. A slightly drier trend after 9 cal ka BP was then followed by a second wet phase during the middle Holocene that lasted until 4.5 cal ka BP. Relatively steady conditions with only slight fluctuations then dominated the late Holocene, resulting in the present climatic conditions. In order to investigate the relationship between vegetation and climate, temporal variations in the possible driving factors for vegetation change on the northern TP were examined using a high resolution late Holocene pollen record from Lake Kusai. Moving-window Redundancy Analyses (RDAs) were used to evaluate the correlations between pollen assemblages and individual sedimentary proxies. These analyses have revealed frequent fluctuations in the relative abundances of alpine steppe and alpine desert components, and in particular a decrease in the total vegetation cover at around 1500 cal a BP. The climate was found to have had an important influence on vegetation changes when conditions were relatively wet and stable. However, after the 1500 cal a BP threshold in vegetation cover was crossed the vegetation appears to have been affected more by extreme events such as dust storms or fluvial erosion than by the general climatic trends. In addition, pollen spectra over the last 600 years have been revealed by Procrustes analysis to be significantly different from those recovered from older samples, which is attributed to an increased human impact that resulted in unprecedented changes to the composition of the vegetation. Theoretical models that have been developed and widely applied to the European area (i.e. the Extended R-Value (ERV) model and the Regional Estimates of Vegetation Abundance from Large Sites (REVEALS) model) have been applied to the high alpine TP ecosystems in order to investigate the pollen-vegetation relationships, as well as for quantitative reconstructions of vegetation abundance. The modern pollen–vegetation relationships for four common pollen species on the TP have been investigated using Poaceae as the reference taxa. The ERV Submodel 2 yielded relatively high PPEs for the steppe and desert taxa (Artemisia Chenopodiaceae), and low PPEs for the Cyperaceae that are characteristic of the alpine Kobresia meadows. The plant abundances on the central and north-eastern TP were quantified by applying these PPEs to four post-Late Glacial fossil pollen sequences. The reconstructed vegetation assemblages for the four pollen sequences always yielded smaller compositional species turnovers than suggested by the pollen spectra, indicating that the strength of the previously-reported vegetation changes may therefore have been overestimated. In summary, the key findings of this thesis are that (a) the two ASM subsystems show asynchronous patterns during both the Holocene and modern time periods, (b) fossil pollen records from large lakes reflect regional signals for which the pollen source areas need to be taken into account, (c) climate is not always the main driver for vegetation change, and (d) previously reported vegetation changes on the TP may have been overestimated because they ignored inter-species variations in pollen productivity. N2 - Das Paläoklima in Zentralasien, besonders in der Hochebene von Tibet (HT), ist von großer Bedeutung um globale Klimaprozesse zu verstehen und mögliche Voraussagung für die zukunft zu treffen. Als wichtigstes Klimaphänomen nehmen der asiatische Sommermonsun (ASM) und seine Entwicklungsgeschichte eine Schlüsselposition ein. Dennoch sind derzeit weder das Entwicklungsschema noch der antreibende Vorgang ausreichend verstanden. Dies gilt insbesondere für das Holozän, für welches große Kimaschwankungen und regionale Diskrepanzen weithin belegt sind. Deshalb habe ich zuerst holozäne Klimadaten zusammengefasst. Bereits veröffentlichte Publikationen aus den Monsungebieten Zentralasiens dienten als Grundlage, um die wichtigsten Klimasignale und die zugehörigen Intensitäten des Sommermonsuns heraus zu arbeiten. Anhand von Pollensequenzen aus tibetischen Seen erzeugte ich neue Klima- und Vegetationssequenzen, welche auf verbesserten quantitativen Methoden und rezenten Datensätzen beruhen. Außerdem wurden die Verhältnisse Pollen-Vegetation und Vegetation-Klima bewertet, um Schlussfolgerungen fossiler Pollensequenzen zu verbessern. Die Zusammenfassung der zuvor veröffentlichten, niederschlagsbezogenen Paläoklimadaten im Monsungebiet Zentralasiens ergab generell unterschiedliche Muster für die zwei Teilsysteme des ASMs, den Indischen Sommermonsun (ISM) und den Ostasiatischen Sommermonsun (OASM). Der ISM weist maximale feuchte Bedingungen während des frühen Holozöns auf, während viele Datensätze aus dem Gebiet des OASMs einen relativ trockenen Zustand anzeigen, besonders im nördlichen Zentralchina, wo maximale Niederschläge während des mittleren Holozäns registriert wurden. Genaue Betrachtungen der Antriebsfaktoren des Sommermonsuns ergaben, dass der ISM hauptsächlich durch Veränderungen der Sonneneinstrahlung auf der Nordhemisphäre angetrieben wird, während der OASM potentiell durch den ISM beherrscht wird - dies führt zu asynchronen Entwicklungen. Diese Hypothese wird durch rezente Monsunindizes gestützt. Sie weisen eine signifikant negative Korrelation zwischen den beiden Sommermonsun-Teilsystemen auf. Für die quantitative Klimarekonstruktion von Pollensequenzen wurde ein Sedimentkern aus dem See Donggi Cona im Nordosten der HT analysiert, der bis zum letzten glazialen Maximum (LGM) zurückdatiert wurde. Aufgrund der Tatsache, dass Donggi Cona ein relativ großer See ist, wird hiermit ein neuer Pollen-Klima-Kalibrierungsdatensatz auf Grundlage großer Seen in ariden und semiariden Regionen Zentralasiens vorgelegt. Das Konzept des Pollenherkunftsgebietes wurde in diese rezente, pollenbasierte Klimakalibrierung eingebracht und auf die Pollensequenz von Donggi Cona angewendet. Die Auswertung ergab, dass extrem trockene Bedingungen während des LGM (ca. 100 mm/yr) vorherrschten. Ein ansteigender Trend von Niederschlägen während des späten Glazials wurde durch einen abrupten Rückgang zu einer etwa 1000-jährigen Trockenphase beendet, welche mit Heinrich-Ereignis 1 in der Nordatlantik-Region übereinstimmt. Danach entsprechen die Klimaperioden dem warmen Bølling/Allerød und dem Kälteereignis der Jüngeren Dryas. Anschließend herrschten feuchte Bedingungen im frühen Holozän (bis zu 400 mm/yr). Ein etwas trockenerer Trend nach dem Holozänen Klimaoptimum wurde dann von einer zweiten Feuchtphase abgelöst, welche bis 4,5 cal. ka vor heute andauerte. Relativ gleichmäßige Bedingungen dominierten das späte Holozän bis heute. Die Klimadynamik seit dem LGM wurde vor allem durch Entgletscherung und Intensitätsschwankungen des ASM bestimmt. Bei der Betrachtung des Vegetation-Klima-Verhältnisses habe ich die zeitlichen Variationen der bestimmenden Faktoren hinsichtlich der Vegetationsdynamik auf der nördlichen HT untersucht. Dabei wurden hochauflösende holozäne Pollendaten des Kusai-Sees verwendet. Eine Redundanzanalyse (RDA) wurde angewendet um die Korrelation zwischen Pollenvergesellschaftungen und individuellen sedimentären Klimaanzeigern als auch die damit verbundene Signifikanz zu bewerten. Es stellte sich heraus, dass das Klima einen wichtigen Einfluss auf den Veränderungen in der Vegetation besaß, wenn die Bedingungen relativ warm und feucht waren. Trotzdem scheint es, dass, dass die Vegetation bei zu geringer Bedeckung stärker durch Extremereignisse wie Staubstürme oder fluviale Erosion beeinflusst wurde. Pollenspektren der vergangen 600 Jahre erwiesen sich als signifikant unterschiedlich verglichen mit den älterer Proben, was auf verstärkten anthropogenen Einfluss hindeutet. Dieser resultierte in einem beispiellosen Wandel in der Zusammensetzung der Vegetation. In Hinsicht auf das Pollen-Vegetation-Verhältnis und der quantitativen Rekonstruktion der Vegetationshäufigkeit habe ich theoretische Modelle, welche für europäische Regionen entwickelt und weithin angewendet wurden, respektive die Modelle "Extended R-Value" (ERV) sowie "Regional Estimates of Vegetation Abundance from Large Sites" (REVEALS), auf die hochalpinen Ökosysteme der HT überführt. Dafür wurden rezente Pollen-Vegetations-Verhältnisse von vier weit verbreiteten Pollen-Arten der HT überprüft. Poaceae wurden als Referenztaxa verwendet. Bei der Anwendung dieser Verhältnisse auf vier Pollensequenzen, welche die Paläoumweltbedingungen seit dem letzten Glazial widerspiegeln, wurden die Häufigkeiten von Pflanzen auf der zentralen und nordöstlichen HT quantifiziert. Anteile von Artimisia und Chenopodiaceae waren dabei im Vergleich zu ihren ursprünglichen Pollenprozenten deutlich verringert. Cyperaceae hingegen wies eine relative Zunahme in dieser Vegetationsrekonstruktion auf. Die rekonstruierten Vegetationsvergesellschaftungen an den Standorten der vier Pollensequenzen ergaben stets geringere Umwälzungen in der Artenzusammensetzung, als durch die Pollenspektren zu vermuten gewesen wäre. Dies kann ein Hinweis darauf sein, dass die Intensität der bislang angenommenen Vegetationsveränderungen überschätzt worden ist. Zusammengefasst sind die Hauptresultate dieser Dissertation, dass (a) die zwei ASM Teilsysteme asynchrone Muster während des Holozäns und heute aufweisen, dass (b) fossile Pollensequenzen großer Seen regionale Klimasignale widerspiegeln sofern die Herkunftsgebiete der Pollen berücksichtigt werden, dass (c) Klima nicht immer der Haupteinflussfaktor für Vegetationswandel ist und dass (d) das Ausmaß von Vegetationsveränderungen in zuvor veröffentlichten Studien auf der Hochebene von Tibet überschätzt worden sein kann, weil Diskrepanzen der Pollenproduktivität zwischen den Arten nicht einbezogen wurden. KW - Asiatischer Sommermonsun KW - ASM KW - Holozän KW - Seesedimente KW - Pollen KW - Hochland von Tibet KW - Asian Summer Monsoon KW - Holocene KW - Lake sediments KW - Pollen KW - Tibetan Plateau Y1 - 2011 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-63155 ER - TY - THES A1 - Wischnewski, Juliane T1 - Reconstructing climate variability on the Tibetan Plateau : comparing aquatic and terrestrial signals T1 - Klimarekonstruktionen auf dem Tibet Plateau : aquatische und terrestrische Signale im Vergleich N2 - Spatial and temporal temperature and moisture patterns across the Tibetan Plateau are very complex. The onset and magnitude of the Holocene climate optimum in the Asian monsoon realm, in particular, is a subject of considerable debate as this time period is often used as an analogue for recent global warming. In the light of contradictory inferences regarding past climate and environmental change on the Tibetan Plateau, I have attempted to explain mismatches in the timing and magnitude of change. Therefore, I analysed the temporal variation of fossil pollen and diatom spectra and the geochemical record from palaeo-ecological records covering different time scales (late Quaternary and the last 200 years) from two core regions in the NE and SE Tibetan Plateau. For interpretation purposes I combined my data with other available palaeo-ecological data to set up corresponding aquatic and terrestrial proxy data sets of two lake pairs and two sets of sites. I focused on the direct comparison of proxies representing lacustrine response to climate signals (e.g., diatoms, ostracods, geochemical record) and proxies representing changes in the terrestrial environment (i.e., terrestrial pollen), in order to asses whether the lake and its catchments respond at similar times and magnitudes to environmental changes. Therefore, I introduced the established numerical technique procrustes rotation as a new approach in palaeoecology to quantitatively compare raw data of any two sedimentary records of interest in order to assess their degree of concordance. Focusing on the late Quaternary, sediment cores from two lakes (Kuhai Lake 35.3°N; 99.2°E; 4150 m asl; and Koucha Lake 34.0°N; 97.2°E; 4540 m asl) on the semi-arid northeastern Tibetan Plateau were analysed to identify post-glacial vegetation and environmental changes, and to investigate the responses of lake ecosystems to such changes. Based on the pollen record, five major vegetation and climate changes could be identified: (1) A shift from alpine desert to alpine steppe indicates a change from cold, dry conditions to warmer and more moist conditions at 14.8 cal. ka BP, (2) alpine steppe with tundra elements points to conditions of higher effective moisture and a stepwise warming climate at 13.6 cal. ka BP, (3) the appearance of high-alpine meadow vegetation indicates a further change towards increased moisture, but with colder temperatures, at 7.0 cal. ka BP, (4) the reoccurrence of alpine steppe with desert elements suggests a return to a significantly colder and drier phase at 6.3 cal. ka BP, and (5) the establishment of alpine steppe-meadow vegetation indicates a change back to relatively moist conditions at 2.2 cal. ka BP. To place the reconstructed climate inferences from the NE Tibetan Plateau into the context of Holocene moisture evolution across the Tibetan Plateau, I applied a five-scale moisture index and average link clustering to all available continuous pollen and non-pollen palaeoclimate records from the Tibetan Plateau, in an attempt to detect coherent regional and temporal patterns of moisture evolution on the Plateau. However, no common temporal or spatial pattern of moisture evolution during the Holocene could be detected, which can be assigned to the complex responses of different proxies to environmental changes in an already very heterogeneous mountain landscape, where minor differences in elevation can result in marked variations in microenvironments. Focusing on the past 200 years, I analysed the sedimentary records (LC6 Lake 29.5°N, 94.3°E, 4132 m asl; and Wuxu Lake 29.9°N, 101.1°E, 3705 m asl) from the southeastern Tibetan Plateau. I found that despite presumed significant temperature increases over that period, pollen and diatom records from the SE Tibetan Plateau reveal only very subtle changes throughout their profiles. The compositional species turnover investigated over the last 200 years appears relatively low in comparison to the species reorganisations during the Holocene. The results indicate that climatically induced ecological thresholds are not yet crossed, but that human activity has an increasing influence, particularly on the terrestrial ecosystem. Forest clearances and reforestation have not caused forest decline in our study area, but a conversion of natural forests to semi-natural secondary forests. The results from the numerical proxy comparison of the two sets of two pairs of Tibetan lakes indicate that the use of different proxies and the work with palaeo-ecological records from different lake types can cause deviant stories of inferred change. Irrespective of the timescale (Holocene or last 200 years) or region (SE or NE Tibetan Plateau) analysed, the agreement in terms of the direction, timing, and magnitude of change between the corresponding terrestrial data sets is generally better than the match between the corresponding lacustrine data sets, suggesting that lacustrine proxies may partly be influenced by in-lake or local catchment processes whereas the terrestrial proxy reflects a more regional climatic signal. The current disaccord on coherent temporal and spatial climate patterns on the Tibetan Plateau can partly be ascribed to the complexity of proxy response and lake systems on the Tibetan Plateau. Therefore, a multi-proxy, multi-site approach is important in order to gain a reliable climate interpretation for the complex mountain landscape of the Tibetan Plateau. N2 - Die räumlichen und zeitlichen Temperatur- und Feuchtigkeitsmuster auf dem Tibet-Plateau sind sehr komplex. Im Einzugsbereich der asiatischen Monsune sind insbesondere der Beginn und das Ausmaß des Klimaoptimums während des Holozäns von wissenschaftlichem Interesse, da diese Periode oft als Analogie für die derzeitige globale Klimaerwärmung herangezogen wird. In Hinblick auf sich teilweise widersprechende Paläoklima- und Umweltrekonstruktionen für das Tibet-Plateau, ist es mein Ziel, die bestehenden Unstimmigkeiten bezüglich des Zeitpunktes und des Ausmaßes des Umweltwandels zu erklären. Dafür wurden von mir zeitliche Variationen fossiler Pollen- und Diatomeenspektren und geochemische Untersuchungen an Seesedimenten unterschiedlicher Zeitskalen (Spätquartär und die letzten 200 Jahre) aus zwei Kernregionen auf dem NO und SO Tibet-Plateau analysiert. Zur Unterstützung der Interpretation wurden die hier erhobenen Daten mit bereits vorhandenen paläoökologischen Aufzeichnungen der Lokalitäten kombiniert, um Datensätze der entsprechenden aquatischen und terrestrischen Proxy-Daten (Stellvertreterdaten) zweier Seenpaare aus den beiden Regionen gegenüberstellen zu können. Hierbei konzentrierte ich mich auf den direkten Vergleich von Proxies, die die Seenentwicklung reflektieren (z.B. Diatomeen, Ostracoden, geochemische Eigenschaften), mit Proxies, die Veränderungen der terrestrischen Umgebung des Sees beschreiben (terrestrische Pollen). Durch diesen Vergleich lässt sich beurteilen, ob Veränderungen im See selbst mit Umweltveränderungen in dem jeweiligen Einzugsgebiet zeitlich übereinstimmen. Dafür habe ich die bereits etablierte numerische Methode Procrustes-Rotation als neuen Ansatz in der Paläoökologie eingeführt. Damit ist ein quantitativer Vergleich von Rohdaten zweier beliebiger sedimentärer Datensätze möglich, um den Grad der Übereinstimmung zu prüfen. Um die in dieser Arbeit rekonstruierten Umwelt- und Klimaereignisse des nordöstlichen Tibet-Plateaus in einen größeren Zusammenhang hinsichtlich holozäner Klimaentwicklung des gesamten Plateaus setzen zu können, und um schlüssige zeitliche und räumliche Klimatrends auf dem Plateau erkennen zu können, habe ich auf alle vorhandenen Paläoklimadatensätze einen Fünf-Skalen Feuchtigkeitsindex und eine Clusteranalyse angewandt. Es konnten jedoch keine einheitlichen zeitlichen und räumlichen Trends der holozänen Klimaentwicklung nachgewiesen werden, was meiner Analyse entsprechend, auf die komplexen Reaktionen verschiedener Proxies auf Umweltveränderungen in einer ohnehin sehr heterogen Berglandschaft, zurückgeführt werden kann. Die Ergebnisse des numerischen Proxy-Vergleichs beider Seenpaare zeigen, dass die Verwendung von verschiedenen Proxies und die Arbeit mit