TY - THES A1 - Aue, Lars T1 - Cyclone impacts on sea ice in the Atlantic Arctic Ocean T1 - Auswirkungen von Zyklonen auf das Meereis im Atlantischen Arktischen Ozean N2 - The Arctic is the hot spot of the ongoing, global climate change. Over the last decades, near-surface temperatures in the Arctic have been rising almost four times faster than on global average. This amplified warming of the Arctic and the associated rapid changes of its environment are largely influenced by interactions between individual components of the Arctic climate system. On daily to weekly time scales, storms can have major impacts on the Arctic sea-ice cover and are thus an important part of these interactions within the Arctic climate. The sea-ice impacts of storms are related to high wind speeds, which enhance the drift and deformation of sea ice, as well as to changes in the surface energy budget in association with air mass advection, which impact the seasonal sea-ice growth and melt. The occurrence of storms in the Arctic is typically associated with the passage of transient cyclones. Even though the above described mechanisms how storms/cyclones impact the Arctic sea ice are in principal known, there is a lack of statistical quantification of these effects. In accordance with that, the overarching objective of this thesis is to statistically quantify cyclone impacts on sea-ice concentration (SIC) in the Atlantic Arctic Ocean over the last four decades. In order to further advance the understanding of the related mechanisms, an additional objective is to separate dynamic and thermodynamic cyclone impacts on sea ice and assess their relative importance. Finally, this thesis aims to quantify recent changes in cyclone impacts on SIC. These research objectives are tackled utilizing various data sets, including atmospheric and oceanic reanalysis data as well as a coupled model simulation and a cyclone tracking algorithm. Results from this thesis demonstrate that cyclones are significantly impacting SIC in the Atlantic Arctic Ocean from autumn to spring, while there are mostly no significant impacts in summer. The strength and the sign (SIC decreasing or SIC increasing) of the cyclone impacts strongly depends on the considered daily time scale and the region of the Atlantic Arctic Ocean. Specifically, an initial decrease in SIC (day -3 to day 0 relative to the cyclone) is found in the Greenland, Barents and Kara Seas, while SIC increases following cyclones (day 0 to day 5 relative to the cyclone) are mostly limited to the Barents and Kara Seas. For the cold season, this results in a pronounced regional difference between overall (day -3 to day 5 relative to the cyclone) SIC-decreasing cyclone impacts in the Greenland Sea and overall SIC-increasing cyclone impacts in the Barents and Kara Seas. A cyclone case study based on a coupled model simulation indicates that both dynamic and thermodynamic mechanisms contribute to cyclone impacts on sea ice in winter. A typical pattern consisting of an initial dominance of dynamic sea-ice changes followed by enhanced thermodynamic ice growth after the cyclone passage was found. This enhanced ice growth after the cyclone passage most likely also explains the (statistical) overall SIC-increasing effects of cyclones in the Barents and Kara Seas in the cold season. Significant changes in cyclone impacts on SIC over the last four decades have emerged throughout the year. These recent changes are strongly varying from region to region and month to month. The strongest trends in cyclone impacts on SIC are found in autumn in the Barents and Kara Seas. Here, the magnitude of destructive cyclone impacts on SIC has approximately doubled over the last four decades. The SIC-increasing effects following the cyclone passage have particularly weakened in the Barents Sea in autumn. As a consequence, previously existing overall SIC-increasing cyclone impacts in this region in autumn have recently disappeared. Generally, results from this thesis show that changes in the state of the sea-ice cover (decrease in mean sea-ice concentration and thickness) and near-surface air temperature are most important for changed cyclone impacts on SIC, while changes in cyclone properties (i.e. intensity) do not play a significant role. N2 - Die Arktis ist der Hotspot des globalen Klimawandels. In den letzten Jahrzehnten sind die oberflächennahen Temperaturen in der Arktis fast viermal so schnell gestiegen wie im globalen Durchschnitt. Diese verstärkte Erwärmung der Arktis und die damit verbundenen raschen Umweltveränderungen werden u.a. durch Wechselwirkungen zwischen den einzelnen Komponenten des arktischen Klimasystems angetrieben. Auf täglichen bis wöchentlichen Zeitskalen können Stürme große Einflüsse auf das arktische Meereis haben und sind somit ein wichtiger Teil dieser Wechselwirkungen innerhalb des arktischen Klimas. Der Einfluss der Stürme auf das Meereis resultiert aus den hohen Windgeschwindigkeiten, welche die Drift und Verformung des Meereises verstärken, sowie aus Änderungen in der Oberflächenenergiebilanz im Zusammenhang mit der Advektion von Luftmassen, was das Wachstum und Schmelzen des Meereises beeinflusst. Das Auftreten von Stürmen in der Arktis ist oft mit dem Durchzug von Zyklonen verbunden. Obwohl die oben beschriebenen Mechanismen, wie sich Stürme/Zyklone auf das arktische Meereis auswirken, im Prinzip bekannt sind, fehlt es an einer statistischen Quantifizierung dieser Effekte. Dementsprechend ist das übergeordnete Ziel dieser Arbeit eine statistische Quantifizierung der Auswirkungen von Zyklonen auf die Meereiskonzentration (engl. Sea Ice Concentration, SIC) im atlantischen Arktischen Ozeans über die letzten vier Jahrzehnte. Um ein Verständnis für die zugrunde liegenden Mechanismen zu erlangen, besteht ein weiteres Ziel darin, die dynamischen und thermodynamischen Auswirkungen von Zyklonen auf das Meereis zu trennen und ihre relative Bedeutung zu analysieren. Zuletzt zielt diese Arbeit darauf ab, aktuelle Veränderungen der Zykloneneinflüsse auf das Meereis zu quantifizieren. Zum Erreichen dieser Forschungsziele werden verschiedene Datensätze genutzt, darunter atmosphärische und ozeanische Reanalysedaten sowie eine gekoppelte Modellsimulation und ein Algorithmus zur automatischen Identifikation von Zyklonen. Die Ergebnisse dieser Arbeit zeigen, dass Zyklone die SIC im atlantischen Arktischen