paläo-ökologischen Datensätzen unterschiedlicher See-Typen zu abweichenden Klimaableitungen führen können. Unabhängig vom untersuchten Zeitraum (Holozän oder die letzten 200 Jahren) oder der Region (SO oder NO Tibet-Plateau), ist die Übereinstimmung zweier Datensätze hinsichtlich der Richtung, des Zeitpunktes und des Ausmaßes der abgeleiteten Paläo-Umweltverhältnisse in der Regel zwischen den entsprechenden terrestrischen Datensätzen besser als zwischen den entsprechenden lakustrinen Datensätzen. Die derzeitige Uneinigkeit über stimmige zeitliche und räumliche Klimatrends auf dem Tibet-Plateau kann daher teilweise der Komplexität der verschieden Proxies und ihrer individuellen Empfindlichkeiten gegenüber Umweltveränderungen sowie der unterschiedlichen Reaktionsweise verschiedenartiger See-Systeme auf dem Plateau zugeschrieben werden. Meine Ergebnisse zeigen, dass ein „Multi-Proxy-Multi-Site-Ansatz“ für zuverlässige Paläoklimaableitungen für das Tibet-Plateau von zentraler Bedeutung ist. KW - Tibet Plateau KW - Holozän KW - Pollen KW - Diatomeen KW - Prokrustes Analyse KW - Tibetan Plateau KW - Holocene KW - Pollen KW - Diatoms KW - Procrustes rotation analysis Y1 - 2011 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-52453 ER - TY - JOUR A1 - Kirpichenko, Svetlana V. A1 - Kleinpeter, Erich A1 - Ushakov, Igor A. A1 - Shainyan, Bagrat A. T1 - Conformational Analysis of 3-Methyl-3-Silathiane and 3-Fluoro-3-Methyl-3-Silathiane JF - Journal of physical organic chemistry N2 - The conformational equilibria of 3-methyl-3-silathiane 5, 3-fluoro-3-methyl-3-silathiane 6 and 1-fluoro-1-methyl-1- silacyclohexane 7 have been studied using low temperature C-13 NMR spectroscopy and theoretical calculations. The conformer ratio at 103 K was measured to be about 5(ax):5(eq) - 15:85, 6(ax):6(eq)-50:50 and 7(ax):7(eq)-25:75. The equatorial preference of the methyl group in 5 (0.35 kcal mol(-1)) is much less than in 3-methylthiane 9 (1.40 kcal mol(-1)) but somewhat greater than in 1-methyl-1-silacyclohexane 1 (0.23 kcal mol(-1)). Compounds 5-7 have low barriers to ring inversion: 5.65 (ax -> eq) and 6.0 kcal mol(-1) (eq -> ax) (5), 4.6 kcal mol(-1) (6), 5.1 kcal mol(-1) (Me-ax -> Me-eq), and 5.4 kcal mol(-1) (Me-eq -> Me-ax) (7). Steric effects cannot explain the observed conformational preferences, like equal population of the two conformers of 6, or different conformer ratio for 5 and 7. Actually, by employing the NBO analysis, in particular, considering the second order perturbation energies, vicinal stereoelectronic interactions between the Si-X and adjacent C-H, C-S, and C-C bonds proved responsible. KW - conformational analysis KW - low-temperature NMR spectroscopy KW - NBO analysis KW - quantum chemical calculations KW - 3-silathianes Y1 - 2011 U6 - https://doi.org/10.1002/poc.1758 SN - 0894-3230 VL - 24 IS - 4 SP - 320 EP - 326 PB - Wiley-Blackwell CY - Hoboken ER - TY - JOUR A1 - Scharhag-Rosenberger, Friederike A1 - Carlsohn, Anja A1 - Cassel, Michael A1 - Mayer, Frank A1 - Scharhag, Jürgen T1 - How to test maximal oxygen uptake a study on timing and testing procedure of a supramaximal verification test JF - Applied physiology, nutrition, and metabolism = Physiologie appliquée, nutrition et métabolisme N2 - On utilise de plus en plus les tests de verification pour confirmer l'atteinte du consommation d'oxygene maximale (VO(2 max)). Toutefois, le moment et les methodes d'evaluation varient d'un groupe de travail a l'autre. Les objectifs de cette etude sont de constater si on peut administrer un test de verification apres un test d'effort progressif ou s'il est preferable de le faire une autre journee et si on peut determiner le VO(2 max) tout de meme lors de la premiere seance chez des sujets ne repondant pas au critere de verification. Quarante sujets (age, 24 +/- 4 ans; VO(2 max), 50 +/- 7 mL center dot min(-1)center dot kg(-1)) participent a un test d'effort progressif sur tapis roulant et, 10 min plus tard, a un test de verification (VerifDay1) a 110 % de la velocite maximale (v(max)). Le critere de verification est un VO(2) de pointe au VerifDay1 < 5,5 % a la valeur retenue au test d'effort progressif. Les sujets ne repondant pas au critere de verification passent un autre test de verification, mais a 115 % du VerifDay1', et ce, 10 min plus tard pour confirmer le VO(2) de pointe du VerifDay1 en tant que VO(2 max). Tous les autres sujets repassent le VerifDay1 a un jour different (VerifDay2). Six sujets sur quarante ne repondent pas au critere de verification. Chez quatre d'entre eux, on confirme l'atteinte du VO(2 max) au VerifDay1'. Le VO(2) de pointe au VerifDay1 est equivalent a celui du VerifDay2 (3722 +/- 991 mL center dot min(-1) comparativement a 3752 +/- 995 mL center dot min(-1), p = 0,56), mais le temps jusqu'a l'epuisement est significativement plus long au VerifDay2 (2:06 +/- 0:22 min:s comparativement a 2:42 +/- 0:38 min:s, p < 0,001, n = 34). Le VO(2) de pointe obtenu au test de verification ne semble pas conditionne par un test d'effort progressif maximal prealable. On peut donc realiser le test d'effort progressif et le test de verification lors de la meme seance d'evaluation. Chez presque tous les individus ne repondant pas au critere de verification, on peut determiner le VO(2 max) au moyen d'un autre test de verification plus intense. Y1 - 2011 U6 - https://doi.org/10.1139/H10-099 SN - 1715-5312 VL - 36 IS - 1 SP - 153 EP - 160 PB - NRC Research Press CY - Ottawa ER - TY - JOUR A1 - Kuechly, Helga Ursula A1 - Mueller, Julia Sophie A1 - Reinfelder, Vanessa Luisa A1 - Wiedemann, Stephan A1 - Blaum, Niels T1 - Rodent-mediated dispersal of Acacia seeds in Kalahari savannah rangelands - implications for bush encroachment JF - African journal of ecology Y1 - 2011 U6 - https://doi.org/10.1111/j.1365-2028.2010.01230.x SN - 0141-6707 VL - 49 IS - 1 SP - 119 EP - 121 PB - Wiley-Blackwell CY - Malden ER - TY - JOUR A1 - Johnson, Kim L. A1 - Lenhard, Michael T1 - Genetic control of plant organ growth JF - New phytologist : international journal of plant science N2 - The growth of plant organs is under genetic control. Work in model species has identified a considerable number of genes that regulate different aspects of organ growth. This has led to an increasingly detailed knowledge about how the basic cellular processes underlying organ growth are controlled, and which factors determine when proliferation gives way to expansion, with this transition emerging as a critical decision point during primordium growth. Progress has been made in elucidating the genetic basis of allometric growth and the role of tissue polarity in shaping organs. We are also beginning to understand how the mechanisms that determine organ identity influence local growth behaviour to generate organs with characteristic sizes and shapes. Lastly, growth needs to be coordinated at several levels, for example between different cell layers and different regions within one organ, and the genetic basis for such coordination is being elucidated. However, despite these impressive advances, a number of basic questions are still not fully answered, for example, whether and how a growing primordium keeps track of its size. Answering these questions will likely depend on including additional approaches that are gaining in power and popularity, such as combined live imaging and modelling. KW - growth coordination KW - organ growth KW - organ identity KW - organ shape KW - organ size Y1 - 2011 U6 - https://doi.org/10.1111/j.1469-8137.2011.03737.x SN - 0028-646X VL - 191 IS - 2 SP - 319 EP - 333 PB - Wiley-Blackwell CY - Malden ER - TY - JOUR A1 - Navirian, Hengameh A. A1 - Herzog, Marc A1 - Goldshteyn, J. A1 - Leitenberger, Wolfram A1 - Vrejoiu, Ionella A1 - Khakhulin, D. A1 - Wulff, M. A1 - Shayduk, Roman A1 - Gaal, P. A1 - Bargheer, Matias T1 - Shortening x-ray pulses for pump-probe experiments at synchrotrons JF - Journal of applied physics N2 - We implemented an experimental scheme for ultrafast x-ray diffraction at storage rings based on a laser-driven Bragg-switch that shortens the x-ray pulses emitted from an undulator. The increased time-resolution is demonstrated by observing changes of intensity, position and width of the diffraction peaks of a La(0.7)Sr(0.3)MnO(3)/SrTiO(3) superlattice sample after optical excitation, i.e., by quantitatively measuring the propagation of an expansion wave through the sample. These experimental transients with timescales of 35 to 60 ps evidence a reduction of the x-ray pulse duration by a factor of two. Y1 - 2011 U6 - https://doi.org/10.1063/1.3601057 SN - 0021-8979 VL - 109 IS - 12 PB - American Institute of Physics CY - Melville ER - TY - JOUR A1 - Sicard, Adrien A1 - Stacey, Nicola A1 - Hermann, Katrin A1 - Dessoly, Jimmy A1 - Neuffer, Barbara A1 - Bäurle, Isabel A1 - Lenhard, Michael T1 - Genetics, evolution, and adaptive significance of the selfing syndrome in the genus Capsella JF - The plant cell N2 - The change from outbreeding to selfing is one of the most frequent evolutionary transitions in flowering plants. It is often accompanied by characteristic morphological and functional changes to the flowers (the selfing syndrome), including reduced flower size and opening. Little is known about the developmental and genetic basis of the selfing syndrome, as well as its adaptive significance. Here, we address these issues using the two closely related species Capsella grandiflora (the ancestral outbreeder) and red shepherd's purse (Capsella rubella, the derived selfer). In C. rubella, petal size has been decreased by shortening the period of proliferative growth. Using interspecific recombinant inbred lines, we show that differences in petal size and flower opening between the two species each have a complex genetic basis involving allelic differences at multiple loci. An intraspecific cross within C. rubella suggests that flower size and opening have been decreased in the C. rubella lineage before its extensive geographical spread. Lastly, by generating plants that likely resemble the earliest ancestors of the C. rubella lineage, we provide evidence that evolution of the selfing syndrome was at least partly driven by selection for efficient self-pollination. Thus, our studies pave the way for a molecular dissection of selfing-syndrome evolution. Y1 - 2011 U6 - https://doi.org/10.1105/tpc.111.088237 SN - 1040-4651 VL - 23 IS - 9 SP - 3156 EP - 3171 PB - American Society of Plant Physiologists CY - Rockville ER - TY - JOUR A1 - Kuhn, Daniela A1 - Ohrnberger, Matthias A1 - Dahm, Torsten T1 - Imaging a shallow salt diapir using ambient seismic vibrations beneath the densely built-up city area of Hamburg, Northern Germany JF - Journal of seismology N2 - Salt diapirs are common features of sedimentary basins. If close to the surface, they can bear a significant hazard due to possible dissolution sinkholes, karst formation and collapse dolines or their influence on ground water chemistry. We investigate the potential of ambient vibration techniques to map the 3-D roof morphology of shallow salt diapirs. Horizontal-to-vertical (H/V) spectral peaks are derived at more than 900 positions above a shallow diapir beneath the city area of Hamburg, Germany, and are used to infer the depth of the first strong impedance contrast. In addition, 15 small-scale array measurements are conducted at different positions in order to compute frequency-dependent phase velocities of Rayleigh waves between 0.5 and 25 Hz. The dispersion curves are inverted together with the H/V peak frequency to obtain shear-wave velocity profiles. Additionally, we compare the morphology derived from H/V and array measurements to borehole lithology and a gravity-based 3-D model of the salt diapir. Both methods give consistent results in agreement with major features indicated by the independent data. An important result is that H/V and array measurements are better suited to identify weathered gypsum caprocks or gypsum floaters, while gravity-derived models better sample the interface between sediments and homogeneous salt. We further investigate qualitatively the influence of the 3-D subsurface topography of the salt diapir on the validity of local 1-D inversion results from ambient vibration dispersion curve inversion. KW - Ambient seismic vibrations KW - H/V method KW - Array measurements KW - Salt diapir KW - 3-D effects Y1 - 2011 U6 - https://doi.org/10.1007/s10950-011-9234-y SN - 1383-4649 VL - 15 IS - 3 SP - 507 EP - 531 PB - Springer CY - Dordrecht ER - TY - JOUR A1 - Hass, Roland A1 - Reich, Oliver T1 - Photon density wave spectroscopy for dilution-free sizing of highly concentrated nanoparticles during starved-feed polymerization JF - ChemPhysChem : a European journal of chemical physics and physical chemistry KW - analytical methods KW - fiber-optical spectroscopy KW - nanoparticles KW - photon density wave spectroscopy KW - polymerization Y1 - 2011 U6 - https://doi.org/10.1002/cphc.201100323 SN - 1439-4235 VL - 12 IS - 14 SP - 2572 EP - 2575 PB - Wiley-Blackwell CY - Malden ER - TY - JOUR A1 - Stojanovic, Milovan A1 - Markovic, Rade A1 - Kleinpeter, Erich A1 - Baranac-Stojanovic, Marija T1 - Endo-Mode cyclizations of vinylogous N-acyliminium ions as a route to the synthesis of condensed thiazolidines JF - Tetrahedron N2 - endo-Mode cyclizations of vinylogous N-acyliminium ions incorporating heteroatom-based nucleophiles have been examined as a route to the synthesis of condensed thiazolidines. The scope of these reactions and stereochemical outcome are discussed and explained using quantum chemical calculations. KW - Vinylogous N-acyliminium ion KW - endo-Mode cyclization KW - Condensed thiazolidines KW - Quantum chemical calculations Y1 - 2011 U6 - https://doi.org/10.1016/j.tet.2011.10.011 SN - 0040-4020 VL - 67 IS - 49 SP - 9541 EP - 9554 PB - Elsevier CY - Oxford ER - TY - JOUR A1 - Kleinpeter, Erich A1 - Pihlaja, Kalevi A1 - Sinkkonen, Jari A1 - Stájer, Gezá A1 - Koch, Andreas T1 - 1-Oxo-1,3-dithiolanesùsynthesis and stereochemistry N2 - 1-Oxo-1,3-dithiolane (4) and its cis- andtrans-2-methyl (5,6), -4-methyl (7,8) and -5-methyl (9,10) derivatives were prepared by oxidizing the corresponding 1,3-dithiolanes (1-3) with NaIO4 in water. The oxides were purified and their isomers separated using thin layer chromatography. The structural characterization was carried out with 1H and 13C NMR spectroscopy and molecular modelling. The sulfoxides 4-6 and 8-10 attain two S(1) type envelopes (sometimes slightly distorted) the S=Oax envelope greatly dominating. Cis-4-methyl-1-oxo-1,3-dithiolane is a special case exhibiting both two closely related S=Oax (30 and 27%) as well as S=Oeq (21 and 22%) forms [S(1) and C(4) envelopes, respectively]. The relative energies of these conformations, the values of 1H-1H coupling constants and 1H and 13C chemical shifts were estimated by computational methods and they support well the conclusions based on the experimental data. Y1 - 2011 SN - 0749-1581 ER - TY - JOUR A1 - Kleinpeter, Erich A1 - Marsat, Jean-Noël A1 - Heydenreich, Matthias A1 - von Berlepsch, Hans A1 - Laschewsky, André T1 - Self-Assembly into Multicompartment Micelles and Selective Solubilization by Hydrophilic-Lipophilic- Fluorophilic Block Copolymers Y1 - 2011 SN - 0024-9297 ER - TY - JOUR A1 - Kleinpeter, Erich A1 - Neuvonen, Kari A1 - Neuvonen, Helmi A1 - Koch, Andreas T1 - NBO analysis of polar and steric effect using the axial-equatorial equilibrium of cyclohexyl acetates as a probe Y1 - 2011 SN - 2210-271X ER - TY - JOUR A1 - Kleinpeter, Erich A1 - Shainyan, Bagrat A. A1 - Suslova, Elena N. T1 - Conformational analysis of N-phenyl- and N-trifyl-4,4-dimethyl-4-silathiane 1-sulfimides Y1 - 2011 SN - 0894-3230 ER - TY - JOUR A1 - Kleinpeter, Erich A1 - Shainyan, Bagrat A. A1 - Suslova, Elena N. T1 - Conformational analysis of 4,4-dimethyl-4-silathiane and its S-oxides Y1 - 2011 ER - TY - JOUR A1 - Kleinpeter, Erich A1 - Kirpichenko, Svetlana V. A1 - Ushakov, Igor A. A1 - Shainyan, Bagrat A. T1 - Conformational analysis of 3-methyl-3-silathiane and 3-fluoro-3-methyl-3-silathiane N2 - The conformational equilibria of 3-methyl-3-silathiane 5, 3-fluoro-3-methyl-3-silathiane 6 and 1-fluoro-1- methyl-1-silacyclohexane 7 have been studied using low temperature 13C NMR spectroscopy and theoretical calculations. The conformer ratio at 103;K was measured to be about 5ax:5eq;=;15:85, 6ax:6eq;=;50:50 and 7ax:7eq;=;25:75. The equatorial preference of the methyl group in 5 (0.35;kcal;mol;1) is much less than in 3-methylthiane 9 (1.40;kcal;mol;1) but somewhat greater than in 1-methyl-1- silacyclohexane 1 (0.23;kcal;mol;1). Compounds 5-7 have low barriers to ring inversion: 5.65 (ax;;;eq) and 6.0 (eq;;;ax) kcal mol;1 (5), 4.6 (6), 5.1 (Meax;;;Meeq) and 5.4 (Meeq;;;Meax) kcal;mol;1 (7). Steric effects cannot explain the observed conformational preferences, like equal population of the two conformers of 6, or different conformer ratio for 5 and 7. Actually, by employing the NBO analysis, in particular, considering the second order perturbation energies, vicinal stereoelectronic interactions between the Si-X and adjacent C-H, C-S, and C-C bonds proved responsible. Y1 - 2011 SN - 0894-3230 ER - TY - JOUR A1 - Kleinpeter, Erich A1 - Koch, Andreas T1 - The anisotropic effect of functional groups in 1H NMR spectra is the molecular response property of spatial NICS-the frozen conformational equilibria of 9-arylfluorenes N2 - Rotation about the single bond adjoining the aryl and fluorene moieties in 9-arylfluorenes can be frozen out on the NMR timescale if methyl groups are located at either one or both of the ortho positions of the aryl substituent. In the ground-state of these rotamers, the planes of the aryl and fluorene moieties are perpendicular to each other and the methyl protons are either shielded or deshielded, respectively, due to the ringe current effect of the fluorene moiety. This anisotropic effect on the 1H chemical shifts of the methyl protons has been quantified on the basis of through- space NMR shieldings (TSNMRS) and subsequently _______ compared with the experimentally observed chemical shift differences _____. In this context, the experimental anisotropic effects of functional groups in the !H NMR have proven to quantitatively be the molecular response property of theoretical spatial nucleus independent chemical shieldings (NICS). Differences between _______ and _____ were, for the first time, also quantified as arising from steric compression. Y1 - 2011 UR - http://www.sciencedirect.com/science/article/pii/S0040402011008507 (13.9.13) SN - 0040-4020 ER - TY - JOUR A1 - Kleinpeter, Erich A1 - Lammermann, Anica A1 - Kühn, Heiner T1 - Synthesis and NMR spectra of the syn and anti isomers of substituted cyclobutanes-evidence for steric and spatial hyperconjugative interactions N2 - The syn and anti isomers of cis,cis-tricyclo[5.3.0.0(2.6)]dec-3-ene derivatives have been synthesized and their (1)H and (13)C NMR spectra unequivocally analyzed. Both their structures and their (1)H and (13)C NMR chemical shifts were calculated by DFT, the latter two calculations employing the GIAO perturbation method. Additionally, calculated NMR shielding values were partitioned into Lewis and non-Lewis contributions from the bonds and lone pairs involved in the molecules by accompanying NBO and NCS analyses. The differences between the syn and anti isomers were evaluated with respect to steric and spatial hyperconjugation interactions. Y1 - 2011 SN - 0040-4020 ER - TY - JOUR A1 - Csütörtöki, Renáta A1 - Szatmári, István A1 - Koch, Andreas A1 - Heydenreich, Matthias A1 - Kleinpeter, Erich A1 - Fulop, Ferenc T1 - Synthesis and conformational analysis of new naphth[1,2-e][1,3]oxazino[3,4-c]quinazoline derivatives Y1 - 2011 SN - 0040-4020 ER - TY - JOUR A1 - Kleinpeter, Erich A1 - Koch, Andreas T1 - Chelatoaromaticity-existing: yes or no? An answer given by spatial magnetic properties (through space NMR shieldings-TSNMRS) Y1 - 2011 SN - 1463-9076 ER - TY - JOUR A1 - Kleinpeter, Erich A1 - Lämmermann, Anica A1 - Kühn, Heiner T1 - The anisotropic effect of functional groups in H-1 NMR spectra is the molecular response property of spatial nucleus independent chemical shifts (NICS)-Conformational equilibria of exo/endo tetrahydrodicyclopentadiene derivatives N2 - The inversion of the flexible five-membered ring in tetrahydrodicyclopentadiene (TH-DCPD) derivatives remains fast on the NMR timescale even at 103 K. Since the intramolecular exchange process could not be sufficiently slowed for spectroscopic evaluation, the conformational equilibrium is thus inaccessible by dynamic NMR. Fortunately, the spatial magnetic properties of the aryl and carbonyl groups attached to the DCPD skeleton can be employed in order to evaluate the conformational state of the system. In this context, the anisotropic effects of the functional groups in the H-1 NMR spectra prove to be the molecular response property of spatial nucleus independent chemical shifts (NICS). Y1 - 2011 ER - TY - JOUR A1 - Stojanovic, Milovan A1 - Markovic, Rade A1 - Kleinpeter, Erich A1 - Baranac-Stojanovic, Marija T1 - endo-Mode cyclizations of vinylogous N-acyliminium ions as a route to the synthesis of condensed thiazolidines Y1 - 2011 SN - 0040-4020 ER - TY - JOUR A1 - Pontius, N. A1 - Kachel, T. A1 - Schüssler-Langeheine, C. A1 - Schlotter, W. F. A1 - Beye, Martin A1 - Sorgenfrei, Nomi A1 - Chang, C. F. A1 - Föhlisch, Alexander A1 - Wurth, W. A1 - Metcalf, P. A1 - Leonov, I. A1 - Yaresko, A. A1 - Stojanovic, N. A1 - Berglund, Martin A1 - Guerassimova, N. A1 - Duesterer, S. A1 - Redlin, H. A1 - Duerr, H. A. T1 - Time-resolved resonant soft x-ray diffraction with free-electron lasers femtosecond dynamics across the Verwey transition in magnetite JF - Applied physics letters N2 - Resonant soft x-ray diffraction (RSXD) with femtosecond (fs) time resolution is a powerful tool for disentangling the interplay between different degrees of freedom in strongly correlated electron materials. It allows addressing the coupling of particular degrees of freedom upon an external selective perturbation, e. g., by an optical or infrared laser pulse. Here, we report a time-resolved RSXD experiment from the prototypical correlated electron material magnetite using soft x-ray pulses from the free-electron laser FLASH in Hamburg. We observe ultrafast melting of the charge-orbital order leading to the formation of a transient phase, which has not been observed in equilibrium. Y1 - 2011 U6 - https://doi.org/10.1063/1.3584855 SN - 0003-6951 VL - 98 IS - 18 PB - American Institute of Physics CY - Melville ER - TY - JOUR A1 - Herzschuh, Ulrike A1 - Ni, Jian A1 - Birks, H. John B. A1 - Böhner, Jürgen T1 - Driving forces of mid-Holocene vegetation shifts on the upper Tibetan Plateau, with emphasis on changes in atmospheric CO2 concentrations JF - Quaternary science reviews : the international multidisciplinary research and review journal N2 - Numerous pollen records across the upper Tibetan Plateau indicate that in the early part of the mid-Holocene, Kobresia-rich high-alpine meadows invaded areas formerly dominated by alpine steppe vegetation rich in Artemisia. We examine climate, land-use, and CO2 concentration changes as potential drivers for this marked vegetation change. The climatic implications of these vegetational shifts are explored by applying a newly developed pollen-based moisture-balance transfer-function to fossil pollen spectra from Koucha Lake on the north-eastern Tibetan Plateau (34.0 degrees N; 97.2 degrees E; 4540 m a.s.l.) and Xuguo Lake on the central Tibetan Plateau (31.97 degrees N; 90.3 degrees E; 4595 m a.s.l.), both located in the meadow-steppe transition zone. Reconstructed moisture-balances were markedly reduced (by similar to 150-180 mm) during the early mid-Holocene compared to the late-Holocene. These findings contradict most other records from the Indian monsoonal realm and also most non-pollen records from the Tibetan Plateau that indicate a rather wet early- and mid-Holocene. The extent and timing of anthropogenic land-use involving grazing by large herbivores on the upper Tibetan Plateau and its possible impacts on high-alpine vegetation are still mostly unknown due to the lack of relevant archaeological evidence. Arguments against a mainly anthropogenic origin of Kobresia high-alpine meadows are the discovery of the widespread expansion of obviously 'natural' Kobresia meadows on the south-eastern Tibetan Plateau during the Lateglacial period indicating the natural origin of this vegetation type and the lack of any concurrence between modern human-driven vegetation shifts and the mid-Holocene compositional changes. Vegetation types are known to respond to atmospheric CO2 concentration changes, at least on glacial-interglacial scales. This assumption is confirmed by our sensitivity study where we model Tibetan vegetation at different CO2 concentrations of 375 (present-day), 260 (early Holocene), and 650 ppm (future scenario) using the BIOME4 global vegetation model. Previous experimental studies confirm that vegetation growing on dry and high sites is particularly sensitive to CO2 changes. Here we propose that the replacement of drought-resistant alpine steppes (that are well adapted to low CO2 concentrations) by mesic Kobresia meadows can, at least, be partly interpreted as a response to the increase of CO2 concentration since 7000 years ago due to fertilization and water-saving effects. Our hypothesis is corroborated by former CO2 fertilization experiments performed on various dry grasslands and by the strong recent expansion of high-alpine meadows documented by remote sensing studies in response to recent CO2 increases. KW - Tibetan Plateau KW - Pollen KW - Holocene KW - Transfer function KW - Kobresia meadow KW - Atmospheric CO2 concentration Y1 - 2011 U6 - https://doi.org/10.1016/j.quascirev.2011.03.007 SN - 0277-3791 VL - 30 IS - 15-16 SP - 1907 EP - 1917 PB - Elsevier CY - Oxford ER - TY - JOUR A1 - Bagnich, Sergey A. A1 - Unger, Th. A1 - Jaiser, Frank A1 - Neher, Dieter A1 - Thesen, M. W. A1 - Krüger, H. T1 - Efficient green electrophosphorescence based on ambipolar nonconjugated polymers evaluation of transport and emission properties JF - Journal of applied physics N2 - New materials for polymer organic light-emitting diodes based on a polymer matrix doped with phosphorescent dyes are presented. The matrix system is based on a polystyrene backbone bearing either electron or hole transporting units at the 4-position of each repeat unit. Random copolymers and polymer blend systems of the homopolymers are prepared, both with 62 wt.% electron transporting and 38 wt.% hole transporting moieties. Adding a green electrophosphorescent dye to the polymer matrix leads to efficient electroluminescence with a maximum current efficiency of 35 cd/A and a maximum external quantum efficiency of up to 10%. The mobilities of electrons and holes in the dye-doped copolymer, as measured by transient electroluminescence, are around 5 x 10(-5) and 5 x 10(-6) cm(2)/Vs, respectively, while the blend of the two homopolymers exhibits slightly lower mobilities of both types of carriers. Despite the pronounced imbalance of charge transport, the device performance is almost entirely limited by the phosphorescence efficiency of the dye, implying balanced flow of holes and electrons into the active region. Also, devices made with either the copolymer or the blend yielded very similar device efficiencies, despite the noticeable difference in electron and hole mobility. It is proposed that electrons are efficiently blocked at the interlayer and that the so-formed space charge assists the balanced injection of holes. Y1 - 2011 U6 - https://doi.org/10.1063/1.3618681 SN - 0021-8979 SN - 1089-7550 VL - 110 IS - 3 PB - American Institute of Physics CY - Melville ER - TY - JOUR A1 - Shayduk, Roman A1 - Navirian, Hengameh A1 - Leitenberger, Wolfram A1 - Goldshteyn, Jevgenij A1 - Vrejoiu, Ionela A1 - Weinelt, Martin A1 - Gaal, Peter A1 - Herzog, Marc A1 - von Korff Schmising, Clemens A1 - Bargheer, Matias T1 - Nanoscale heat transport studied by high-resolution time-resolved x-ray diffraction JF - New journal of physics : the open-access journal for physics N2 - We report on synchrotron-based high-repetition rate ultrafast x-ray diffraction (UXRD) experiments monitoring the transport of heat from an epitaxial La(0.7)Sr(0.3)MnO(3)/SrTiO(3) superlattice (SL) into the substrate on timescales from 100 ps to 4 mu s. Transient thermal lattice expansion was determined with an accuracy of 10(-7), corresponding to a sensitivity to temperature changes down to 0.01 K. We follow the heat flow within the SL and into the substrate after the impulsive laser heating leads to a small temperature rise of Delta T = 6 K. The transient lattice temperature can be simulated very well using the bulk heat conductivities. This contradicts the interpretation of previous UXRD measurements, which predicted a long-lasting expansion of SrRuO(3) for more than 200 ps. The disagreement could be resolved by assuming that the heat conductivity changes in the first hundred picoseconds. Y1 - 2011 U6 - https://doi.org/10.1088/1367-2630/13/9/093032 SN - 1367-2630 VL - 13 IS - 11 PB - IOP Publ. Ltd. CY - Bristol ER - TY - JOUR A1 - Hundertmark, Michaela A1 - Dimova, Rumiana A1 - Lengefeld, Jan A1 - Seckler, Robert A1 - Hincha, Dirk K. T1 - The intrinsically disordered late embryogenesis abundant protein LEA18 from Arabidopsis thaliana modulates membrane stability through binding and folding. N2 - Intrinsically disordered proteins (IDPs) constitute a substantial part of cellular proteomes. Late embryogenesis abundant (LEA) proteins are mostly predicted to be IDPs associated with dehydration tolerance in many plant, animal and bacterial species. Their functions, however, are largely unexplored and also their structure and interactions with potential target molecules have only recently been experimentally investigated in a small number of proteins. Here, we report on the structure and interactions with membranes of the Pfam LEA_1 protein LEA18 from the higher plant Arabidopsis thaliana. This functionally uncharacterized positively charged protein specifically aggregated and destabilized negatively charged liposomes. Isothermal titration calorimetry showed binding of the protein to both charged and uncharged membranes. LEA18 alone was largely unstructured in solution. While uncharged membranes had no influence on the secondary structure of LEA18, the protein partially folded into ;-sheet structure in the presence of negatively charged liposomes. These data suggest that LEA18 does not function as a membrane stabilizing protein, as suggested for other LEA proteins. Instead, a possible function of LEA18 could be the composition-dependent modulation of membrane stability, e.g., during signaling or vesicle-mediated transport. Research Highlights Y1 - 2011 SN - 0006-3002 ER - TY - JOUR A1 - Jeltsch, Florian A1 - Moloney, Kirk A. A1 - Schwager, Monika A1 - Körner, Katrin A1 - Blaum, Niels T1 - Consequences of correlations between habitat modifications and negative impact of climate change for regional species survival JF - Agriculture, ecosystems & environment : an international journal for scientific research on the relationship of agriculture and food production to the biosphere N2 - While several empirical and theoretical studies have clearly shown the negative effects of climate or landscape changes on population and species survival only few of them addressed combined and correlated consequences of these key environmental drivers. This also includes positive landscape changes such as active habitat management and restoration to buffer the negative effects of deteriorating climatic conditions. In this study, we apply a conceptual spatial modelling approach based on functional types to explore the effects of both positive and negative correlations between changes in habitat and climate conditions on the survival of spatially structured populations. We test the effect of different climate and landscape change scenarios on four different functional types that represent a broad spectrum of species characterised by their landscape level carrying capacity, the local population turnover rates at the patch level (K-strategies vs. r-strategies) and dispersal characterstics. As expected, simulation results show that correlated landscape and climatic changes can accelerate (in case of habitat loss or degradation) or slow down (in case of habitat gain or improvement) regional species extinction. However, the strength of the combined changes depends on local turnover at the patch level, the overall landscape capacity of the species, and its specific dispersal characteristics. Under all scenarios of correlated changes in habitat and climate conditions we found the highest sensitivity for functional types representing species with a low landscape capacity but a high population growth rate and a strong density regulation causing a high turnover at the local patch level. The relative importance of habitat loss or habitat degradation, in combination with climate deterioration, differed among the functional types. However, an increase in regional capacity revealed a similar response pattern: For all types, habitat improvement led to higher survival times than habitat gain, i.e. the establishment of new habitat patches. This suggests that improving local habitat quality at a regional scale is a more promising conservation strategy under climate change than implementing new habitat patches. This conceptual modelling study provides a general framework to better understand and support the management of populations prone to complex environmental changes. KW - Functional types KW - Spatially explicit modelling KW - Dynamic landscapes KW - Species conservation KW - Habitat fragmentation KW - Habitat management Y1 - 2011 U6 - https://doi.org/10.1016/j.agee.2010.12.019 SN - 0167-8809 VL - 145 IS - 1 SP - 49 EP - 58 PB - Elsevier CY - Amsterdam ER - TY - JOUR A1 - Blaum, Niels A1 - Mosner, Eva A1 - Schwager, Monika A1 - Jeltsch, Florian T1 - How functional is functional?Ecological groupings in terrestrial animal ecology - towards an animal functional type approach JF - Biodiversity and conservation N2 - Understanding mechanisms to predict changes in plant and animal communities is a key challenge in ecology. The need to transfer knowledge gained from single species to a more generalized approach has led to the development of categorization systems where species' similarities in life strategies and traits are classified into ecological groups (EGs) like functional groups/types or guilds. While approaches in plant ecology undergo a steady improvement and refinement of methodologies, progression in animal ecology is lagging behind. With this review, we aim to initiate a further development of functional classification systems in animal ecology, comparable to recent developments in plant ecology. We here (i) give an overview of terms and definitions of EGs in animal ecology, (ii) discuss existing classification systems, methods and application areas of EGs (focusing on terrestrial vertebrates), and (iii) provide a "roadmap towards an animal functional type approach" for improving the application of EGs and classifications in animal ecology. We found that an animal functional type approach requires: (i) the identification of core traits describing species' dependency on their habitat and life history traits, (ii) an optimization of trait selection by clustering traits into hierarchies, (iii) the assessment of "soft traits" as substitute for hardly measurable traits, e.g. body size for dispersal ability, and (iv) testing of delineated groups for validation including experiments. KW - Ecological classification KW - Functional type KW - Guild KW - Functional trait KW - Trait selection KW - Effect group KW - Response group KW - Environmental relationships Y1 - 2011 U6 - https://doi.org/10.1007/s10531-011-9995-1 SN - 0960-3115 VL - 20 IS - 11 SP - 2333 EP - 2345 PB - Springer CY - Dordrecht ER - TY - JOUR A1 - Wasiolka, Bernd A1 - Blaum, Niels T1 - Comparing biodiversity between protected savanna and adjacent non-protected farmland in the southern Kalahari JF - Journal of arid environments N2 - In this study we investigated the effect of different land use options (wildlife versus livestock) on species richness of plants and reptiles in the protected Kgalagadi Transfrontier Park (KTP) versus adjacent non-protected farmland within the same savanna habitat type (Aoub dune veld) in the southern Kalahari, South Africa. Our results show that both plant and reptile species richness as well as plant cover and reptile abundance was significantly higher in the protected KTP than in the non-protected