Ozean von Herbst bis Frühjahr signifikant beeinflussen, während es im Sommer meist keine signifikanten Auswirkungen gibt. Die Stärke und das Vorzeichen (abnehmende oder zunehmende SIC) der Auswirkungen der Zyklone hängt stark von der betrachteten täglichen Zeitskala und der Region des Arktischen Ozeans ab. So ist ein anfänglicher Rückgang der SIC (Tag -3 bis Tag 0 relativ zum Zyklonendurchgang) in der Grönland-, der Barents- und der Karasee festzustellen, während ein SIC-Anstieg nach dem Zyklonendurchgang (Tag 0 bis Tag 5 relativ zum Zyklonendurchgang) hauptsächlich auf die Barents- und die Karasee beschränkt ist. Für die kalte Jahreszeit ergibt sich daraus ein ausgeprägter regionaler Unterschied zwischen insgesamt (Tag -3 bis Tag 5 relativ zum Zyklon) SIC-verringernden Zyklonenauswirkungen in der Grönlandsee und insgesamt SIC-erhöhenden Zyklonenauswirkungen in der Barents- und Karasee. Die Analyse spezifischer Zyklonenfälle basierend auf einer gekoppelten Modellsimulation zeigt, dass sowohl dynamische als auch thermodynamische Mechanismen zu den Auswirkungen von Zyklonen auf das Meereis im Winter beitragen. Hierbei wurde ein typisches Muster bestehend aus einer anfänglichen Dominanz dynamischer Meereisveränderungen gefolgt von verstärktem thermodynamischem Eiswachstum nach der Zyklonenpassage gefunden. Dieses verstärkte Eiswachstum nach der Zyklonenpassage erklärt u.a. auch die (statistischen) insgesamt SIC-erhöhenden Effekte von Zyklonen in der Barents- und Karasee im Winter. Signifikante Änderungen in den Auswirkungen von Zyklonen auf die SIC über die letzten vier Dekaden sind das ganze Jahr über zu finden. Diese Veränderungen variieren stark von Region zu Region und von Monat zu Monat. Die stärksten Trends in den Auswirkungen von Zyklonen auf die SIC sind im Herbst in der Barents- und Karasee zu beobachten. Hier hat sich die Stärke der zerstörerischen Auswirkungen von Zyklonen auf die SIC in den letzten vier Jahrzehnten ungefähr verdoppelt. Die SIC-erhöhenden Effekte nach der Zyklonenpassage haben sich in der Barentssee im Herbst besonders abgeschwächt. Dadurch sind zuvor existierende, insgesamt SIC-erhöhende Zyklonenauswirkungen in dieser Region und Jahreszeit zuletzt verschwunden. Generell zeigen die Ergebnisse dieser Arbeit, dass Änderungen im Zustand des Meereises (Abnahme der mittleren Meereiskonzentration und -dicke) sowie in der Lufttemperatur die veränderten Auswirkungen der Zyklonen auf die SIC antreiben, während Veränderungen in den Eigenschaften der Zyklonen (z.B. ihre Intensität) keine wesentliche Rolle spielen. KW - Arctic KW - atmosphere KW - sea ice KW - cyclones KW - meteorology KW - Arktis KW - Atmosphäre KW - Meereis KW - Zyklone KW - Meteorologie Y1 - 2024 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-634458 SP - VIII, 131 ER - TY - JOUR A1 - Wolf, Sebastian G. A1 - Huismans, Ritske S. A1 - Braun, Jean A1 - Yuan, Xiaoping T1 - Topography of mountain belts controlled by rheology and surface processes JF - Nature : the international weekly journal of science N2 - It is widely recognized that collisional mountain belt topography is generated by crustal thickening and lowered by river bedrock erosion, linking climate and tectonics(1-4). However, whether surface processes or lithospheric strength control mountain belt height, shape and longevity remains uncertain. Additionally, how to reconcile high erosion rates in some active orogens with long-term survival of mountain belts for hundreds of millions of years remains enigmatic. Here we investigate mountain belt growth and decay using a new coupled surface process(5,6) and mantle-scale tectonic model(7). End-member models and the new non-dimensional Beaumont number, Bm, quantify how surface processes and tectonics control the topographic evolution of mountain belts, and enable the definition of three end-member types of growing orogens: type 1, non-steady state, strength controlled (Bm > 0.5); type 2, flux steady state(8), strength controlled (Bm approximate to 0.4-0.5); and type 3, flux steady state, erosion controlled (Bm < 0.4). Our results indicate that tectonics dominate in Himalaya-Tibet and the Central Andes (both type 1), efficient surface processes balance high convergence rates in Taiwan (probably type 2) and surface processes dominate in the Southern Alps of New Zealand (type 3). Orogenic decay is determined by erosional efficiency and can be subdivided into two phases with variable isostatic rebound characteristics and associated timescales. The results presented here provide a unified framework explaining how surface processes and lithospheric strength control the height, shape, and longevity of mountain belts. Y1 - 2022 U6 - https://doi.org/10.1038/s41586-022-04700-6 SN - 0028-0836 SN - 1476-4687 VL - 606 IS - 7914 SP - 516 EP - 521 PB - Nature portfolio CY - Berlin ER - TY - CHAP A1 - Hänel, Hilkje C. ED - Loh, Janina ED - Grote, Thomas T1 - Epistemische Ungerechtigkeiten zwischen Medizin und Technik BT - neue Möglichkeiten oder neue Probleme? T2 - Medizin – Technik – Ethik N2 - Nicht erst seit Covid-19 sind die Wissens- und Kommunikationslücken sowie die Hierarchie zwischen Ärzt*innen und Patient*innen offensichtlich. Zusätzlich befinden sich kranke Menschen sowohl aufgrund ihrer Krankheit als auch aufgrund ihrer Abhängigkeit vom Gesundheitswesen in einer besonders verletzlichen Lage; Patient*innen sind ein paradigmatisches Beispiel für fragile epistemische Subjekte. Im vorliegenden Text wird zunächst skizziert inwieweit Patient*innen fragile epistemische Subjekte sind und welche Formen testimonialer und hermeneutischer Ungerechtigkeit im Gesundheitswesen besonders zum Tragen kommen. Danach wird ein besonderes Augenmerk auf die Idee gelegt, dass sogenannte „pathozentrische epistemische Ungerechtigkeiten“ durch bestimmte theoretische Vorstellungen von Gesundheit untermauert und reproduziert werden. Hierbei soll schlussendlich untersucht werden, inwieweit dieses Problem durch technische Mittel in der Medizin verstärkt oder geschwächt werden kann; so reproduzieren Algorithmen beispielsweise die vorhandenen Vorstellungen und Praktiken. KW - epistemische Ungerechtigkeit KW - pathozentrische epistemische Ungerechtigkeit KW - fragile epistemische Subjekte KW - Medizintechnik KW - Gesundheit Y1 - 2023 SN - 978-3-662-65867-3 U6 - https://doi.org/10.1007/978-3-662-65868-0_5 VL - 5 SP - 87 EP - 106 PB - J.B. Metzler CY - Berlin ER - TY - CHAP A1 - Hänel, Hilkje C. ED - Schleidgen, Sebastian ED - Friedrich, Orsolya ED - Wolkenstein, Andreas T1 - Behinderung als soziale Kategorie im Kontext epistemischer Ungerechtigkeiten, Ignoranz und Abhängigkeit T2 - Bedeutung und Implikationen epistemischer Ungerechtigkeit Y1 - 2023 SN - 978-3-8288-4660-9 SN - 978-3-8288-7736-8 U6 - https://doi.org/10.5771/9783828877368-153 SP - 153 EP - 182 PB - Tectum CY - Baden-Baden ER - TY - JOUR A1 - Hänel, Hilkje C. T1 - Potentially disabled? JF - Inquiry N2 - Ten years ago, I was diagnosed with a rare illness called Myasthenia Gravis. Myasthenia Gravis is a long-term neuromuscular autoimmune disease where antibodies block or destroy specific receptors at the junction between nerve and muscle; hence, nerve impulses fail to trigger muscle contractions. The disease leads to varying degrees of muscle weakness. Currently, I have only minor symptoms, I am not seriously impaired, and I do not suffer from any social disadvantage because of my illness. Yet, my life and my body since my diagnosis feel different than before. In this paper I aim to make this feeling intelligible and propose that it is a state of what I call ‘latent impairment’. Latent impairment is a state of being ‘in between’, different from being actually impaired and also different from being abled-bodied. The theory takes its cues both from social constructionist theories of disability as well as theories of (chronic) illness and their focus on the importance of subjectivity. Furthermore, I suggest that a phenomenological understanding of latent impairment can show possible ways of becoming an ally to the DRM. KW - disability KW - chronic illness KW - latent impairment KW - social construction Y1 - 2022 U6 - https://doi.org/10.1080/0020174X.2022.2136753 SN - 0020-174X SN - 1502-3923 SP - 1 EP - 26 PB - Routledge, Taylor & Francis CY - London ER - TY - JOUR A1 - Weaver, Catherine A1 - Heinzel, Mirko A1 - Jorgensen, Samantha A1 - Flores, Joseph T1 - Bureaucratic representation in the IMF and the World Bank JF - Global perspectives N2 - The legitimacy and effectiveness of international organizations are often linked directly to issues of representation—not only on their high-level governing boards and in top leadership but also within their staff. This article explores two key questions of bureaucratic representation in the critical cases of the International Monetary Fund and World Bank. First, we seek to unpack three essential dimensions of staff representation—nationality, education, and gender—to explain how representation may matter for international organizations. Second, we aim to describe the multiple dimensions of representation in the International Monetary Fund and the World Bank over the past twenty years by deploying a novel dataset on staff demographics, focusing on ranks with decision-making authority within the institutions. Our descriptive analysis reveals that the International Monetary Fund and the World Bank have made considerable efforts to diversify their bureaucracies. Nonetheless, representation remains uneven; for example, nationals from middle- and low-income countries, women, and staff without economics degrees from prominent US- or UK-based universities are less present in key leadership positions. These results may be well explained by the particular needs of the institutions’ technical mandates and limits in the supply of qualified staff and, as such, need not be seen as suboptimal. Nonetheless, perceived imbalances in representation may continue to pose external legitimation and operational challenges to the International Monetary Fund and the World Bank in a complex political environment where such multidimensional representation is important to sustaining the buy-in of donor and borrower countries alike. To this end, we recommend that the International Monetary Fund and the World Bank enhance their diversity and inclusion efforts by increasing transparency via reporting disaggregated data on workforce composition and introducing annual requirements to publish progress reports with management feedback to strengthen internal and external accountability. KW - representation KW - international bureaucracy KW - multilateralism KW - World Bank KW - IMF Y1 - 2022 U6 - https://doi.org/10.1525/gp.2022.39684 SN - 2575-7350 VL - 3 IS - 1 PB - University of California Press CY - Oakland, CA ER - TY - JOUR A1 - Pena-Camargo, Francisco A1 - Thiesbrummel, Jarla A1 - Hempel, Hannes A1 - Musiienko, Artem A1 - Le Corre, Vincent M. A1 - Diekmann, Jonas A1 - Warby, Jonathan A1 - Unold, Thomas A1 - Lang, Felix A1 - Neher, Dieter A1 - Stolterfoht, Martin T1 - Revealing the doping density in perovskite solar cells and its impact on device performance JF - Applied physics reviews N2 - Traditional inorganic semiconductors can be electronically doped with high precision. Conversely, there is still conjecture regarding the assessment of the electronic doping density in metal-halide perovskites, not to mention of a control thereof. This paper presents a multifaceted approach to determine the electronic doping density for a range of different lead-halide perovskite systems. Optical and electrical characterization techniques, comprising intensity-dependent and transient photoluminescence, AC Hall effect, transfer-length-methods, and charge extraction measurements were instrumental in quantifying an upper limit for the doping density. The obtained values are subsequently compared to the electrode charge per cell volume under short-circuit conditions ( CUbi/eV), which amounts to roughly 10(16) cm(-3). This figure of merit represents the critical limit below which doping-induced charges do not influence the device performance. The experimental results consistently demonstrate that the doping density is below this critical threshold 10(12) cm(-3), which means << CUbi / e V) for all common lead-based metal-halide perovskites. Nevertheless, although the density of doping-induced charges is too low to redistribute the built-in voltage in the perovskite active layer, mobile ions are present in sufficient quantities to create space-charge-regions in the active layer, reminiscent of doped pn-junctions. These results are well supported by drift-diffusion simulations, which confirm that the device performance is not affected by such low doping densities. Y1 - 2022 U6 - https://doi.org/10.1063/5.0085286 