farmland. The higher proportion of shrub but lower proportions of perennial grass cover, herb cover, and herb species richness in the farmland can be explained by higher stocking rates and the differences in feeding behaviour between native wild ungulates (e.g. Antidorcas marsupialis, Oryx gazella) and livestock (mainly sheep). The reptile's prey availability and microhabitats (perennial grass tussocks and rodent burrows) for thermoregulation and protection against predators were significantly lower in the farmland. To conclude, our results clearly show that long term effects of different land use options (wildlife in protected KTP versus extensive livestock production in the non-protected farmland) even within the same habitat type have led to significant changes in vegetation composition, availability of microhabitat structures and in the reptile community. KW - Kgalagadi Transfrontier Park KW - Rangeland KW - Degradation KW - Species richness KW - Conservation KW - Reptile Y1 - 2011 U6 - https://doi.org/10.1016/j.jaridenv.2011.04.011 SN - 0140-1963 VL - 75 IS - 9 SP - 836 EP - 841 PB - Elsevier CY - London ER - TY - JOUR A1 - Csuetoertoeki, Renata A1 - Szatmari, Istvan A1 - Koch, Andreas A1 - Heydenreich, Matthias A1 - Kleinpeter, Erich A1 - Fueloep, Ferenc T1 - Synthesis and conformational analysis of new naphth[1,2-e][1,3]oxazino[3,4-c]quinazoline derivatives JF - Tetrahedron N2 - A new highly functionalized aminonaphthol derivative, 1-(amino(2-aminophenyl)methyl)-2-naphthol (4), was synthesized by the reaction of 2-naphthol, 2-nitrobenzaldehyde and tert-butyl carbamate or benzyl carbamate, followed by reduction and/or removal of the protecting group. The aminonaphthol derivative thus obtained was converted in ring-closure reactions with formaldehyde. benzaldehyde and/or phosgene to the corresponding naphth[1,2-e][1,3]oxazino[3,4-c]quinazoline derivatives. The conformational analysis of some derivatives by NMR spectroscopy and accompanying molecular modelling are also reported. KW - Naphthoxazinoquinazolines KW - NMR KW - Conformational analysis KW - DFT calculations KW - Hammett-Brown plots Y1 - 2011 U6 - https://doi.org/10.1016/j.tet.2011.08.074 SN - 0040-4020 VL - 67 IS - 44 SP - 8564 EP - 8571 PB - Elsevier CY - Oxford ER - TY - JOUR A1 - Kramer, Markus A1 - Kleinpeter, Erich T1 - A conformational study of N-acetyl glucosamine derivatives utilizing residual dipolar couplings JF - Journal of magnetic resonance N2 - The conformational analyses of six non-rigid N-acetyl glucosamine (NAG) derivatives employing residual dipolar couplings (RDCs) and NOEs together with molecular dynamics (MD) simulations are presented. Due to internal dynamics we had to consider different conformer ratios existing in solution. The good quality of the correlation between theoretically and experimentally obtained RDCs show the correctness of the calculated conformers even if the ratios derived from the MD simulations do not exactly meet the experimental data. If possible, the results were compared to former published data and commented. KW - NMR KW - Residual dipolar couplings KW - Molecular dynamics KW - N-acetyl glucosamine derivatives KW - Carbohydrates Y1 - 2011 U6 - https://doi.org/10.1016/j.jmr.2011.06.029 SN - 1090-7807 VL - 212 IS - 1 SP - 174 EP - 185 PB - Elsevier CY - San Diego ER - TY - GEN A1 - Kramer, Markus A1 - Kleinpeter, Erich T1 - A conformational study of N-acetyl glucosamine derivatives utilizing residual dipolar couplings (vol 212, pg 174, 2011) T2 - Journal of magnetic resonance Y1 - 2011 U6 - https://doi.org/10.1016/j.jmr.2011.09.017 SN - 1090-7807 VL - 213 IS - 1 SP - 210 EP - 211 PB - Elsevier CY - San Diego ER - TY - JOUR A1 - Carlsohn, Anja A1 - Cassel, Michael A1 - Linne, Karsten A1 - Mayer, Frank T1 - How much is too much? - a case report of nutritional supplement use of a high-performance athlete JF - The British journal of nutrition : an international journal devoted to the science of human and animal nutrition N2 - Although dietary nutrient intake is often adequate, nutritional supplement use is common among elite athletes. However, high-dose supplements or the use of multiple supplements may exceed the recommended daily allowance (RDA) of particular nutrients or even result in a daily intake above tolerable upper limits (UL). The present case report presents nutritional intake data and supplement use of a highly trained male swimmer competing at international level. Habitual energy and micronutrient intake were analysed by 3 d dietary reports. Supplement use and dosage were assessed, and total amount of nutrient supply was calculated. Micronutrient intake was evaluated based on RDA and UL as presented by the European Scientific Committee on Food, and maximum permitted levels in supplements (MPL) are given. The athlete's diet provided adequate micronutrient content well above RDA except for vitamin D. Simultaneous use of ten different supplements was reported, resulting in excess intake above tolerable UL for folate, vitamin E and Zn. Additionally, daily supplement dosage was considerably above MPL for nine micronutrients consumed as artificial products. Risks and possible side effects of exceeding UL by the athlete are discussed. Athletes with high energy intake may be at risk of exceeding UL of particular nutrients if multiple supplements are added. Therefore, dietary counselling of athletes should include assessment of habitual diet and nutritional supplement intake. Educating athletes to balance their diets instead of taking supplements might be prudent to prevent health risks that may occur with long-term excess nutrient intake. KW - Dietary supplements KW - Tolerable upper limits KW - Elite athletes KW - Vitamins KW - Minerals Y1 - 2011 U6 - https://doi.org/10.1017/S0007114510005556 SN - 0007-1145 VL - 105 IS - 12 SP - 1724 EP - 1728 PB - Cambridge Univ. Press CY - Cambridge ER - TY - JOUR A1 - Marsat, Jean-Noel A1 - Heydenreich, Matthias A1 - Kleinpeter, Erich A1 - Berlepsch, Hans V. A1 - Boettcher, Christoph A1 - Laschewsky, André T1 - Self-Assembly into multicompartment micelles and selective solubilization by Hydrophilic-Lipophilic-Fluorophilic block copolymers JF - Macromolecules : a publication of the American Chemical Society N2 - Amphiphilic linear ternary block copolymers (ABC) were synthesized in three consecutive steps by the reversible addition fragmentation chain transfer (RAFT) method. Using oligo(ethylene oxide) monomethyl ether acrylate, benzyl acrylate, and 1H,1H-perfluorobutyl acrylate monomers, the triblock copolymers consist of a hydrophilic (A), a lipophilic (B), and a fluorophilic (C) block. The block sequence of the triphilic copolymers was varied systematically to provide all possible variations: ABC, ACB, and BAC. All blocks have glass transition temperatures below 0 degrees C. Self-assembly into spherical micellar aggregates was observed in aqueous solution, where hydrophobic cores undergo local phase separation into various ultrastructures as shown by cryogenic transmission electron microscopy (cryo-TEM). Selective solubilization of substantial quantities of hydrocarbon and fluorocarbon low molar mass compounds by the lipophilic and fluorophilic block, respectively, is demonstrated. Y1 - 2011 U6 - https://doi.org/10.1021/ma200032j SN - 0024-9297 VL - 44 IS - 7 SP - 2092 EP - 2105 PB - American Chemical Society CY - Washington ER - TY - JOUR A1 - Pihlaja, Kalevi A1 - Sinkkonen, Jari A1 - Stajer, Geza A1 - Koch, Andreas A1 - Kleinpeter, Erich T1 - 1-Oxo-1,3-dithiolanes - synthesis and stereochemistry JF - Magnetic resonance in chemistry N2 - 1-Oxo-1,3-dithiolane (4) and its cis- and trans-2-methyl (5,6), -4-methyl (7,8) and -5-methyl (9,10) derivatives were prepared by oxidizing the corresponding 1,3-dithiolanes (1-3) with NaIO(4) in water. The oxides were purified and their isomers separated using thin layer chromatography. The structural characterization was carried out with (1)H and (13)C NMR spectroscopy and molecular modelling. The sulfoxides 4-6 and 8-10 attain two S(1) type envelopes (sometimes slightly distorted) the S=O(ax) envelope greatly dominating. Cis-4-methyl-1-oxo-1,3-dithiolane is a special case exhibiting both two closely related S=O(ax) (30 and 27%) as well as S=O(eq) (21 and 22%) forms [S(1) and C(4) envelopes, respectively]. The relative energies of these conformations, the values of (1)H-(1)H coupling constants and (1)H and (13)C chemical shifts were estimated by computational methods and they support well the conclusions based on the experimental data. KW - NMR KW - (1)H NMR KW - (13)C NMR KW - sulfur heterocycles KW - conformational analysis KW - computational chemistry Y1 - 2011 U6 - https://doi.org/10.1002/mrc.2764 SN - 0749-1581 VL - 49 IS - 7 SP - 443 EP - 449 PB - Wiley-Blackwell CY - Malden ER - TY - JOUR A1 - Mayer, Frank A1 - Scharhag-Rosenberger, Friederike A1 - Carlsohn, Anja A1 - Cassel, Michael A1 - Müller, Steffen A1 - Scharhag, Jürgen T1 - The intensity and effects of strength training in the elderly JF - Deutsches Ärzteblatt international : a weekly online journal of clinical medicine and public health N2 - Background: The elderly need strength training more and more as they grow older to stay mobile for their everyday activities. The goal of training is to reduce the loss of muscle mass and the resulting loss of motor function. The dose-response relationship of training intensity to training effect has not yet been fully elucidated. Methods: PubMed was selectively searched for articles that appeared in the past 5 years about the effects and dose-response relationship of strength training in the elderly. Results: Strength training in the elderly (> 60 years) increases muscle strength by increasing muscle mass, and by improving the recruitment of motor units, and increasing their firing rate. Muscle mass can be increased through training at an intensity corresponding to 60% to 85% of the individual maximum voluntary strength. Improving the rate of force development requires training at a higher intensity (above 85%), in the elderly just as in younger persons. It is now recommended that healthy old people should train 3 or 4 times weekly for the best results; persons with poor performance at the outset can achieve improvement even with less frequent training. Side effects are rare. Conclusion: Progressive strength training in the elderly is efficient, even with higher intensities, to reduce sarcopenia, and to retain motor function. Y1 - 2011 U6 - https://doi.org/10.3238/arztebl.2011.0359 SN - 1866-0452 VL - 108 IS - 21 SP - 359 EP - U30 PB - Dt. Ärzte-Verl. CY - Cologne ER - TY - JOUR A1 - Kleinpeter, Erich A1 - Koch, Andreas T1 - The anisotropic effect of functional groups in H-1 NMR spectra is the molecular response property of spatial NICS-the frozen conformational equilibria of 9-arylfluorenes JF - Tetrahedron N2 - Rotation about the single bond adjoining the aryl and fluorene moieties in 9-arylfluorenes can be frozen out on the NMR timescale if methyl groups are located at either one or both of the ortho positions of the aryl substituent. In the ground-state of these rotamers, the planes of the aryl and fluorene moieties are perpendicular to each other and the methyl substituents are consequently positioned either above the fluorene moiety or in-plane with it; thus, the methyl protons are either shielded or deshielded, respectively, due to the ring current effect of the fluorene moiety. This anisotropic effect on the H-1 chemical shifts of the methyl protons has been quantified on the basis of through-space NMR shieldings (TSNMRS) and subsequently Delta delta(calcd) compared with the experimentally observed chemical shift differences, Delta delta(exp). In this context, the experimental anisotropic effects of functional groups in the H-1 NMR have proven to quantitatively be the molecular response property of theoretical spatial nucleus independent chemical shieldings (NICS). Differences between Delta delta(calcd) and Delta delta(exp) were, for the first time, also quantified as arising from steric compression. KW - Through-space NMR shieldings (TSNMRS) KW - Spatial NICS KW - Anisotropic effect KW - Iso-chemical-shielding surfaces (ICSS) KW - 9-Arylfluorenes Y1 - 2011 U6 - https://doi.org/10.1016/j.tet.2011.06.005 SN - 0040-4020 VL - 67 IS - 32 SP - 5740 EP - 5743 PB - Elsevier CY - Oxford ER - TY - JOUR A1 - Shainyan, Bagrat A. A1 - Suslova, Elena N. A1 - Kleinpeter, Erich T1 - Conformational analysis of N-phenyl- and N-trifyl-4,4-dimethyl-4-silathiane 1-sulfimides JF - Journal of physical organic chemistry N2 - N-Substituted 4,4-dimethyl-4-silathiane 1-sulfimides Me2Si(sic)S=NSO2R [R- Ph (1), CF3 (2)] were studied experimentally by variable temperature dynamic NMR spectroscopy. Low temperature 13 C NMR spectra of the two compounds revealed the frozen ring inversion process and approximately equal content of the axial and equatorial conformers. Calculations of the 4-silathiane derivatives 1, 2 and the model compound [R Me (3)] as well as their carbon analogs, the similarly N-substituted (sic)S=NSO2R thiane 1-sulfimides [R = Ph (4), CF3 (5), Me (6)] at the DFT/B3LYP/6-311G(d, p) level in the gas phase and in chloroform solution using the PCM model at the same level of theory showed a strong dependence of the relative stability of the conformer on the solvent. The electronegative trifluoromethyl group increases the relative stability of the axial conformer. KW - 4-silathianes KW - conformational analysis KW - dynamic NMR KW - quantum chemical calculations KW - sulfimides Y1 - 2011 U6 - https://doi.org/10.1002/poc.1811 SN - 0894-3230 VL - 24 IS - 8 SP - 698 EP - 704 PB - Wiley-Blackwell CY - Malden ER - TY - JOUR A1 - Carlsohn, Anja A1 - Scharhag-Rosenberger, Friederike A1 - Cassel, Michael A1 - Weber, Josefine A1 - Guzman, Annette de Guzman A1 - Mayer, Frank T1 - Physical activity levels to estimate the energy requirement of adolescent athletes JF - Pediatric exercise science N2 - Adequate energy intake in adolescent athletes is considered important. Total energy expenditure (TEE) can be calculated from resting energy expenditure (REE) and physical activity level (PAL). However, validated PAL recommendations are available for adult athletes only. Purpose was to comprise physical activity data in adolescent athletes and to establish PAL recommendations for this population. In 64 competitive athletes (15.3 +/- 1.5yr, 20.5 +/- 2.0kg/m(2)) and 14 controls (15.1 +/- 1.1yr, 21 +/- 2.1kg/m(2)) TEE was calculated using 7-day activity protocols validated against doubly-labeled water. REE was estimated by Schofield-HW equation, and PAL was calculated as TEE:REE. Observed PAL in adolescent athletes (1.90 +/- 0.35) did not differ compared with controls (1.84 +/- 0.32, p = .582) and was lower than recommended for adult athletes by the WHO. In conclusion, applicability of PAL values recommended for adult athletes to estimate energy requirements in adolescent athletes must be questioned. Instead, a PAL range of 1.75-2.05 is suggested. Y1 - 2011 SN - 0899-8493 VL - 23 IS - 2 SP - 261 EP - 269 PB - Human Kinetics Publ. CY - Champaign ER - TY - JOUR A1 - Kleinpeter, Erich A1 - Laemmermann, Anica A1 - Kühn, Heiner T1 - Synthesis and NMR spectra of the syn and anti isomers of substituted cyclobutanes-evidence for steric and spatial hyperconjugative interactions JF - Tetrahedron N2 - The syn and anti isomers of cis,cis-tricyclo[5.3.0.0(2.6)]dec-3-ene derivatives have been synthesized and their (1)H and (13)C NMR spectra unequivocally analyzed. Both their structures and their (1)H and (13)C NMR chemical shifts were calculated by DFT, the latter two calculations employing the GIAO perturbation method. Additionally, calculated NMR shielding values were partitioned into Lewis and non-Lewis contributions from the bonds and lone pairs involved in the molecules by accompanying NBO and NCS analyses. The differences between the syn and anti isomers were evaluated with respect to steric and spatial hyperconjugation interactions. KW - Conformational analysis KW - cis,cis-Tricyclo[5.3.0.0(2,6)]dec-3-enes KW - NMR KW - DFT calculation KW - NBO/NCS analysis Y1 - 2011 U6 - https://doi.org/10.1016/j.tet.2011.02.012 SN - 0040-4020 VL - 67 IS - 14 SP - 2596 EP - 2604 PB - Elsevier CY - Oxford ER - TY - JOUR A1 - Neuvonen, Kari A1 - Neuvonen, Helmi A1 - Koch, Andreas A1 - Kleinpeter, Erich T1 - NBO analysis of polar and steric effect using the axial-equatorial equilibrium of cyclohexyl acetates as a probe JF - Computational and theoretical chemistry N2 - The proportion of the axial conformer increases in the ax reversible arrow eq equilibrium of cyclohexyl acetates (RCOOC(6)H(11), R reversible arrow Me, Et, iPr, tBu, CH(2)Cl, CHCl(2), CO(3). CH(2)Br, CHBr(2), CBr(3)) with the increasing size of the acyloxy substitution. The nature of this unexpected steric substituent effect, which is opposite to general stereochemical concepts, was studied by means of ab kiln MO method, accompanied by NBO and isodesmic calculations. NBO parameters seem to be good descriptors for quantitative prediction of the experimental Delta G degrees value of the title conformational equilibrium. The origin and propagation of the substituent effect of the polar substitutions (CH(2)Cl, CHCl(2), CCl(3), CH(2)Br, CHBr(2), CBr(3)) differ, however, from those of the pure alkyl (Me, Et, iPr, tBu) substitutions. The Delta G degrees value of the polar derivatives depends on the qC8 charges, on the occupation of the sigma(center dot)(C1-07) orbital and on the hyperconjugative pi(center dot)(c=O) -> sigma(center dot)(C10-X) and sigma(center dot)(C10-X) -> pi(center dot)(c=O) interactions. The substituent sensitivity of these NBC parameters for the two conformers differ to the effect that the ax reversible arrow eq equilibrium is shifted to the left side with increasing electron withdrawing character of the acyloxy group. The Delta G degrees values of the alkyl derivatives are interpreted in terms of the calculated dipole moments. The destabilization in the non-polar medium (the experimental Delta G degrees values used were measured in CD(2)Cl(2)) due to the enhanced dipolar character is more prominent in the case of the equatorial alkyl conformers. As the consequence, the ax reversible arrow eq equilibrium is shifted to the left despite the increasing size of the R group when going from Me to tBu substitution. KW - Substituent effects KW - Ab initio MO computations KW - Conformational equilibria KW - Cyclohexyl esters KW - NBO analysis Y1 - 2011 U6 - https://doi.org/10.1016/j.comptc.2010.12.033 SN - 2210-271X VL - 964 IS - 1-3 SP - 234 EP - 242 PB - Elsevier CY - Amsterdam ER - TY - JOUR A1 - Carlsohn, Anja A1 - Scharhag-Rosenberger, Friederike A1 - Cassel, Michael A1 - Mayer, Frank T1 - Resting metabolic rate in elite rowers and canoeists difference between indirect calorimetry and prediction JF - Annals of nutrition & metabolism : journal of nutrition, metabolic diseases and dietetics ; an official journal of International Union of Nutritional Sciences (IUNS) N2 - Background: Athletes may differ in their resting metabolic rate (RMR) from the general population. However, to estimate the RMR in athletes, prediction equations that have not been validated in athletes are often used. The purpose of this study was therefore to verify the applicability of commonly used RMR predictions for use in athletes. Methods: The RMR was measured by indirect calorimetry in 17 highly trained rowers and canoeists of the German national teams (BMI 24 +/- 2 kg/m(2), fat-free mass 69 +/- 15 kg). In addition, the RMR was predicted using Cunningham (CUN) and Harris-Benedict (HB) equations. A two-way repeated measures ANOVA was calculated to test for differences between predicted and measured RMR (alpha = 0.05). The root mean square percentage error (RMSPE) was calculated and the Bland-Altman procedure was used to quantify the bias for each prediction. Results: Prediction equations significantly underestimated the RMR in males (p < 0.001). The RMSPE was calculated to be 18.4% (CUN) and 20.9% (HB) in the entire group. The bias was 133 kcal/24 h for CUN and 202 kcal/24 h for HB. Conclusions: Predictions significantly underestimate the RMR in male heavyweight endurance athletes but not in females. In athletes with a high fat-free mass, prediction equations might therefore not be applicable to estimate energy requirements. Instead, measurement of the resting energy expenditure or specific prediction equations might be needed for the individual heavyweight athlete. KW - Energy requirement KW - Calorimetry KW - Fat-free mass KW - Nutritional counseling KW - Athletes Y1 - 2011 U6 - https://doi.org/10.1159/000330119 SN - 0250-6807 VL - 58 IS - 3 SP - 239 EP - 244 PB - Karger CY - Basel ER - TY - JOUR A1 - Kleinpeter, Erich A1 - Koch, Andreas T1 - Chelatoaromaticity-existing: yes or no? An answer given by spatial magnetic properties (through space NMR shieldings-TSNMRS) JF - Physical chemistry, chemical physics : a journal of European Chemical Societies N2 - The spatial magnetic properties (through space NMR shieldings-TSNMRS) of metal complexes (with ligands such as acetylacetone, 3-hydroxy-pyran(4) one) and "metallobenzenes" have been calculated by the GIAO perturbation method and visualized as Iso-Chemical-Shielding Surfaces (ICSS) of various sizes and directions. The TSNMRS values, thus obtained, can be successfully employed to quantify and visualize partial aromaticity of the metallocyclic ring by comparison with the spatial magnetic properties of the corresponding non-complexed ligands in comparable structural and electronic situations, and benzene, respectively. Because anisotropy/ring current effects in H-1 NMR spectra proved to be the molecular response property of TSNMRS, the results obtained concerning partial "chelatoaromaticity" are experimentally ensured. Y1 - 2011 U6 - https://doi.org/10.1039/c1cp21942a SN - 1463-9076 SN - 1463-9084 VL - 13 IS - 46 SP - 20593 EP - 20601 PB - Royal Society of Chemistry CY - Cambridge ER - TY - JOUR A1 - Kleinpeter, Erich A1 - Laemmermann, Anica A1 - Kühn, Heiner T1 - The anisotropic effect of functional groups in H-1 NMR spectra is the molecular response property of spatial nucleus independent chemical shifts (NICS)-Conformational equilibria of exo/endo tetrahydrodicyclopentadiene derivatives JF - Organic & biomolecular chemistry : an international journal of synthetic, physical and biomolecular organic chemistry N2 - The inversion of the flexible five-membered ring in tetrahydrodicyclopentadiene (TH-DCPD) derivatives remains fast on the NMR timescale even at 103 K. Since the intramolecular exchange process could not be sufficiently slowed for spectroscopic evaluation, the conformational equilibrium is thus inaccessible by dynamic NMR. Fortunately, the spatial magnetic properties of the aryl and carbonyl groups attached to the DCPD skeleton can be employed in order to evaluate the conformational state of the system. In this context, the anisotropic effects of the functional groups in the H-1 NMR spectra prove to be the molecular response property of spatial nucleus independent chemical shifts (NICS). Y1 - 2011 U6 - https://doi.org/10.1039/c0ob00356e SN - 1477-0520 VL - 9 IS - 4 SP - 1098 EP - 1111 PB - Royal Society of Chemistry CY - Cambridge ER - TY - JOUR A1 - Baur, Heiner A1 - Müller, Steffen A1 - Hirschmüller, Anja A1 - Cassel, Michael A1 - Weber, Josefine A1 - Mayer, Frank T1 - Comparison in lower leg neuromuscular activity between runners with unilateral mid-portion Achilles tendinopathy and healthy individuals JF - Journal of electromyography and kinesiology N2 - Neuromuscular control in functional situations and possible impairments due to Achilles tendinopathy are not well understood. Thirty controls (CO) and 30 runners with Achilles tendinopathy (AT) were tested on a treadmill at 3.33 m s(-1) (12 km h(-1)). Neuromuscular activity of the lower leg (tibialis anterior, peroneal, and gastrocnemius muscle) was measured by surface electromyography. Mean amplitude values (MAV) for the gait cycle phases preactivation, weight acceptance and push-off were calculated and normalised to the mean activity of the entire gait cycle. MAVs of the tibialis anterior did not differ between CO and AT in any gait cycle phase. The activation of the peroneal muscle was lower in AT in weight acceptance (p = 0.006), whereas no difference between CO and AT was found in preactivation (p = 0.71) and push-off (p = 0.83). Also, MAVs of the gastrocnemius muscle did not differ between AT and CO in preactivity (p = 0.71) but were reduced in AT during weight acceptance (p = 0.001) and push-off (p = 0.04). Achilles tendinopathy does not seem to alter pre-programmed neural control but might induce mechanical deficits of the lower extremity during weight bearing (joint stability). This should be addressed in the therapy process of AT. KW - Ankle joint KW - Electromyography KW - Overuse injury KW - Running gait Y1 - 2011 U6 - https://doi.org/10.1016/j.jelekin.2010.11.010 SN - 1050-6411 VL - 21 IS - 3 SP - 499 EP - 505 PB - Elsevier CY - Oxford ER - TY - GEN A1 - Kliegl, Reinhold A1 - Wei, Ping A1 - Dambacher, Michael A1 - Yan, Ming A1 - Zhou, Xiaolin T1 - Experimental effects and individual differences in linear mixed models: Estimating the relationship between spatial, object, and attraction effects in visual attention N2 - Linear mixed models (LMMs) provide a still underused methodological perspective on combining experimental and individual-differences research. Here we illustrate this approach with two-rectangle cueing in visual attention (Egly et al., 1994). We replicated previous experimental cue-validity effects relating to a spatial shift of attention within an object (spatial effect), to attention switch between objects (object effect), and to the attraction of attention toward the display centroid (attraction effect), also taking into account the design-inherent imbalance of valid and other trials. We simultaneously estimated variance/covariance components of subject-related random effects for these spatial, object, and attraction effects in addition to their mean reaction times (RTs). The spatial effect showed a strong positive correlation with mean RT and a strong negative correlation with the attraction effect. The analysis of individual differences suggests that slow subjects engage attention more strongly at the cued location than fast subjects. We compare this joint LMM analysis of experimental effects and associated subject-related variances and correlations with two frequently used alternative statistical procedures T3 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe - paper 236 KW - linear mixed model KW - individual differences KW - visual attention KW - spatial attention KW - object-based attention Y1 - 2011 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-56859 ER - TY - GEN A1 - Risse, Sarah A1 - Kliegl, Reinhold T1 - Adult age differences in the perceptual span during reading N2 - Following up on research suggesting an age-related reduction in the rightward extent of the perceptual span during reading (Rayner, Castelhano, & Yang, 2009), we compared old and young adults in an N+2-boundary paradigm in which a nonword preview of word N+2 or word N+2 itself is replaced by the target word once the eyes cross an invisible boundary located after word N. The intermediate word N+1 was always three letters long. Gaze durations on word N+2 were significantly shorter for identical than nonword N+2 preview both for young and for old adults with no significant difference in this preview benefit. Young adults, however, did modulate their gaze duration on word N more strongly than old adults in response to the difficulty of the parafoveal word N+1. Taken together, the results suggest a dissociation of preview benefit and parafoveal-on-foveal effect. Results are discussed in terms of age-related decline in resilience towards distributed processing while simultaneously preserving the ability to integrate parafoveal information into foveal processing. As such, the present results relate to proposals of regulatory compensation strategies older adults use to secure an overall reading speed very similar to that of young adults. T3 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe - paper 241 KW - age differences KW - perceptual span KW - N+2-boundary paradigm KW - preview benefit KW - parafoveal-on-foveal effect KW - compensation strategies Y1 - 2011 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-56935 ER - TY - GEN A1 - Kliegl, Reinhold A1 - Bates, Douglas T1 - International Collaboration in Psychology is on the Rise N2 - There has been a substantial increase in the percentage for publications with co-authors located in departments from different countries in 12 major journals of psychology. The results are evidence for a remarkable internationalization of psychological research, starting in the mid 1970s and increasing in rate at the beginning of the 1990s. This growth occurs against a constant number of articles with authors from the same country; it is not due to a concomitant increase in the number of co-authors per article. Thus, international collaboration in psychology is obviously on the rise. T3 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe - paper 244 Y1 - 2011 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-57045 ER - TY - JOUR A1 - Weiss, Andrea Y. A1 - Huisinga, Wilhelm T1 - Error-controlled global sensitivity analysis of ordinary differential equations JF - Journal of computational physics N2 - We propose a novel strategy for global sensitivity analysis of ordinary differential equations. It is based on an error-controlled solution of the partial differential equation (PDE) that describes the evolution of the probability density function associated with the input uncertainty/variability. The density yields a more accurate estimate of the output uncertainty/variability, where not only some observables (such as mean and variance) but also structural properties (e.g., skewness, heavy tails, bi-modality) can be resolved up to a selected accuracy. For the adaptive solution of the PDE Cauchy problem we use the Rothe method with multiplicative error correction, which was originally developed for the solution of parabolic PDEs. We show that, unlike in parabolic problems, conservation properties necessitate a coupling of temporal and spatial accuracy to avoid accumulation of spatial approximation errors over time. We provide convergence conditions for the numerical scheme and suggest an implementation using approximate approximations for spatial discretization to efficiently resolve the coupling of temporal and spatial accuracy. The performance of the method is studied by means of low-dimensional case studies. The favorable properties of the spatial discretization technique suggest that this may be the starting point for an error-controlled sensitivity analysis in higher dimensions. KW - ODE with random initial conditions KW - Global sensitivity analysis KW - Cauchy problem KW - Error control/adaptivity KW - Rothe method KW - Approximate approximations Y1 - 2011 U6 - https://doi.org/10.1016/j.jcp.2011.05.011 SN - 0021-9991 VL - 230 IS - 17 SP - 6824 EP - 6842 PB - Elsevier CY - San Diego ER - TY - JOUR A1 - Pilari, Sabine A1 - Preusse, Cornelia A1 - Huisinga, Wilhelm T1 - Gestational influences on the pharmacokinetics of gestagenic drugs a combined in silico, in vitro and in vivo analysis JF - European journal of pharmaceutical sciences : official journal of the European Federation for Pharmaceutical Sciences, EUFEPS N2 - During preclinical development of a gestagenic drug, a significant increase of the total plasma concentration was observed after multiple dosing in pregnant rabbits, but not in (non-pregnant) rats or monkeys. We used a PBPK modeling approach in combination with in vitro and in vivo data to address the question to what extent the pharmacologically active free drug concentration is affected by pregnancy induced processes. In human, a significant increase in sex hormone binding globulin (SHBG), and an induction of hepatic CYP3A4 as well as plasma esterases is observed during pregnancy. We find that the observed increase in total plasma trough levels in rabbits can be explained as a combined result of (i) drug accumulation due to multiple dosing, (ii) increase of the binding protein SHBG, and (iii) clearance induction. For human, we predict that free drug concentrations in plasma would not increase during pregnancy above the steady state trough level for non-pregnant women. KW - PBPK KW - Pregnancy KW - Gestagenic drug KW - Protein binding KW - SHBG KW - Clearance induction Y1 - 2011 U6 - https://doi.org/10.1016/j.ejps.2010.12.003 SN - 0928-0987 VL - 42 IS - 4 SP - 318 EP - 331 PB - Elsevier CY - Amsterdam ER - TY - JOUR A1 - von Kleist, Max A1 - Menz, Stephan A1 - Stocker, Hartmut A1 - Arasteh, Keikawus A1 - Schuette, Christof A1 - Huisinga, Wilhelm T1 - HIV quasispecies dynamics during pro-active treatment switching impact on multi-drug resistance and resistance archiving in latent reservoirs JF - PLoS one N2 - The human immunodeficiency virus (HIV) can be suppressed by highly active anti-retroviral therapy (HAART) in the majority of infected patients. Nevertheless, treatment interruptions inevitably result in viral rebounds from persistent, latently infected cells, necessitating lifelong treatment. Virological failure due to resistance development is a frequent event and the major threat to treatment success. Currently, it is recommended to change treatment after the confirmation of virological failure. However, at the moment virological failure is detected, drug resistant mutants already replicate in great numbers. They infect numerous cells, many of which will turn into latently infected cells. This pool of cells represents an archive of resistance, which has the potential of limiting future treatment options. The objective of this study was to design a treatment strategy for treatment-naive patients that decreases the likelihood of early treatment failure and preserves future treatment options. We propose to apply a single, pro-active treatment switch, following a period of treatment with an induction regimen. The main goal of the induction regimen is to decrease the abundance of randomly generated mutants that confer resistance to the maintenance regimen, thereby increasing subsequent treatment success. Treatment is switched before the overgrowth and archiving of mutant strains that carry resistance against the induction regimen and would limit its future re-use. In silico modelling shows that an optimal trade-off is achieved by switching treatment at & 80 days after the initiation of antiviral therapy. Evaluation of the proposed treatment strategy demonstrated significant improvements in terms of resistance archiving and virological response, as compared to conventional HAART. While continuous pro-active treatment alternation improved the clinical outcome in a randomized trial, our results indicate that a similar improvement might also be reached after a single pro-active treatment switch. The clinical validity of this finding, however, remains to be shown by a corresponding trial. Y1 - 2011 U6 - https://doi.org/10.1371/journal.pone.0018204 SN - 1932-6203 VL - 6 IS - 3 PB - PLoS CY - San Fransisco ER - TY - JOUR A1 - Risse, Sarah A1 - Kliegl, Reinhold T1 - Adult age differences in the perceptual span during reading JF - Psychology and aging N2 - Following up on research suggesting an age-related reduction in the rightward extent of the perceptual span during reading (Rayner, Castelhano, & Yang, 2009), we compared old and young adults in an N + 2-boundary paradigm in which a nonword preview of word N + 2 or word N + 2 itself is replaced by the target word once the eyes cross an invisible boundary located after word N. The intermediate word N + I was always three letters long. Gaze durations on word N + 2 were significantly shorter for identical than nonword N + 2 preview both for young and for old adults, with no significant difference in this preview benefit. Young adults, however, did modulate their gaze duration on word N more strongly than old adults in response to the difficulty of the parafoveal word N + I. Taken together, the results suggest a dissociation of preview benefit and parafoveal-on-foveal effect. Results are discussed in terms of age-related decline in resilience towards distributed processing while simultaneously preserving the ability to integrate parafoveal information into foveal processing. As such, the present results relate to proposals of regulatory compensation strategies older adults use to secure an overall reading speed very similar to that of young adults. KW - age differences KW - perceptual span KW - preview benefit KW - parafoveal-on-foveal effect KW - compensation strategies Y1 - 2011 U6 - https://doi.org/10.1037/a0021616 SN - 0882-7974 VL - 26 IS - 2 SP - 451 EP - 460 PB - American Psychological Association CY - Washington ER - TY - THES A1 - Giesewetter, Stefan T1 - Resolute readings of later Wittgenstein and the challenge of avoiding hierarchies in philosophy T1 - Strenge Lesarten der Spätphilosophie Wittgensteins und die Vermeidung von Hierarchien in der Philosophie N2 - This dissertation addresses the question: How did later Wittgenstein aim to achieve his goal of putting forward a way of dissolving philosophical problems which centered on asking ourselves what we mean by our words – yet which did not entail any claims about the essence of language and meaning? This question is discussed with reference to “resolute” readings of Wittgenstein. I discuss the readings of James Conant, Oskari Kuusela, and Martin Gustafsson. I follow Oskari Kuusela’s claim that in order to fully appreciate how later Wittgenstein meant to achieve his goal, we need to clearly see how he aimed to do away with hierarchies in philosophy: Not only is the dissolution of philosophical problems via the method of clarifying the grammar of expressions to be taken as independent from any theses about what meaning must be – but furthermore, it is to be taken as independent from the dissolution of any particular problem via this method. As Kuusela stresses, this also holds for the problems involving rule-following and meaning: the clarification of the grammar of “rule” and “meaning” has no foundational status – it is nothing on which the method of clarifying the grammar of expressions as such were meant to in any way rely on. The lead question of this dissertation then is: What does it mean to come to see that the method of dissolving philosophical problems by asking “How is this word actually used?” does not in any way rely on the results of our having investigated the grammar of the particular concepts “rule” and “meaning”? What is the relation of such results – results such as “To follow a rule, [...], to obey an order, [...] are customs (uses, institutions)” or “The meaning of a word is its use in the language” – to this method? From this vantage point, I concern myself with two aspects of the readings of Gustafsson and Kuusela. In Gustafsson, I concern myself with his idea that the dissolution of philosophical problems in general “relies on” the very agreement which – during the dissolution of the rule-following problem – comes out as a presupposition for our talk of “meaning” in terms of rules. In Kuusela, I concern myself with his idea that Wittgenstein, in adopting a way of philosophical clarification which investigates the actual use of expressions, is following the model of “meaning as use” – which model he had previously introduced in order to perspicuously present an aspect of the actual use of the word “meaning”. This dissertation aims to show how these two aspects of Gustafsson’s and Kuusela’s readings still fail to live up to the vision of Wittgenstein as a philosopher who aimed to do away with any hierarchies in philosophy. I base this conclusion on a detailed analysis of which of the occasions where Wittgenstein invokes the notions of “use” and “application” (as also “agreement”) have to do with the dissolution of a specific problem only, and which have to do with the dissolution of philosophical problems in general. I discuss Wittgenstein’s remarks on rule-following, showing how in the dissolution of the rule-following paradox, notions such as “use”, “application”, and “practice” figure on two distinct logical levels. I then discuss an example of what happens when this distinction is not duly heeded: Gordon Baker and Peter Hacker’s idea that the rule-following remarks have a special significance for his project of dissolving philosophical problems as such. I furnish an argument to the effect that their idea that the clarification of the rules of grammar of the particular expression “following a rule” could answer a question about rules of grammar in general rests on a conflation of the two logical levels on which “use” occurs in the rule-following remarks, and that it leads into a regress. I then show that Gustafsson’s view – despite its decisive advance over Baker and Hacker – contains a version of that same idea, and that it likewise leads into a regress. Finally, I show that Kuusela’s idea of a special significance of the model “meaning as use” for the whole of the method of stating rules for the use of words is open to a regress argument of a similar kind as that he himself advances against Baker and Hacker. I conclude that in order to avoid such a regress, we need to reject the idea that the grammatical remark “The meaning of a word is its use in the language” – because of the occurrence of “use” in it – stood in any special relation to the method of dissolving philosophical problems by describing the use of words. Rather, we need to take this method as independent from this outcome of the investigation of the use of the particular word “meaning”. N2 - Die Ausgangsfrage dieser Dissertation ist: Wie gedachte der späte Wittgenstein sein Ziel zu erreichen, eine Art und Weise der Auflösung philosophischer Probleme zu vorzulegen, die daran ansetzt, was wir mit unseren Worten meinen, jedoch keine Thesen über Sprache und Bedeutung mit sich zieht? Ich behandele diese Frage mit Bezug auf sogenannte „strenge“ Lesarten Wittgensteins. Ich befasse mich mit den Interpretationen von James Conant, Oskari Kuusela und Martin Gustafsson. Ich nehme Kuuselas Gedanken auf, daß zu einem vollen Verständnis davon, wie Wittgenstein sein philosophisches Ziel zu erreichen gedachte, gehört, die Abwesenheit von Hierarchien in seiner Spätphilosophie zu sehen: nicht nur sollte die Auflösung philosophischer Probleme mithilfe der Methode der Klärung der Grammatik von Ausdrücken von jeden Thesen darüber, wie sprachliche Bedeutung zustande kommt, unabhängig sein – sondern darüberhinaus auch unabhängig von der Auflösung bestimmter Einzelprobleme mittels dieser Methode. Dies, so Kuusela, gelte auch für die Probleme um Regelfolgen und um Bedeutung: „Regel“, „meinen“, und „Bedeutung“ seien keine Grundbegriffe, auf deren Klärung die Methode der Klärung der Grammatik von Ausdrücken in irgendeiner Weise aufbaue. Die Leitfrage dieser Dissertation ist: Was genau heißt es zu verstehen, daß die Auflösung philosophischer Probleme mittels der Frage „Wie wird dieses Wort tatsächlich gebraucht?“ nicht auf Ergebnissen der Untersuchung der Grammatik der Begriffe „Regel“ und „Bedeutung“ aufbaut? In welcher Beziehung stehen diese Ergebnisse – Ergebnisse wie „Einer Regel folgen, [...], einen Befehl geben, [...] sind Gepflogenheiten (Gebräuche, Institutionen)“ und „Die Bedeutung eines Wortes ist sein Gebrauch in der Sprache“ – dann zu dieser Methode? Unter diesem Blickwinkel befasse ich mich mit zwei Aspekten der Lesarten von Gustafsson und Kuusela. Bei Gustafsson befasse ich mit der Auffassung, die Auflösung philosophischer Probleme an sich „beruhe auf“ genau der Art von Übereinstimmung, die sich – im Zuge der Auflösung des Regelfolgen-Problems – als eine Voraussetzung für unsere Rede von „meinen“ und „bedeuten“ herausstellt. Bei Kuusela befasse ich mich mit der Idee, daß Wittgenstein, indem er zur Auflösung philosophischer Probleme die Frage nach dem tatsächlichen Gebrauch von Wörtern einführt, dem Modell „Bedeutung als Gebrauch“ folgt – welches er vorher eingeführt hatte, um einen Aspekt des tatsächlichen Gebrauchs des Wortes „Bedeutung“ übersichtlich darzustellen. Ich versuche zu zeigen, warum diese beiden Aspekte der Lesarten von Gustafsson und Kuusela noch zurückfallen hinter die Vision von Wittgenstein als einem Philosophen, dem es darum geht, Hierarchien zu vermeiden. Zur Begründung lege ich eine detaillierte Analyse der Art und Weise des Auftretens der Begriffe „Gebrauch“, „Verwendung“ und „Anwendung“ (sowie „Übereinstimmung“) in Wittgensteins Spätphilosophie vor. Wie ich zeige, läßt sich das Auftreten dieser Begriffe unterteilen in Fälle, wo es im Zusammenhang steht mit der Auflösung bestimmter Einzelprobleme, und Fälle, in denen es im Zusammenhang steht mit Auflösung philosophischer Probleme im Allgemeinen. Als Beispiel behandele ich Wittgensteins Bemerkungen über Regelfolgen. Ich zeige, wie in der Auflösung des Regelparadoxes Begriffe wie „Gebrauch“, „Verwendung“, „Anwendung“ auf zwei unterschiedlichen logischen Ebenen auftreten. Dann behandele ich Gordon Bakers und Peter Hackers Auffassung, Wittgensteins Bemerkungen zum Regelfolgen hätten eine besondere Bedeutung für sein Projekt der Auflösung philosophischer Probleme an sich. Ich lege ein Argument dafür vor, daß ihre Idee, die Klärung der Regeln der Grammatik des bestimmten einzelnen Ausdrucks „einer Regel folgen“ könne eine Frage über Regeln der Grammatik im Allgemeinen beantworten, auf einer Vermengung der beiden Ebenen basiert, auf denen der Begriff „Gebrauch“ in den Regelfolgen-Bemerkungen vorkommt, und daher in einen Regreß führt. Anschließend zeige ich, daß dies auch für Gustafssons Idee gilt. Schließlich zeige ich, daß Kuuselas Auffassung, das Modell „Bedeutung als Gebrauch“ – gewonnen im Rahmen der Untersuchung der tatsächlichen Verwendung des Wortes „Bedeutung“ – habe eine besondere Relevanz für die Methode der Untersuchung der tatsächlichen Verwendung von Wörtern an sich, ebenfalls in einen Regreß führt. Meine Schlußfolgerung ist, daß die grammatische Bemerkung „Die Bedeutung eines Wortes ist sein Gebrauch in der Sprache“ in keinem besonderen Bezug zu Wittgensteins Methode der Untersuchung des tatsächlichen Gebrauchs von Ausdrücken stehen kann. Stattdessen muß diese Methode als unabhängig von diesem Ergebnis der Untersuchung des Gebrauchs des bestimmten Wortes „Bedeutung“ betrachtet werden. KW - Wittgenstein KW - Methode KW - Regelfolgen KW - Conant KW - Kuusela KW - Wittgenstein KW - method KW - rule-following KW - Conant KW - Kuusela Y1 - 2011 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-57021 ER - TY - JOUR A1 - Sicard, Adrien A1 - Lenhard, Michael T1 - The selfing syndrome a model for studying the genetic and evolutionary basis of morphological adaptation in plants JF - Annals of botany N2 - Background In angiosperm evolution, autogamously selfing lineages have been derived from outbreeding ancestors multiple times, and this transition is regarded as one of the most common evolutionary tendencies in flowering plants. In most cases, it is accompanied by a characteristic set of morphological and functional changes to the flowers, together termed the selfing syndrome. Two major areas that have changed during evolution of the selfing syndrome are sex allocation to male vs. female function and flower morphology, in particular flower (mainly petal) size and the distance between anthers and stigma. Scope A rich body of theoretical, taxonomic, ecological and genetic studies have addressed the evolutionary modification of these two trait complexes during or after the transition to selfing. Here, we review our current knowledge about the genetics and evolution of the selfing syndrome. Conclusions We argue that because of its frequent parallel evolution, the selfing syndrome represents an ideal model for addressing basic questions about morphological evolution and adaptation in flowering plants, but that realizing this potential will require the molecular identification of more of the causal genes underlying relevant trait variation. KW - Evolution KW - selfing syndrome KW - autogamy KW - pollen-to-ovule ratio KW - flower size KW - herkogamy KW - quantitative trait loci KW - self-incompatibility Y1 - 2011 U6 - https://doi.org/10.1093/aob/mcr023 SN - 0305-7364 SN - 1095-8290 VL - 107 IS - 9 SP - 1433 EP - 1443 PB - Oxford Univ. Press CY - Oxford ER - TY - JOUR A1 - Wischnewski, Juliane A1 - Mackay, Anson W. A1 - Appleby, Peter G. A1 - Mischke, Steffen A1 - Herzschuh, Ulrike T1 - Modest diatom responses to regional warming on the southeast Tibetan Plateau during the last two centuries JF - Journal of paleolimnolog N2 - A general mean annual temperature increase accompanied with substantial glacial retreat has been noted on the Tibetan Plateau during the last two centuries but most significantly since the mid 1950s. These climate trends are particularly apparent on the southeastern Tibetan Plateau. However, the Tibetan Plateau (due to its heterogeneous mountain landscape) has very complex and spatially differing temperature and precipitations patterns. As a result, intensive palaeolimnological investigations are necessary to decipher these climatic patterns and to understand ecological responses to recent environmental change. Here we present palaeolimnological results from a (210)Pb/(137)Cs-dated sediment core spanning approximately the last 200 years from a remote high-mountain lake (LC6 Lake, working name) on the southeastern Tibetan Plateau. Sediment profiles of diatoms, organic variables (TOC, C:N) and grain size were investigated. The (210)Pb record suggests a period of rapid sedimentation, which might be linked to major tectonic events in the region ca. 1950. Furthermore, unusually high (210)Pb supply rates over the last 50 years suggest that the lake has possibly been subjected to increasing precipitation rates, sediment focussing and/or increased spring thaw. The majority of diatom taxa encountered in the core are typical of slightly acidic to circumneutral, oligotrophic, electrolyte-poor lakes. Diatom species assemblages were rich, and dominated by Cyclotella sp., Achnanthes sp., Aulacoseira sp. and fragilarioid taxa. Diatom compositional change was minimal over the 200-year period (DCCA = 0.85 SD, p = 0.59); only a slightly more diverse but unstable diatom assemblage was recorded during the past 50 years. The results indicate that large-scale environmental changes recorded in the twentieth century (i.e. increased precipitation and temperatures) are likely having an affect on the LC6 Lake, but so far these impacts are more apparent on the lake geochemistry than on the diatom flora. Local and/or regional peculiarities, such as increasing precipitation and cloud cover, or localized climatic phenomena, such as negative climate feedbacks, might have offset the effects of increasing mean surface temperatures. KW - Diatoms KW - Tibetan Plateau KW - Mountain lake KW - Climate change KW - Lake sediments KW - Palaeolimnology Y1 - 2011 U6 - https://doi.org/10.1007/s10933-011-9533-x SN - 0921-2728 VL - 46 IS - 2 SP - 215 EP - 227 PB - Springer CY - Dordrecht ER - TY - JOUR A1 - Wischnewski, Juliane A1 - Mischke, Steffen A1 - Wang, Yongbo A1 - Herzschuh, Ulrike T1 - Reconstructing climate variability on the northeastern Tibetan Plateau since the last Lateglacial - a multi-proxy, dual-site approach comparing terrestrial and aquatic signals JF - Quaternary science reviews : the international multidisciplinary research and review journal N2 - A sediment core from a closed basin lake (Lake Kuhai) from the semi-arid northeastern Tibetan Plateau was analysed for its pollen record to infer Lateglacial and post glacial vegetation and climatic change. At Lake Kuhai five major vegetation and climate shifts could be identified: (1) a change from cold and dry to relatively warmer and more moist conditions at 14.8 cal ka BP: (2) a shift to conditions of higher effective moisture and a stepwise warmer climate at 13.6 cal ka BP; (3) a further shift with increased moisture but colder conditions at 7.0 cal ka BP; (4) a return to a significantly colder and drier phase at 6.3 cal ka BP; (5) and a change back to relatively moist conditions at 2.2 cal ka BP. To investigate the response of lake ecosystems to climatic changes, statistical comparisons were made between the lake Kuhai pollen record and a formerly published ostracod and sedimentary record from the same sediment core. Furthermore, the pollen and lacustrine proxies from lake Kuhai were compared to a previously published pollen and lacustrine record from the nearby Lake Koucha. Statistical comparisons were done using non-metric multidimensional scaling and Procrustes rotation. Differences between lacustrine and pollen responses within one site could be identified, suggesting that lacustrine proxies are partly influenced by in-lake or local catchment processes, whereas the terrestrial (pollen) proxy shows a regional climate signal. Furthermore, we found regional differences in proxy response between lake Kuhai and Lake Koucha. Both pollen records reacted in similar ways to major environmental changes, with minor differences in the timing and magnitude of these changes. The lacustrine records were very similar in their timing and magnitude of response to environmental changes; however, the nature of change was at times very distinct. To place the current study in the context of Holocene moisture evolution across the Tibetan Plateau, we applied a five-scale moisture index and average link clustering to all available continuous palaeo-climate records from the Tibetan Plateau to possibly find general patterns of moisture evolution on the Plateau. However, no common regional pattern of moisture evolution during the Holocene could be detected. We assign this to complex responses of different proxies to environmental and atmospheric changes in an already very heterogeneous mountain landscape where minor differences in elevation can cause strong variation in microenvironments. Y1 - 2011 U6 - https://doi.org/10.1016/j.quascirev.2010.10.001 SN - 0277-3791 VL - 30 IS - 1-2 SP - 82 EP - 97 PB - Elsevier CY - Oxford ER - TY - JOUR A1 - Wang, Yongbo A1 - Herzschuh, Ulrike T1 - Reassessment of Holocene vegetation change on the upper Tibetan Plateau using the pollen-based REVEALS model JF - Review of palaeobotany and palynology : an international journal N2 - Previous studies based on fossil pollen data have reported significant changes in vegetation on the alpine Tibetan Plateau during the Holocene. However, since the relative proportions of fossil pollen taxa are largely influenced by individual pollen productivities and the dispersal characteristics, such inferences on vegetation have the potential to be considerably biased. We therefore examined the modern pollen-vegetation relationships for four common pollen species on the Tibetan Plateau, using Extended R-value (ERV) models. Assuming an average radius of 100 m for the sampled lakes, we estimated the relevant source area of pollen (RSAP) to be 2200 m (which represents the distance from the lake). Using Poaceae as the reference taxa (Pollen Productivity Estimate, PPE = 1), ERV Submodel 2 derived relative high PPEs for the steppe and desert taxa: 2.079 +/- 0.432 for Artemisia and 5.379 +/- 1.077 for Chenopodiaceae. Low PPEs were estimated for the Cyperaceae (1.036 +/- 0.012). whose plants are characteristic of the alpine Kobresia meadows. Applying these PPEs to four fossil pollen sequences since the Late Glacial, the plant abundances on the central and north-eastern Tibetan Plateau were quantified using the "Regional Estimates of Vegetation Abundance from Large Sites" (REVEALS) model. The proportions of Artemisia and Chenopodiaceae were greatly reduced compared to their original pollen percentages in the reconstructed vegetation, owing to their high productivities and their dispersal characteristics, while Cyperaceae showed a relative increase in the vegetation reconstruction. The reconstructed vegetation assemblages of the four pollen sequence sites always yielded smaller compositional species turnovers than suggested by the pollen spectra, as revealed by Detrended Canonical Correspondence Analyses (DCCA) of the Holocene sections. The strength of the previously reported vegetation changes may therefore have been overestimated, which indicates the importance of taking into account pollen-vegetation relationships when discussing the potential drivers (such as climate, land use, atmospheric CO(2) concentrations) and implications (such as for land surface-climate feedbacks, carbon storage, and biodiversity) of vegetation change. KW - pollen productivity KW - vegetation reconstruction KW - ERV model KW - REVEALS model KW - Holocene KW - Tibetan Plateau Y1 - 2011 U6 - https://doi.org/10.1016/j.revpalbo.2011.09.004 SN - 0034-6667 VL - 168 IS - 1 SP - 31 EP - 40 PB - Elsevier CY - Amsterdam ER - TY - JOUR A1 - Wischnewski, Juliane A1 - Kramer, Annette A1 - Kong, Zhaochen A1 - Mackay, Anson W. A1 - Simpson, Gavin L. A1 - Mischke, Steffen A1 - Herzschuh, Ulrike T1 - Terrestrial and aquatic responses to climate change and human impact on the southeastern Tibetan Plateau during the past two centuries JF - Global change biology N2 - Rapid population growth and economic development have led to increased anthropogenic pressures on the Tibetan Plateau, causing significant land cover changes with potentially severe ecological consequences. To assess whether or not these pressures are also affecting the remote montane-boreal lakes on the SE Tibetan Plateau, fossil pollen and diatom data from two lakes were synthesized. The interplay of aquatic and terrestrial ecosystem response was explored in respect to climate variability and human activity over the past 200 years. Nonmetric multidimensional scaling and Procrustes rotation analysis were undertaken to determine whether pollen and diatom responses in each lake were similar and synchronous. Detrended canonical correspondence analysis was used to develop quantitative estimates of compositional species turnover. Despite instrumental evidence of significant climatic warming on the southeastern Plateau, the pollen and diatom records indicate very stable species composition throughout their profiles and show only very subtle responses to environmental changes over the past 200 years. The compositional species turnover (0.36-0.94 SD) is relatively low in comparison to the species reorganizations known from the periods during the mid-and early-Holocene (0.64-1.61 SD) on the SE Plateau, and also in comparison to turnover rates of sediment records from climate-sensitive regions in the circum arctic. Our results indicate that climatically induced ecological thresholds are not yet crossed, but that human activity has an increasing influence, particularly on the terrestrial ecosystem in our study area. Synergistic processes of post-Little Ice Age warming, 20th century climate warming and extensive reforestations since the 19th century have initiated a change from natural oak-pine forests to seminatural, likely less resilient pine-oak forests. Further warming and anthropogenic disturbances would possibly exceed the ecological threshold of these ecosystems and lead to severe ecological consequences. KW - climate change KW - compositional species turnover KW - diatoms KW - human impact KW - pollen KW - Procrustes rotation KW - Tibetan Plateau Y1 - 2011 U6 - https://doi.org/10.1111/j.1365-2486.2011.02474.x SN - 1354-1013 VL - 17 IS - 11 SP - 3376 EP - 3391 PB - Wiley-Blackwell CY - Malden ER - TY - JOUR A1 - Grossart, Hans-Peter A1 - Frindte, Katharina A1 - Dziallas, Claudia A1 - Eckert, Werner A1 - Tang, Kam W. T1 - Microbial methane production in oxygenated water column of an oligotrophic lake JF - Proceedings of the National Academy of Sciences of the United States of America N2 - The prevailing paradigm in aquatic science is that microbial methanogenesis happens primarily in anoxic environments. Here, we used multiple complementary approaches to show that microbial methane production could and did occur in the well-oxygenated water column of an oligotrophic lake (Lake Stechlin, Germany). Oversaturation of methane was repeatedly recorded in the well-oxygenated upper 10 m of the water column, and the methane maxima coincided with oxygen oversaturation at 6 m. Laboratory incubations of unamended epilimnetic lake water and inoculations of photoautotrophs with a lake-enrichment culture both led to methane production even in the presence of oxygen, and the production was not affected by the addition of inorganic phosphate or methylated compounds. Methane production was also detected by in-lake incubations of lake water, and the highest production rate was 1.8-2.4 nM.h(-1) at 6 m, which could explain 33-44% of the observed ambient methane accumulation in the same month. Temporal and spatial uncoupling between methanogenesis and methanotrophy was supported by field and laboratory measurements, which also helped explain the oversaturation of methane in the upper water column. Potentially methanogenic Archaea were detected in situ in the oxygenated, methane-rich epilimnion, and their attachment to photoautotrophs might allow for anaerobic growth and direct transfer of substrates for methane production. Specific PCR on mRNA of the methyl coenzyme M reductase A gene revealed active methanogenesis. Microbial methane production in oxygenated water represents a hitherto overlooked source of methane and can be important for carbon cycling in the aquatic environments and water to air methane flux. KW - epilimnic methane peak KW - methanogens Y1 - 2011 U6 - https://doi.org/10.1073/pnas.1110716108 SN - 0027-8424 VL - 108 IS - 49 SP - 19657 EP - 19661 PB - National Acad. of Sciences CY - Washington ER - TY - JOUR A1 - Ni, Jian A1 - Herzschuh, Ulrike T1 - Simulating biome distribution on the Tibetan Plateau using a modified global vegetation model JF - Arctic, antarctic, and alpine research : an interdisciplinary journal N2 - We used a regionally modified global vegetation model (BIOME4-Tibet) to simulate biome distribution on the Tibetan Plateau under current climate conditions derived from regional meteorological observations. The bioclimatic limits (mean temperatures of the coldest and warmest months, minimum temperature, growing degree-days on 5 degrees C and 0 degrees C bases) for some key alpine plant functional types (temperate deciduous and conifer trees, boreal deciduous and conifer trees, desert woody plants, tundra shrubs, cold herbaceous plants, and lichens/forbs) were redefined based on regional vegetation-climate relationships. Modern vegetation maps confirmed that the BIOME4-Tibet model does a better job of simulating biome patterns on the plateau (gridcell agreement 52%) than the original BIOME4 model (35%). This improved model enhanced our ability to simulate temperate conifer forest, cool conifer and mixed forest, evergreen taiga, temperate xerophytic shrubland, temperate grassland and desert, and steppe and shrub tundra biomes, but made a negligible or reduced difference to the prediction of temperate deciduous forest, warm-temperate mixed forest, and three tundra biomes (erect dwarf-shrub tundra, prostrate dwarf-shrub tundra, and cushion forb, lichen, and moss tundra). Future modification of the vegetation model, by increasing the number of shrub and herb plant functional types, re-parameterization of more precise bioclimatic constraints, and improved representation of soil, permafrost, and snow processes, will be needed to better characterize the distribution of alpine vegetation on the Tibetan Plateau. Y1 - 2011 U6 - https://doi.org/10.1657/1938-4246-43.3.429 SN - 1523-0430 VL - 43 IS - 3 SP - 429 EP - 441 PB - Institute of Arctic and Alpine Research, University of Colorado CY - Boulder ER - TY - JOUR A1 - Schmelzbach, C. A1 - Scherbaum, Frank A1 - Tronicke, Jens A1 - Dietrich, P. T1 - Bayesian frequency-domain blind deconvolution of ground-penetrating radar data JF - Journal of applied geophysics N2 - Enhancing the resolution and accuracy of surface ground-penetrating radar (GPR) reflection data by inverse filtering to recover a zero-phased band-limited reflectivity image requires a deconvolution technique that takes the mixed-phase character of the embedded wavelet into account. In contrast, standard stochastic deconvolution techniques assume that the wavelet is minimum phase and, hence, often meet with limited success when applied to GPR data. We present a new general-purpose blind deconvolution algorithm for mixed-phase wavelet estimation and deconvolution that (1) uses the parametrization of a mixed-phase wavelet as the convolution of the wavelet's minimum-phase equivalent with a dispersive all-pass filter, (2) includes prior information about the wavelet to be estimated in a Bayesian framework, and (3) relies on the assumption of a sparse reflectivity. Solving the normal equations using the data autocorrelation function provides an inverse filter that optimally removes the minimum-phase equivalent of the wavelet from the data, which leaves traces with a balanced amplitude spectrum but distorted phase. To compensate for the remaining phase errors, we invert in the frequency domain for an all-pass filter thereby taking advantage of the fact that the action of the all-pass filter is exclusively contained in its phase spectrum. A key element of our algorithm and a novelty in blind deconvolution is the inclusion of prior information that allows resolving ambiguities in polarity and timing that cannot be resolved using the sparseness measure alone. We employ a global inversion approach for non-linear optimization to find the all-pass filter phase values for each signal frequency. We tested the robustness and reliability of our algorithm on synthetic data with different wavelets, 1-D reflectivity models of different complexity, varying levels of added noise, and different types of prior information. When applied to realistic synthetic 2-D data and 2-D field data, we obtain images with increased temporal resolution compared to the results of standard processing. KW - Deconvolution KW - Inverse filtering KW - Ground penetrating radar KW - GPR KW - Data processing KW - Vertical resolution Y1 - 2011 U6 - https://doi.org/10.1016/j.jappgeo.2011.08.010 SN - 0926-9851 VL - 75 IS - 4 SP - 615 EP - 630 PB - Elsevier CY - Amsterdam ER - TY - JOUR A1 - Schmelzbach, C. A1 - Tronicke, Jens A1 - Dietrich, P. T1 - Three-dimensional hydrostratigraphic models from ground-penetrating radar and direct-push data JF - Journal of hydrology N2 - Three-dimensional models of hydraulic conductivity and porosity are essential to understand and simulate groundwater flow in heterogeneous geological environments. However, considering the inherent limitations of traditional hydrogeological field methods in terms of resolution, alternative field approaches are needed to establish such 3-D models with sufficient accuracy. In this study, we developed a workflow combining 3-D structural information extracted from ground penetrating radar (GPR) images with 1-D in situ physical-property estimates from direct-push (DP) logging to construct a 3-D hydrostratigraphic model. To illustrate this workflow, we collected an similar to 70 m x 90 m 100 MHz 3-D GPR data set over a shallow sedimentary aquifer system resolving six different GPR facies down to similar to 15 m depth. DP logs of the relative dielectric permittivity, the relative hydraulic conductivity, the cone resistance, the sleeve friction and the pore pressure provided crucial data (1) to establish a GPR velocity model for 3-D depth migration and to check the time-to-depth conversion of the GPR data, and (2) to construct a 3-D hydrostratigraphic model. This model was built by assigning porosity values, which were computed from the DP relative dielectric permittivity logs, and DP relative hydraulic conductivity estimates to the identified GPR facies. We conclude that the integration of 3-D GPR structural images and 1-D DP logs of target physical parameters provides an efficient way for detailed 3-D subsurface characterization as needed, for example, for groundwater flow simulations. KW - Ground-penetrating radar KW - Direct push KW - Hydrostratigraphic model KW - Three-dimensional KW - Aquifer KW - Saturated zone Y1 - 2011 U6 - https://doi.org/10.1016/j.jhydrol.2010.12.023 SN - 0022-1694 SN - 1879-2707 VL - 398 IS - 3-4 SP - 235 EP - 245 PB - Elsevier CY - Amsterdam ER - TY - JOUR A1 - Hirschmüller, Anja A1 - Konstantinidis, Lukas A1 - Baur, Heiner A1 - Müller, Steffen A1 - Mehlhorn, Alexander A1 - Kontermann, Julia A1 - Grosse, Ulrich A1 - Südkamp, Norbert P. A1 - Helwig, Peter T1 - Do changes in dynamic plantar pressure distribution, strength capacity and postural control after intra-articular calcaneal fracture correlate with clinical and radiological outcome? JF - Injury : international journal of the care of the injured N2 - Fractures of the calcaneus are often associated with serious permanent disability, a considerable reduction in quality of life, and high socio-economic cost. Although some studies have already reported changes in plantar pressure distribution after calcaneal fracture, no investigation has yet focused on the patient's strength and postural control. Method: 60 patients with unilateral, operatively treated, intra-articular calcaneal fractures were clinically and biomechanically evaluated >1 year postoperatively (physical examination, SF-36, AOFAS score, lower leg isokinetic strength, postural control and gait analysis including plantar pressure distribution). Results were correlated to clinical outcome and preoperative radiological findings (Bohler angle, Zwipp and Sanders Score). Results: Clinical examination revealed a statistically significant reduction in range of motion at the tibiotalar and the subtalar joint on the affected side. Additionally, there was a statistically significant reduction of plantar flexor peak torque of the injured compared to the uninjured limb (p < 0.001) as well as a reduction in postural control that was also more pronounced on the initially injured side (standing duration 4.2 +/- 2.9 s vs. 7.6 +/- 2.1 s, p < 0.05). Plantar pressure measurements revealed a statistically significant pressure reduction at the hindfoot (p = 0.0007) and a pressure increase at the midfoot (p = 0.0001) and beneath the lateral forefoot (p = 0.037) of the injured foot. There was only a weak correlation between radiological classifications and clinical outcome but a moderate correlation between strength differences and the clinical questionnaires (CC 0.27-0.4) as well as between standing duration and the clinical questionnaires. Although thigh circumference was also reduced on the injured side, there was no important relationship between changes in lower leg circumference and strength suggesting that measurement of leg circumference may not be a valid assessment of maximum strength deficits. Self-selected walking speed was the parameter that showed the best correlation with clinical outcome (AOFAS score). Conclusion: Calcaneal fractures are associated with a significant reduction in ankle joint ROM, plantar flexion strength and postural control. These impairments seem to be highly relevant to the patients. Restoration of muscular strength and proprioception should therefore be aggressively addressed in the rehabilitation process after these fractures. KW - Intra-articular calcaneal fracture KW - Calcaneus KW - Muscle strength KW - Peak torque KW - Plantar pressure distribution KW - Proprioception KW - Postural control KW - Balance KW - Gait KW - Rehabilitation Y1 - 2011 U6 - https://doi.org/10.1016/j.injury.2010.09.040 SN - 0020-1383 VL - 42 IS - 10 SP - 1135 EP - 1143 PB - Elsevier CY - Oxford ER - TY - JOUR A1 - Baur, Heiner A1 - Hirschmüller, Anja A1 - Müller, Steffen A1 - Mayer, Frank T1 - Neuromuscular activity of the peroneal muscle after foot orthoses therapy in runners JF - Medicine and science in sports and exercise : official journal of the American College of Sports Medicine N2 - BAUR, H., A. HIRSCHMULLER, S. MULLER, and F. MAYER. Neuromuscular Activity of the Peroneal Muscle after Foot Orthoses Therapy in Runners. Med. Sci. Sports Exerc., Vol. 43, No. 8, pp. 1500-1506, 2011. Purpose: Foot orthoses are a standard option to treat overuse injury. Biomechanical data providing mechanisms of foot orthoses' effectiveness are sparse. Stability of the ankle joint complex might be a key factor. The purpose was therefore to analyze neuromuscular activity of the musculus peroneus longus in runners with overuse injury symptoms treated with foot orthoses. Methods: A total of 99 male and female runners with overuse injury symptoms randomized in a control group (CO) and an orthoses group (OR) were analyzed on a treadmill at 3.3 m.s(-1) before and after an 8-wk foot orthoses intervention. Muscular activity of the musculus peroneus longus was measured and quantified in the time domain (initial onset of activation (T-ini), time of maximal activity (T-max), total time of activation (T-tot)) and amplitude domain (amplitude in preactivation (A(pre)), weight acceptance (A(wa)), push-off (A(po))). Results: Peroneal activity in the time domain did not differ initially between CO and OR, and