SN - 1931-9401 VL - 9 IS - 2 PB - AIP Publishing CY - Melville ER - TY - JOUR A1 - Brunner, Martin A1 - Keller, Lena A1 - Stallasch, Sophie E. A1 - Kretschmann, Julia A1 - Hasl, Andrea A1 - Preckel, Franzis A1 - Luedtke, Oliver A1 - Hedges, Larry T1 - Meta-analyzing individual participant data from studies with complex survey designs BT - a tutorial on using the two-stage approach for data from educational large-scale assessments JF - Research synthesis methods N2 - Descriptive analyses of socially important or theoretically interesting phenomena and trends are a vital component of research in the behavioral, social, economic, and health sciences. Such analyses yield reliable results when using representative individual participant data (IPD) from studies with complex survey designs, including educational large-scale assessments (ELSAs) or social, health, and economic survey and panel studies. The meta-analytic integration of these results offers unique and novel research opportunities to provide strong empirical evidence of the consistency and generalizability of important phenomena and trends. Using ELSAs as an example, this tutorial offers methodological guidance on how to use the two-stage approach to IPD meta-analysis to account for the statistical challenges of complex survey designs (e.g., sampling weights, clustered and missing IPD), first, to conduct descriptive analyses (Stage 1), and second, to integrate results with three-level meta-analytic and meta-regression models to take into account dependencies among effect sizes (Stage 2). The two-stage approach is illustrated with IPD on reading achievement from the Programme for International Student Assessment (PISA). We demonstrate how to analyze and integrate standardized mean differences (e.g., gender differences), correlations (e.g., with students' socioeconomic status [SES]), and interactions between individual characteristics at the participant level (e.g., the interaction between gender and SES) across several PISA cycles. All the datafiles and R scripts we used are available online. Because complex social, health, or economic survey and panel studies share many methodological features with ELSAs, the guidance offered in this tutorial is also helpful for synthesizing research evidence from these studies. KW - complex survey designs KW - educational large-scale assessments KW - individual KW - participant data KW - meta-analysis KW - Programme for International Student KW - Assessment Y1 - 2022 U6 - https://doi.org/10.1002/jrsm.1584 SN - 1759-2879 SN - 1759-2887 VL - 14 IS - 1 SP - 5 EP - 35 PB - Wiley CY - Hoboken ER - TY - JOUR A1 - Hänel, Hilkje C. T1 - Einleitung: Epistemische Ungerechtigkeiten T1 - Introduction: epistemic injustice JF - Zeitschrift für praktische Philosophie N2 - Die Debatte um epistemische Ungerechtigkeit verbindet normative Gerechtigkeitstheorien mit erkenntnistheoretischen Theorien und stellt somit die Art von wichtigen Fragen, die in den letzten Jahren sowohl innerhalb als auch außerhalb der Wissenschaft internationale Aufmerksamkeit erfahren haben. Verwiesen sei hier etwa auf soziale Bewegungen wie #MeToo und #BlackLivesMatter zeigen. Theorien der epistemischen Ungerechtigkeit (sowie verwandte Theorien wie Epistemologie des Unwissens, feministische Erkenntnistheorie und Standpunkttheorie) können sowohl epistemische Praktiken analysieren und einen Beitrag zu Gerechtigkeitstheorien und sozialer Epistemologie liefern, als auch zu adäquateren Verständnissen von existierenden Ungerechtigkeiten beitragen. In dem hier vorliegenden Schwerpunkt werden Beiträge zu eben solchen bislang wenig erforschten Ungerechtigkeiten sowie neue Diskussionsbeiträge zur Debatte um epistemische Ungerechtigkeiten geliefert. N2 - The debate of epistemic injustice combines normative theories of justice with epistemological theories, posing the kinds of important questions that have received international attention in recent years, both inside and outside academia. Examples of the public relevance of the issue are social movements such as #MeToo and #BlackLivesMatter. Theories of epistemic injustice (and related theories such as epistemology of ignorance, feminist epistemology, and standpoint epistemology) can both analyze epistemic practices and contribute to theories of justice, social epistemology, and neighboring fields, as well as provide more adequate understandings of existing injustices. The special issue contributes to the analysis of such existing, yet under-researched injustices and new contributions to the debate on epistemic injustices. KW - Epistemische Ungerechtigkeit KW - Unwissen KW - feministische Erkenntnistheorie KW - Standpunkttheorie KW - soziale Bewegungen KW - epistemic injustice KW - ignorance KW - feminist epistemology KW - standpoint-theory KW - social movements Y1 - 2022 U6 - https://doi.org/10.22613/zfpp/9.1.5 SN - 2409-9961 VL - 9 IS - 1 SP - 141 EP - 154 PB - Universität Salzburg, Zentrum für Ethik und Armutsforschung CY - Salzburg ER - TY - JOUR A1 - Dudi, Reetika A1 - Dietrich, Tim A1 - Rashti, Alireza A1 - Brügmann, Bernd A1 - Steinhoff, Jan A1 - Tichy, Wolfgang T1 - High-accuracy simulations of highly spinning binary neutron star systems JF - Physical review : D, Particles, fields, gravitation, and cosmology N2 - With an increasing number of expected gravitational-wave detections of binary neutron star mergers, it is essential that gravitational-wave models employed for the analysis of observational data are able to describe generic compact binary systems. This includes systems in which the individual neutron stars are millisecond pulsars for which spin effects become essential. In this work, we perform numerical-relativity simulations of binary neutron stars with aligned and antialigned spins within a range of dimensionless spins of chi similar to [-0.28, 0.58]. The simulations are performed with multiple resolutions, show a clear convergence order and, consequently, can be used to test existing waveform approximants. We find that for very high spins gravitational-wave models that have been employed for the interpretation of GW170817 and GW190425 arc not capable of describing our numerical-relativity dataset. We verify through a full parameter estimation study in which clear biases in the estimate of the tidal deformability and effective spin are present. We hope that in preparation of the next