no effect was observed after therapy (T-ini: CO = -0.88 +/- 0.09, OR = -0.88 +/- 0.08 / T-max: CO = 0.14 +/- 0.06, OR = 0.15 +/- 0.06 / T-tot: CO = 0.40 +/- 0.09, OR = 0.41 +/- 0.09; P > 0.05). In preactivation (Apre), muscle activity was higher in OR after intervention (CO = 0.97 +/- 0.32, 95% confidence interval = 0.90-1.05; OR = 1.18 +/- 0.43, 95% confidence interval = 1.08-1.28; P = 0.003). There was no group or intervention effect during stance (A(wa): CO = 2.33 +/- 0.66, OR = 2.33 +/- 0.74 / A(po): CO = 0.80 +/- 0.41, OR = 0.88 +/- 0.40; P > 0.05). Conclusions: Enhanced muscle activation of the musculus peroneus longus in preactivation suggests an altered preprogrammed activity, which might lead to better ankle stability providing a possible mode of action for foot orthoses therapy. KW - ANKLE JOINT KW - EMG KW - INSERT KW - INSOLE KW - JOINT STABILITY KW - OVERUSE INJURY Y1 - 2011 U6 - https://doi.org/10.1249/MSS.0b013e31820c64ae SN - 0195-9131 VL - 43 IS - 8 SP - 1500 EP - 1506 PB - Lippincott Williams & Wilkins CY - Philadelphia ER - TY - JOUR A1 - Müller, Steffen A1 - Mayer, Patrizia A1 - Baur, Heiner A1 - Mayer, Frank T1 - Higher velocities in isokinetic dynamometry a pilot study of new test mode with active compensation of inertia JF - Isokinetics and exercise science : official journal of the European Isokinetic Society N2 - Isokinetic dynamometry is a standard technique for strength testing and training. Nevertheless reliability and validity is limited due to inertia effects, especially for high velocities. Therefore in a first methodological approach the purpose was to evaluate a new isokinetic measurement mode including inertia compensation compared to a classic isokinetic measurement mode for single and multijoint movements at different velocities. Isokinetic maximum strength measurements were carried out in 26 healthy active subjects. Tests were performed using classic isokinetic and new isokinetic mode in random order. Maximum torque/force, maximum movement velocity and time for acceleration were calculated. For inter-instrument agreement Bland and Altman analysis, systematic and random error was quantified. Differences between both methods were assessed (ANOVA alpha = 0.05). Bland and Altman analysis showed the highest agreement between the two modes for strength and velocity measurements (bias: < +/- 1.1%; LOA: < 14.2%) in knee flexion/extension at slow isokinetic velocity (60 degrees/s). Least agreement (range: bias: -67.6% +/- 119.0%; LOA: 53.4% 69.3%) was observed for shoulder/arm test at high isokinetic velocity (360 degrees/s). The Isokin(new) mode showed higher maximum movement velocities (p < 0.05). For low isokinetic velocities the new mode agrees with the classic mode. Especially at high isokinetic velocities the new isokinetic mode shows relevant benefits coupled with a possible trade-off with the force/torque measurement. In conclusion, this study offers for the first time a comparison between the 'classical' and inertia-compensated isokinetic dynamometers indicating the advantages and disadvantages associated with each individual approach, particularly as they relate to medium or high velocities in testing and training. KW - Strength testing KW - concentric KW - validity KW - trunk KW - knee KW - shoulder Y1 - 2011 U6 - https://doi.org/10.3233/IES-2011-0398 SN - 0959-3020 VL - 19 IS - 2 SP - 63 EP - 70 PB - IOS Press CY - Amsterdam ER - TY - JOUR A1 - Hirschmüller, Anja A1 - Baur, Heiner A1 - Müller, Steffen A1 - Helwig, Peter A1 - Dickhuth, Hans-Hermann A1 - Mayer, Frank T1 - Clinical effectiveness of customised sport shoe orthoses for overuse injuries in runners a randomised controlled study JF - British journal of sports medicine : the journal of sport and exercise medicine N2 - Background and objectives Treatment of chronic running-related overuse injuries by orthopaedic shoe orthoses is very common but not evidence-based to date. Hypothesis Polyurethane foam orthoses adapted to a participant's barefoot plantar pressure distribution are an effective treatment option for chronic overuse injuries in runners. Design Prospective, randomised, controlled clinical trial. Intervention 51 patients with running injuries were treated with custom-made, semirigid running shoe orthoses for 8 weeks. 48 served as a randomised control group that continued regular training activity without any treatment. Main outcome measures Evaluation was made by the validated pain questionnaire Subjective Pain Experience Scale, the pain disability index and a comfort index in the orthoses group (ICI). Results There were statistically significant differences between the orthoses and control groups at 8 weeks for the pain disability index (mean difference 3.2; 95% CI 0.9 to 5.5) and the Subjective Pain Experience Scale (6.6; 2.6 to 10.6). The patients with orthoses reported a rising wearing comfort (pre-treatment ICI 69/100; post-treatment ICI 83/100) that was most pronounced in the first 4 weeks (ICI 80.4/100). Conclusion Customised polyurethane running shoe orthoses are an effective conservative therapy strategy for chronic running injuries with high comfort and acceptance of injured runners. Y1 - 2011 U6 - https://doi.org/10.1136/bjsm.2008.055830 SN - 0306-3674 VL - 45 IS - 12 SP - 959 EP - 965 PB - BMJ Publ. Group CY - London ER - TY - THES A1 - Risse, Sarah T1 - Processing in the perceptual span : investigations with the n+2-boundary paradigm T1 - Verarbeitung in der Wahrnehmungsspanne : Untersuchungen mit dem n+2-Boundary Paradigm N2 - Cognitive psychology is traditionally interested in the interaction of perception, cognition, and behavioral control. Investigating eye movements in reading constitutes a field of research in which the processes and interactions of these subsystems can be studied in a well-defined environment. Thereby, the following questions are pursued: How much information is visually perceived during a fixation, how is processing achieved and temporally coordinated from visual letter encoding to final sentence comprehension, and how do such processes reflect on behavior such as the control of the eyes’ movements during reading. Various theoretical models have been proposed to account for the specific eye-movement behavior in reading (for a review see Reichle, Rayner, & Pollatsek, 2003). Some models are based on the idea of shifting attention serially from one word to the next within the sentence whereas others propose distributed attention allocating processing resources to more than one word at a time. As attention is assumed to drive word recognition processes one major difference between these models is that word processing must either occur in strict serial order, or that word processing is achieved in parallel. In spite of this crucial difference in the time course of word processing, both model classes perform well on explaining many of the benchmark effects in reading. In fact, there seems to be not much empirical evidence that challenges the models to a point at which their basic assumptions could be falsified. One issue often perceived as being decisive in the debate on serial and parallel word processing is how not-yet-fixated words to the right of fixation affect eye movements. Specifically, evidence is discussed as to what spatial extent such parafoveal words are previewed and how this influences current and subsequent word processing. Four experiments investigated parafoveal processing close to the spatial limits of the perceptual span. The present work aims to go beyond mere existence proofs of previewing words at such spatial distances. Introducing a manipulation that dissociates the sources of long-range preview effects, benefits and costs of parafoveal processing can be investigated in a single analysis and the differing impact is tracked across a three-word target region. In addition, the same manipulation evaluates the role of oculomotor error as the cause of non-local distributed effects. In this respect, the results contribute to a better understanding of the time course of word processing inside the perceptual span and attention allocation during reading. N2 - Die kognitive Psychologie beschäftigt sich traditionell mit dem Zusammenspiel von Wahrnehmung, Kognition und Verhaltenssteuerung. Die Untersuchung von Blickbewegungen beim Lesen bildet dabei ein Forschungsfeld, in dem die Prozesse und Interaktionen dieser Subsysteme in einem klar definierten Rahmen untersucht werden können. Dabei geht es speziell um die Frage, wie viel Information visuell wahrgenommen wird, wie die kognitive Weiterverarbeitung der visuellen Buchstabeninformation über lexikalische Wortverarbeitung hin zu einem inhaltlichen Satzverständnis zeitlich koordiniert ist, und wie sich diese Prozesse auf das Verhalten – die Steuerung der Blickbewegung – auswirken. Verschiedene Modelle zur Erklärung des spezifischen Blickbewegungsverhaltens beim Lesen wurden vorgeschlagen (für einen Überblick siehe Reichle, Rayner, & Pollatsek, 2003). Einige Modelle basieren auf der Annahme serieller Aufmerksamkeitsverschiebung von Wort zu Wort, wohingegen andere verteilte Aufmerksamkeit auf eine Region mehrerer Wörter im Satz gleichzeitig annehmen. Da Aufmerksamkeit eng mit der eigentlichen Wortverarbeitung assoziiert ist, besteht ein wesentlicher Unterschied zwischen den Modellen darin, dass die eigentlichen Wortverarbeitungsprozesse entweder ebenfalls strikt seriell oder parallel erfolgen. Trotz solch entscheidender Unterschiede im zeitlichen Verlauf der Wortverarbeitung können beide Modellklassen viele der Benchmark-Effekte beim Lesen hinreichend erklären. Tatsächlich scheint es nicht viel empirische Evidenz zu geben, die die Grundannahmen der Modelle falsifizieren könnte. Die Frage, ob und wie noch nicht direkt angesehene Wörter rechts der Fixation die Blickbewegung beeinflussen, wird in der Debatte über serielle oder parallele Wortverarbeitung oft als entscheidend betrachtet. Insbesondere wird diskutiert, bis zu welcher Entfernung parafoveale Wörter vorverarbeitet werden und wie das die gegenwärtige und folgende Wortverarbeitung beeinflusst. In einer Serie von vier Leseexperimenten wurde die Vorverarbeitung von Wörtern an den Grenzen der Wahrnehmungsspanne untersucht. Die vorliegende Arbeit versucht zudem, über einen einfachen Existenzbeweis der Vorverarbeitung von Wörtern in solchen Distanzen hinaus zu gehen. Mit einer Manipulation, die verschiedene Quellen solcher weitreichenden Vorverarbeitungseffekte dissoziiert, können Nutzen und Kosten der parafovealen Vorschau in einer einzigen Analyse untersucht und über eine Zielregion von drei Wörtern hinweg verfolgt werden. Dieselbe Manipulation überprüft gleichzeitig die Rolle okulomotorischer Fehler als Ursache für nicht lokale, verteilte Effekte beim Lesen. Die Ergebnisse tragen zu einem differenzierteren Verständnis der Wortverarbeitung in der Wahrnehmungsspanne und der zeitlich-räumlichen Verteilung der Aufmerksamkeit beim Lesen bei. KW - Blickbewegungen KW - Lesen KW - parafoveale Wortverarbeitung KW - Aufmerksamkeit KW - Preview Benefit KW - eye movements KW - reading KW - parafoveal processing KW - attention KW - preview benefit Y1 - 2011 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-60414 ER - TY - GEN A1 - Boston, Marisa Ferrara A1 - Hale, John T. A1 - Vasishth, Shravan A1 - Kliegl, Reinhold T1 - Parallel processing and sentence comprehension difficulty N2 - Eye fixation durations during normal reading correlate with processing difficulty but the specific cognitive mechanisms reflected in these measures are not well understood. This study finds support in German readers’ eyefixations for two distinct difficulty metrics: surprisal, which reflects the change in probabilities across syntactic analyses as new words are integrated, and retrieval, which quantifies comprehension difficulty in terms of working memory constraints. We examine the predictions of both metrics using a family of dependency parsers indexed by an upper limit on the number of candidate syntactic analyses they retain at successive words. Surprisal models all fixation measures and regression probability. By contrast, retrieval does not model any measure in serial processing. As more candidate analyses are considered in parallel at each word, retrieval can account for the same measures as surprisal. This pattern suggests an important role for ranked parallelism in theories of sentence comprehension. T3 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe - paper 252 Y1 - 2011 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-57159 ER - TY - THES A1 - Gendt, Anja T1 - Eye movements under the control of working memory : the challenge of a reading-span task T1 - Blickbewegungen unter Arbeitsgedächtniskontrolle : Die Herausforderungen einer Lesespannenaufgabe N2 - During reading oculomotor processes guide the eyes over the text. The visual information recorded is accessed, evaluated and processed. Only by retrieving the meaning of a word from the long-term memory, as well as through the connection and storage of the information about each individual word, is it possible to access the semantic meaning of a sentence. Therefore memory, and here in particular working memory, plays a pivotal role in the basic processes of reading. The following dissertation investigates to what extent different demands on memory and memory capacity have an effect on eye movement behavior while reading. The frequently used paradigm of the reading span task, in which test subjects read and evaluate individual sentences, was used for the experimental review of the research questions. The results speak for the fact that working memory processes have a direct effect on various eye movement measurements. Thus a high working memory load, for example, reduced the perceptual span while reading. The lower the individual working memory capacity of the reader was, the stronger was the influence of the working memory load on the processing of the sentence. N2 - Beim Lesen steuern okulomotorische Prozesse die Blickbewegungen über den Text. Die aufgenommenen visuellen Informationen werden erschlossen, beurteilt und verarbeitet. Erst durch den Abruf der Wortbedeutung aus dem Langzeitgedächtnis, und die Verknüpfung sowie Speicherung der einzelnen Wortinformationen erschließt sich die semantische Bedeutung eines Satzes. Somit stellt das Gedächtnis und hier insbesondere das Arbeitsgedächtnis eines der grundlegenden Prozesse für das Lesen dar. Die vorliegende Dissertation untersucht inwieweit sich unterschiedliche Gedächtnisanforderungen und Gedächtniskapazitäten auf das Blickverhalten während des Lesens auswirken. Für die experimentelle Überprüfung der Forschungsfragen wurde das in der Arbeitsgedächtnisforschung sehr häufig genutzte Paradigma der Lesespannenaufgabe verwendet, bei dem Probanden einzelne Sätze lesen und beurteilen. Die Ergebnisse sprechen für einen direkten Einfluss von Arbeitsgedächtnisprozessen auf verschiedene Blickbewegungsmaße. So reduzierte eine hohe Arbeitsgedächtnisbelastung beispielsweise die perzeptuelle Spanne während des Lesens. Je geringer die individuelle Arbeitsgedächtniskapazität des Lesers war, desto stärker war der Einfluss der Arbeitsgedächtnisbelastung auf die Satzverarbeitung. KW - Blickbewegungen KW - Arbeitsgedächtnis KW - Lesen KW - Lesespanne KW - eye movements KW - working memory KW - reading KW - reading-span Y1 - 2011 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-69224 ER - TY - JOUR A1 - Kiel, Mareike A1 - Möhwald, Helmuth A1 - Bargheer, Matias T1 - Broadband measurements of the transient optical complex dielectric function of a nanoparticle/polymer composite upon ultrafast excitation JF - Physical review : B, Condensed matter and materials physics N2 - We determined experimentally the complex transient optical dielectric function of a well-characterized polyelectrolyte/gold-nanoparticle composite system over a broad spectral range upon short pulse laser excitation by simultaneously measuring the time-dependent reflectance and transmittance of white light pulses with femtosecond pump-probe spectroscopy. We extracted directly the ultrafast changes in the real and imaginary parts of the effective dielectric function, epsilon(eff)(r) (omega,t)and epsilon(eff)(i) (omega,t), from the experiment. This complete experimental set of information on the time-dependent complex dielectric function challenges theories modeling the transient dielectric function of gold particles and the effective medium. Y1 - 2011 U6 - https://doi.org/10.1103/PhysRevB.84.165121 SN - 1098-0121 VL - 84 IS - 16 PB - American Physical Society CY - College Park ER - TY - JOUR A1 - Kliegl, Reinhold A1 - Wei, Ping A1 - Dambacher, Michael A1 - Yan, Ming A1 - Zhou, Xiaolin T1 - Experimental effects and individual differences in linear mixed models estimating the relationship between spatial, object, and attraction effects in visual attention JF - Frontiers in psychology N2 - Linear mixed models (LMMs) provide a still underused methodological perspective on combining experimental and individual-differences research. Here we illustrate this approach with two-rectangle cueing in visual attention (Egly et al., 1994). We replicated previous experimental cue-validity effects relating to a spatial shift of attention within an object (spatial effect), to attention switch between objects (object effect), and to the attraction of attention toward the display centroid (attraction effect), also taking into account the design-inherent imbalance of valid and other trials. We simultaneously estimated variance/covariance components of subject-related random effects for these spatial, object, and attraction effects in addition to their mean reaction times (RTs). The spatial effect showed a strong positive correlation with mean RT and a strong negative correlation with the attraction effect. The analysis of individual differences suggests that slow subjects engage attention more strongly at the cued location than fast subjects. We compare this joint LMM analysis of experimental effects and associated subject-related variances and correlations with two frequently used alternative statistical procedures. KW - linear mixed model KW - individual differences KW - visual attention KW - spatial attention KW - object-based attention Y1 - 2011 U6 - https://doi.org/10.3389/fpsyg.2010.00238 SN - 1664-1078 VL - 2 PB - Frontiers Research Foundation CY - Lausanne ER -