gravitational-wave observing run of the Advanced LIGO and Advanced Virgo detectors our new set of numerical-relativity data can be used to support future developments of new gravitational-wave models. Y1 - 2022 U6 - https://doi.org/10.1103/PhysRevD.105.064050 SN - 2470-0010 SN - 2470-0029 VL - 105 IS - 6 PB - American Physical Society CY - College Park ER - TY - JOUR A1 - Pohl, Martin A1 - Macias, Oscar A1 - Coleman, Phaedra A1 - Gordon, Chris T1 - Assessing the impact of hydrogen absorption on the characteristics of the Galactic center excess JF - The astrophysical journal : an international review of spectroscopy and astronomical physics N2 - We present a new reconstruction of the distribution of atomic hydrogen in the inner Galaxy that is based on explicit radiation transport modeling of line and continuum emission and a gas-flow model in the barred Galaxy that provides distance resolution for lines of sight toward the Galactic center. The main benefits of the new gas model are (a) the ability to reproduce the negative line signals seen with the HI4PI survey and (b) the accounting for gas that primarily manifests itself through absorption. We apply the new model of Galactic atomic hydrogen to an analysis of the diffuse gamma-ray emission from the inner Galaxy, for which an excess at a few GeV was reported that may be related to dark matter. We find with high significance an improved fit to the diffuse gamma-ray emission observed with the Fermi-LAT, if our new H i model is used to estimate the cosmic-ray induced diffuse gamma-ray emission. The fit still requires a nuclear bulge at high significance. Once this is included there is no evidence of a dark-matter signal, be it cuspy or cored. But an additional so-called boxy bulge is still favored by the data. This finding is robust under the variation of various parameters, for example, the excitation temperature of atomic hydrogen, and a number of tests for systematic issues. Y1 - 2022 U6 - https://doi.org/10.3847/1538-4357/ac6032 SN - 0004-637X SN - 1538-4357 VL - 929 IS - 2 PB - IOP Publ. Ltd. CY - Bristol ER - TY - JOUR A1 - Mishurova, Tatiana A1 - Stegemann, Robert A1 - Lyamkin, Viktor A1 - Cabeza, Sandra A1 - Evsevleev, Sergei A1 - Pelkner, Matthias A1 - Bruno, Giovanni T1 - Subsurface and bulk residual stress analysis of S235JRC+C Steel TIG weld by diffraction and magnetic stray field measurements JF - Experimental mechanics : an international journal of the Society for Experimental Mechanics N2 - Background Due to physical coupling between mechanical stress and magnetization in ferromagnetic materials, it is assumed in the literature that the distribution of the magnetic stray field corresponds to the internal (residual) stress of the specimen. The correlation is, however, not trivial, since the magnetic stray field is also influenced by the microstructure and the geometry of component. The understanding of the correlation between residual stress and magnetic stray field could help to evaluate the integrity of welded components. Objective This study aims at understanding the possible correlation of subsurface and bulk residual stress with magnetic stray field in a low carbon steel weld. Methods The residual stress was determined by synchrotron X-ray diffraction (SXRD, subsurface region) and by neutron diffraction (ND, bulk region). SXRD possesses a higher spatial resolution than ND. Magnetic stray fields were mapped by utilizing high-spatial-resolution giant magneto resistance (GMR) sensors. Results The subsurface residual stress overall correlates better with the magnetic stray field distribution than the bulk stress. This correlation is especially visible in the regions outside the heat affected zone, where the influence of the microstructural features is less pronounced but steep residual stress gradients are present. Conclusions It was demonstrated that the localized stray field sources without any obvious microstructural variations are associated with steep stress gradients. The good correlation between subsurface residual stress and magnetic signal indicates that the source of the magnetic stray fields is to be found in the range of the penetration depth of the SXRD measurements. KW - residual stress KW - magnetic stray field KW - synchrotron X-ray diffraction KW - neutron diffraction KW - TIG-welding Y1 - 2022 U6 - https://doi.org/10.1007/s11340-022-00841-x SN - 0014-4851 SN - 1741-2765 VL - 62 IS - 6 SP - 1017 EP - 1025 PB - Springer CY - New York ER - TY - JOUR A1 - Genske, Ulrich A1 - Jahnke, Paul T1 - Human observer net BT - a platform tool for human observer studies of Image data JF - Radiology N2 - Background: Current software applications for human observer studies of images lack flexibility in study design, platform independence, multicenter use, and assessment methods and are not open source, limiting accessibility and expandability. Purpose: To develop a user-friendly software platform that enables efficient human observer studies in medical imaging with flexibility of study design. Materials and Methods: Software for human observer imaging studies was designed as an open-source web application to facilitate access, platform-independent usability, and multicenter studies. Different interfaces for study creation, participation, and management of results were implemented. The software was evaluated in human observer experiments between May 2019 and March 2021, in which duration of observer responses was tracked. Fourteen radiologists evaluated and graded software usability using the 100-point system usability scale. The application was tested in Chrome, Firefox, Safari, and Edge browsers. Results: Software function was designed to allow visual grading analysis (VGA), multiple-alternative forced-choice (m-AFC), receiver operating characteristic (ROC), localization ROC, free-response ROC, and customized designs. The mean duration of reader responses per image or per image set was 6.2 seconds 6 4.8 (standard deviation), 5.8 seconds 6 4.7, 8.7 seconds 6 5.7, and 6.0 seconds 6 4.5 in four-AFC with 160 image quartets per reader, four-AFC with 640 image quartets per reader, localization ROC, and experimental studies, respectively. The mean system usability scale score was 83 6 11 (out of 100). The documented code and a demonstration of the application are available online (https://github.com/genskeu/HON, https://hondemo.pythonanywhere.com/). Conclusion: A user-friendly and efficient open-source application was developed for human reader experiments that enables study design versatility, as well as platform-independent and multicenter usability. Y1 - 2022 U6 - https://doi.org/10.1148/radiol.211832 SN - 0033-8419 VL - 303 IS - 3 SP - 524 EP - 530 PB - Radiologgical soc North America (RSNA) CY - Oak brook ER - TY - JOUR A1 - Wassermann, Birgit A1 - Abdelfattah, Ahmed A1 - Wicaksono, Wisnu Adi A1 - Kusstatscher, Peter A1 - Müller, Henry A1 - Cernava, Tomislav A1 - Goertz, Simon A1 - Rietz, Steffen A1 - Abbadi, Amine A1 - Berg, Gabriele T1 - The Brassica napus seed microbiota is cultivar-specific and transmitted via paternal breeding lines JF - Microbial biotechnology N2 - Seed microbiota influence germination and plant health and have the potential to improve crop performance, but the factors that determine their structure and functions are still not fully understood. Here, we analysed the impact of plant-related and external factors on seed endophyte communities of 10 different oilseed rape (Brassica napus L.) cultivars from 26 field sites across Europe. All seed lots harboured a high abundance and diversity of endophytes, which were dominated by six genera: Ralstonia, Serratia, Enterobacter, Pseudomonas, Pantoea, and Sphingomonas. The cultivar was the main factor explaining the variations in bacterial diversity, abundance and composition. In addition, the latter was significantly influenced by diverse biotic and abiotic factors, for example host germination rates and disease resistance against Plasmodiophora brassicae. A set of bacterial biomarkers was identified to discriminate between characteristics of the seeds, for example Sphingomonas for improved germination and Brevundimonas for disease resistance. Application of a Bayesian community approach suggested vertical transmission of seed endophytes, where the paternal parent plays a major role and might even determine the germination performance of the offspring. This study contributes to the understanding of seed microbiome assembly and underlines the potential of the microbiome to be implemented in crop breeding and biocontrol programmes. Y1 - 2022 U6 - https://doi.org/10.1111/1751-7915.14077 SN - 1751-7915 VL - 15 IS - 9 SP - 2379 EP - 2390 PB - Wiley CY - Hoboken ER - TY - JOUR A1 - Heinzel, Mirko T1 - Divided loyalties? BT - the role of national IO staff in aid–funded procurement JF - Governance N2 - Many operational International Organizations (IOs) rely on national staff when implementing projects in member states. However, fears persist that the loyalties of national IO staff may be divided when working in their home countries. The article studies differences in more than 50,000 procurement decisions taken in 1729 projects overseen by World Bank staff working as expatriates or in their home countries. The empirical results show that when staff work in their home countries, national suppliers' probability of winning procurement contracts increases. However, these increases are not driven by restricted procurement processes—that exclude competition—which are often seen as red flags for corruption. Instead, restricted procurement processes seem to be less likely when staff work in their home countries. These findings imply that national IO staff use their country-specific knowledge to increase the development effectiveness of procurement in line with the mandate of the World Bank. Y1 - 2021 U6 - https://doi.org/10.1111/gove.12650 SN - 0952-1895 SN - 1468-0491 VL - 35 IS - 4 SP - 1183 EP - 1203 PB - Wiley-Blackwell CY - Oxford ER - TY - JOUR A1 - Schad, Daniel A1 - Nicenboim, Bruno A1 - Bürkner, Paul-Christian A1 - Betancourt, Michael A1 - Vasishth, Shravan T1 - Workflow techniques for the robust use of bayes factors JF - Psychological methods N2 - Inferences about hypotheses are ubiquitous in the cognitive sciences. Bayes factors provide one general way to compare different hypotheses by their compatibility with the observed data. Those quantifications can then also be used to choose between hypotheses. While Bayes factors provide an immediate approach to hypothesis testing, they are highly sensitive to details of the data/model assumptions and it's unclear whether the details of the computational implementation (such as bridge sampling) are unbiased for complex analyses. Hem, we study how Bayes factors misbehave under different conditions. This includes a study of errors in the estimation of Bayes factors; the first-ever use of simulation-based calibration to test the accuracy and bias of Bayes factor estimates using bridge sampling; a study of the stability of Bayes factors against different MCMC draws and sampling variation in the data; and a look at the variability of decisions based on Bayes factors using a utility function. We outline a Bayes factor workflow that researchers can use to study whether Bayes factors are robust for their individual analysis. Reproducible code is available from haps://osf.io/y354c/.
Translational Abstract
In psychology and related areas, scientific hypotheses are commonly tested by asking questions like "is [some] effect present or absent." Such hypothesis testing is most often carried out using frequentist null hypothesis significance testing (NIIST). The NHST procedure is very simple: It usually returns a p-value, which is then used to make binary decisions like "the effect is present/abscnt." For example, it is common to see studies in the media that draw simplistic conclusions like "coffee causes cancer," or "coffee reduces the chances of geuing cancer." However, a powerful and more nuanced alternative approach exists: Bayes factors. Bayes factors have many advantages over NHST. However, for the complex statistical models that arc commonly used for data analysis today, computing Bayes factors is not at all a simple matter. In this article, we discuss the main complexities associated with computing Bayes factors. This is the first article to provide a detailed workflow for understanding and computing Bayes factors in complex statistical models. The article provides a statistically more nuanced way to think about hypothesis testing than the overly simplistic tendency to declare effects as being "present" or "absent". KW - Bayes factors KW - Bayesian model comparison KW - prior KW - posterior KW - simulation-based calibration Y1 - 2022 U6 - https://doi.org/10.1037/met0000472 SN - 1082-989X SN - 1939-1463 VL - 28 IS - 6 SP - 1404 EP - 1426 PB - American Psychological Association CY - Washington ER - TY - JOUR A1 - Baccini, Leonardo A1 - Heinzel, Mirko A1 - Koenig-Archibugi, Mathias T1 - The social construction of global health priorities BT - an empirical analysis of contagion in bilateral health aid JF - International studies quarterly N2 - Donors of development assistance for health typically provide funding for a range of disease focus areas, such as maternal health and child health, malaria, HIV/AIDS, and other infectious diseases. But funding for each disease category does not match closely its contribution to the disability and loss of life it causes and the cost-effectiveness of interventions. We argue that peer influences in the social construction of global health priorities contribute to explaining this misalignment. Aid policy-makers are embedded in a social environment encompassing other donors, health experts, advocacy groups, and international officials. This social environment influences the conceptual and normative frameworks of decision-makers, which in turn affect their funding priorities. Aid policy-makers are especially likely to emulate decisions on funding priorities taken by peers with whom they are most closely involved in the context of expert and advocacy networks. We draw on novel data on donor connectivity through health IGOs and health INGOs and assess the argument by applying spatial regression models to health aid disbursed globally between 1990 and 2017. The analysis provides strong empirical support for our argument that the involvement in overlapping expert and advocacy networks shapes funding priorities regarding disease categories and recipient countries in health aid. Y1 - 2021 U6 - https://doi.org/10.1093/isq/sqab092 SN - 0020-8833 SN - 1468-2478 VL - 66 IS - 1 PB - Oxford University Press CY - Oxford ER - TY - JOUR A1 - Jozi Najafabadi, Azam A1 - Haberland, Christian A1 - Ryberg, Trond A1 - Verwater, Vincent F. A1 - Breton, Eline le A1 - Handy, Mark R. A1 - Weber, Michael T1 - Relocation of earthquakes in the southern and eastern Alps (Austria, Italy) recorded by the dense, temporary SWATH-D network using a Markov chain Monte Carlo inversion JF - Solid earth : SE ; an interaktive open access journal of the European Geosciences Union N2 - In this study, we analyzed a large seismological dataset from temporary and permanent networks in the southern and eastern Alps to establish high-precision hypocenters and 1-D V-P and V-P/V-S models. The waveform data of a subset of local earthquakes with magnitudes in the range of 1-4.2 M-L were recorded by the dense, temporary SWATH-D network and selected stations of the AlpArray network between September 2017 and the end of 2018. The first arrival times of P and S waves of earthquakes are determined by a semi-automatic procedure. We applied a Markov chain Monte Carlo inversion method to simultaneously calculate robust hypocenters, a 1-D velocity model, and station corrections without prior assumptions, such as initial velocity models or earthquake locations. A further advantage of this method is the derivation of the model parameter uncertainties and noise levels of the data. The precision estimates of the localization procedure is checked by inverting a synthetic travel time dataset from a complex 3-D velocity model and by using the real stations and earthquakes geometry. The location accuracy is further investigated by a quarry blast test. The average uncertainties of the locations of the earthquakes are below 500m in their epicenter and similar to 1.7 km in depth. The earthquake distribution reveals seismicity in the upper crust (0-20 km), which is characterized by pronounced clusters along the Alpine frontal thrust, e.g., the Friuli-Venetia (FV) region, the Giudicarie-Lessini (GL) and Schio-Vicenza domains, the Austroalpine nappes, and the Inntal area. Some seismicity also occurs along the Periadriatic Fault. The general pattern of seismicity reflects head-on convergence of the Adriatic indenter with the Alpine orogenic crust. The seismicity in the FV and GL regions is deeper than the modeled frontal thrusts, which we interpret as indication for southward propagation of the southern Alpine deformation front (blind thrusts). Y1 - 2021 U6 - https://doi.org/10.5194/se-12-1087-2021 SN - 1869-9529 VL - 12 IS - 5 SP - 1087 EP - 1109 PB - Copernicus CY - Göttingen ER - TY - JOUR A1 - Genderjahn, Steffi A1 - Lewin, Simon A1 - Horn, Fabian A1 - Schleicher, Anja M. A1 - Mangelsdorf, Kai A1 - Wagner, Dirk T1 - Living lithic and sublithic bacterial communities in Namibian drylands JF - Microorganisms : open access journal N2 - Dryland xeric conditions exert a deterministic effect on microbial communities, forcing life into refuge niches. Deposited rocks can form a lithic niche for microorganisms in desert regions. Mineral weathering is a key process in soil formation and the importance of microbial-driven mineral weathering for nutrient extraction is increasingly accepted. Advances in geobiology provide insight into the interactions between microorganisms and minerals that play an important role in weathering processes. In this study, we present the examination of the microbial diversity in dryland rocks from the Tsauchab River banks in Namibia. We paired culture-independent 16S rRNA gene amplicon sequencing with culture-dependent (isolation of bacteria) techniques to assess the community structure and diversity patterns. Bacteria isolated from dryland rocks are typical of xeric environments and are described as being involved in rock weathering processes. For the first time, we extracted extra- and intracellular DNA from rocks to enhance our understanding of potentially rock-weathering microorganisms. We compared the microbial community structure in different rock types (limestone, quartz-rich sandstone and quartz-rich shale) with adjacent soils below the rocks. Our results indicate differences in the living lithic and sublithic microbial communities. KW - lithobiont KW - intracellular DNA KW - extracellular DNA KW - weathering KW - dryland KW - rock Y1 - 2021 U6 - https://doi.org/10.3390/microorganisms9020235 SN - 2076-2607 VL - 9 IS - 2 PB - MDPI CY - Basel ER - TY - THES A1 - Freimuth, Nina T1 - Elucidating the suppression of root hair formation by a member of a novel, short ENTH protein family in Arabidopsis thaliana T1 - Untersuchungen der Unterdrückung der Wurzelhaarbildung durch ein Mitglied einer neuen, kurzen ENTH-Proteinfamilie in Arabidopsis thaliana N2 - This work analyzed functional and regulatory aspects of the so far little characterized EPSIN N-terminal Homology (ENTH) domain-containing protein EPSINOID2 in Arabidopsis thaliana. ENTH domain proteins play accessory roles in the formation of clathrin-coated vesicles (CCVs) (Zouhar and Sauer 2014). Their ENTH domain interacts with membranes and their typically long, unstructured C-terminus contains binding motifs for adaptor protein complexes and clathrin itself. There are seven ENTH domain proteins in Arabidopsis. Four of them possess the canonical long C-terminus and participate in various, presumably CCV-related intracellular transport processes (Song et al. 2006; Lee et al. 2007; Sauer et al. 2013; Collins et al. 2020; Heinze et al. 2020; Mason et al. 2023). The remaining three ENTH domain proteins, however, have severely truncated C-termini and were termed EPSINOIDs (Zouhar and Sauer 2014; Freimuth 2015). Their functions are currently unclear. Preceding studies focusing on EPSINOID2 indicated a role in root hair formation: epsinoid2 T DNA mutants exhibited an increased root hair density and EPSINOID2-GFP was specifically located in non-hair cell files in the Arabidopsis root epidermis (Freimuth 2015, 2019). In this work, it was clearly shown that loss of EPSINOID2 leads to an increase in root hair density through analyses of three independent mutant alleles, including a newly generated CRISPR/Cas9 full deletion mutant. The ectopic root hairs emerging from non-hair positions in all epsinoid2 mutant alleles are most likely not a consequence of altered cell fate, because extensive genetic analyses placed EPSINOID2 downstream of the established epidermal patterning network. Thus, EPSINOID2 seems to act as a cell autonomous inhibitor of root hair formation. Attempts to confirm this hypothesis by ectopically overexpressing EPSINOID2 led to the discovery of post-transcriptional and -translational regulation through different mechanisms. One involves the little characterized miRNA844-3p. Interference with this pathway resulted in ectopic EPSINOID2 overexpression and decreased root hair density, confirming it as negative factor in root hair formation. A second mechanism likely involves proteasomal degradation. Treatment with proteasomal inhibitor MG132 led to EPSINOID2-GFP accumulation, and a KEN box degron motif was identified in the EPSINOID2 sequence associated with degradation through a ubiquitin/proteasome-dependent pathway. In line with a tight dose regulation, genetic analyses of all three mutant alleles indicate that EPSINOID2 is haploinsufficient. Lastly, it was revealed that, although EPSINOID2 promoter activity was found in all epidermal cells, protein accumulation was observed in N-cells only, hinting at yet another layer of regulation. N2 - In der vorliegenden Arbeit wurden funktionelle und regulatorische Aspekte des bisher wenig charakterisierten EPSIN N-Terminal Homology (ENTH)-Domäne-enthaltenden Proteins EPSINOID2 in Arabidopsis thaliana untersucht. ENTH-Domänen Proteine spielen akzessorische Rollen in der Bildung von Clathrin-umhüllten Vesikeln (CCVs) (Zouhar and Sauer 2014). Ihre ENTH-Domäne interagiert mit Membranen und ihr typischerweise langer, unstrukturierter C-Terminus enthält Bindungsmotive für Adapterproteinkomplexe und Clathrin selbst. In Arabidopsis gibt es sieben ENTH-Domänen Proteine. Vier von ihnen besitzen den langen C-Terminus und sind an verschiedenen, vermutlich CCV-bezogenen intrazellulären Transportprozessen beteiligt (Song et al. 2006; Lee et al. 2007; Sauer et al. 2013; Heinze et al. 2020; Collins et al. 2020; Mason et al. 2023). Die verbleibenden drei ENTH-Domänen Proteine haben jedoch stark verkürzte C-Termini und wurden als EPSINOIDe bezeichnet (Zouhar and Sauer 2014; Freimuth 2015). Ihre Funktion ist derzeit unklar. Vorangegangene Studien, die sich auf EPSINOID2 konzentrierten, deuteten auf eine Rolle bei der Wurzelhaarbildung hin: epsinoid2 T-DNA-Mutanten zeigten eine erhöhte Wurzelhaardichte und EPSINOID2-GFP war speziell in Nicht-Haarzellen in der Wurzelepidermis von Arabidopsis lokalisiert (Freimuth 2015, 2019). In dieser Arbeit wurde durch Analysen von drei unabhängigen mutierten Allelen, einschließlich einer neu generierten CRISPR/Cas9-Deletionsmutante, klar gezeigt, dass der Verlust von EPSINOID2 zu einer Erhöhung der Wurzelhaardichte führt. Die ektopischen Wurzelhaare, die in allen epsinoid2 Allelen aus Nicht-Haar-Positionen hervorgehen, sind höchstwahrscheinlich keine Folge eines veränderten Zellschicksals, da umfangreiche genetische Analysen EPSINOID2 dem etablierten Netzwerk zur Ausbildung der epidermalen Identität nachgeschaltet platziert haben. Somit scheint EPSINOID2 als zellautonomer Inhibitor der Wurzelhaarbildung zu wirken. Versuche, diese Hypothese durch ektopische Überexpression von EPSINOID2 zu bestätigen, führten zur Entdeckung einer post-transkriptionellen und translationalen Regulation durch verschiedene Mechanismen. Bei einem davon handelt es sich um die wenig charakterisierte miRNA844-3p. Eine Beeinträchtigung dieses Signalwegs führte zu einer ektopischen Überexpression von EPSINOID2 und einer verringerten Wurzelhaardichte, was bestätigt, dass es sich um einen negativen Faktor bei der Wurzelhaarbildung handelt. Ein zweiter Mechanismus beinhaltet wahrscheinlich den proteasomalen Abbau. Die Behandlung mit dem proteasomalen Inhibitor MG132 führte zur Akkumulation von EPSINOID2-GFP, und in der Sequenz von EPSINOID2 wurde ein KEN-Box Degron Motiv identifiziert, das mit dem Abbau über einen Ubiquitin/Proteasom-abhängigen Weg verbunden ist. Im Einklang mit einer strengen Dosisregulierung zeigten genetische Analysen aller drei mutierten Allele, dass EPSINOID2 haploinsuffizient ist. Abschließend wurde festgestellt, dass die Aktivität des EPSINOID2 Promotors zwar in allen Epidermiszellen zu finden war, eine Proteinakkumulation jedoch nur in Nicht-Haarzellen beobachtet wurde, was auf eine weitere Ebene der Regulation hindeutet. KW - ENTH domain proteins KW - ENTH-Domänen Proteine KW - root hair formation KW - Wurzelhaarbildung KW - miRNA regulation KW - miRNA Regulation Y1 - 2024 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-634994 ER -