TY - THES A1 - Töle, Nadine T1 - Molekulare und histologische Untersuchungen zur gustatorischen Fettwahrnehmung des Menschen T1 - Molecular and histological analyses of human gustatory fat perception N2 - Die hohe Energieaufnahme durch Fette ist ein Hauptfaktor für die Entstehung von Adipositas, was zu weltweiten Bestrebungen führte, die Fettaufnahme zu verringern. Fettreduzierte Lebensmittel erreichen jedoch, trotz ihrer Weiterentwicklung, nicht die Schmackhaftigkeit ihrer Originale. Die traditionelle Sichtweise, dass die Attraktivität von Fetten allein durch Textur, Geruch, Aussehen und postingestive Effekte bestimmt wird, wird nun durch das Konzept einer gustatorischen Wahrnehmung ergänzt. Bei Nagetieren zeigte sich, dass Lipide unabhängig von den vorgenannten Eigenschaften erkannt werden, sowie, dass Fettsäuren, freigesetzt durch linguale Lipasen, als gustatorische Stimuli fungieren und Fettsäuresensoren in Geschmackszellen exprimiert sind. Die Datenlage für den Menschen erwies sich jedoch als sehr begrenzt, daher war es Ziel der vorliegenden Arbeit molekulare und histologische Voraussetzungen für eine gustatorische Fettwahrnehmung beim Menschen zu untersuchen. Zunächst wurde humanes Geschmacksgewebe mittels RT-PCR und immunhistochemischen Methoden auf die Expression von Fettsäuresensoren untersucht, sowie exprimierende Zellen in Kofärbeexperimenten charakterisiert und quantifiziert. Es wurde die Expression fettsäuresensitiver Rezeptoren nachgewiesen, deren Agonisten das gesamte Spektrum an kurz- bis langkettigen Fettsäuren abdecken (GPR43, GPR84, GPR120, CD36, KCNA5). Ein zweifelsfreier Nachweis des Proteins konnte für den auf langkettige Fettsäuren spezialisierten Rezeptor GPR120 in Typ-I- und Typ-III-Geschmackszellen der Wallpapillen erbracht werden. Etwa 85 % dieser GPR120-exprimierenden Zellen enthielten keine der ausgewählten Rezeptoren der Geschmacksqualitäten süß (TAS1R2/3), umami (TAS1R1/3) oder bitter (TAS2R38). Somit findet sich in humanen Geschmackspapillen nicht nur mindestens ein Sensor, sondern möglicherweise auch eine spezifische, fettsäuresensitive Zellpopulation. Weitere RT-PCR-Experimente und Untersuchungen mittels In-situ-Hybridisierung wurden zur Klärung der Frage durchgeführt, ob Lipasen in den Von-Ebner-Speicheldrüsen (VED) existieren, die freie Fettsäuren aus Triglyceriden als gustatorischen Stimulus freisetzen können. Es zeigte sich zwar keine Expression der bei Nagetieren gefundenen Lipase F (LIPF), jedoch der eng verwandten Lipasen K, M und N in den serösen Zellen der VED. In-silico-Untersuchungen der Sekundär- und Tertiärstrukturen zeigten die hohe Ähnlichkeit zu LIPF, erwiesen aber auch Unterschiede in den Bindungstaschen der Enzyme, welche auf ein differenziertes Substratspektrum hinweisen. Die Anwesenheit eines spezifischen Signalpeptids macht eine Sekretion der Lipasen in den die Geschmacksporen umspülenden Speichel wahrscheinlich und damit auch eine Bereitstellung von Fettsäuren als Stimuli für Fettsäuresensoren. Die Übertragung des durch diese Stimuli hervorgerufenen Signals von Geschmackszellen auf gustatorische Nervenfasern über P2X-Rezeptormultimere wurde mit Hilfe einer vorherigen Intervention mit einem P2X3 /P2X2/3-spezifischen Antagonisten an der Maus als Modellorganismus im Kurzzeit-Präferenztest untersucht. Es zeigte sich weder eine Beeinträchtigung der Wahrnehmung einer Fettsäurelösung, noch einer zuckerhaltigen Kontrolllösung, wohingegen die Wahrnehmung einer Bitterstofflösung reduziert wurde. Somit ist anhand der Ergebnisse dieser Arbeit eine Beteiligung des P2X3-Homomers bzw. des P2X2/3-Heteromers unwahrscheinlich, jedoch die des P2X2-Homomers und damit der gustatorischen Nervenfasern nicht ausgeschlossen. Die Ergebnisse dieser Arbeit weisen auf die Erfüllung grundlegender Voraussetzungen für die gustatorische Fett(säure)wahrnehmung hin und tragen zum Verständnis der sensorischen Fettwahrnehmung und der Regulation der Fettaufnahme bei. Das Wissen um die Regulation dieser Mechanismen stellt eine Grundlage zur Aufklärung der Ursachen und damit der Bekämpfung von Adipositas und assoziierten Krankheiten dar. N2 - High consumption of energy from fat is considered one of the main factors that evoke obesity which led to a worldwide effort to reduce dietary fat intake. However, despite their continuous improvement, fat-reduced foods do not yet reach the palatability of their originals. The traditional view that the attraction to fats is only determined by texture, odor, appearance as well as postingestive effects is now challenged by the concept of gustatory sensation of fats. After excluding or masking the aforementioned features, rodents showed continuous attraction towards lipid solutions. Also long-chain fatty acids liberated from triglycerides by lingual lipases as the main stimulus and the expression of fatty acid-sensitive receptors in taste buds was shown. In contrast, only little data exists for humans. Therefore, this thesis aimed at elucidating the molecular and cellular prerequisites for a gustatory detection of fat. First, human taste tissue was examined by RT-PCR and immunohistochemical methods for the expression of fatty acid sensors and the expressing cells were characterized and quantified by co-staining procedures. The expression of fatty acid-sensitive receptors was shown whose agonists cover the whole range of short- to long-chain fatty acids (GPR43, GPR84, GPR120, CD36, and KCNA5). Protein expression of the long-chain fatty acid receptor GPR120 in type I and type III taste cells was unambiguously demonstrated. About 85 % of the GPR120-expressing cells did not co-express receptors for sweet (TAS1R2/3), umami (TAS1R1/3) or bitter (TAS2R38) taste. Hence, not only does at least one fatty acid sensor exist in human taste papillae, but possibly also a special fatty acid-sensitive cell population. Additional RT-PCR experiments and in situ hybridization analyses were used to address the question, if lipases in the Von-Ebner-salivary glands (VEG) produce free fatty acids from triglycerides as gustatory stimuli. Unlike mice which express lipase F, lipases K, M and N, which are highly related to lipase F, were found to be expressed in the serous cells of the VEG. In silico approaches confirmed high similarities of the secondary and tertiary structures of these lipases to lipase F. Also a marked difference in the binding pocket of the enzymes was observed, which suggests differential substrate specificity. The presence of a signal peptide sequence proposes that the lipases K, M, and N are secreted into the trenches of gustatory papillae. This would result in lipolysis of dietary triglycerides and generation of stimuli for the fatty acid sensor GPR120. Next the hypothesis was tested whether GPR120-generated signals are conveyed to gustatory nerves via P2X-receptor-multimers. To this end short term preference tests were performed in mice after intervention with a P2X3-/P2X2/3-specific antagonist. However, this treatment did not affect the preference of mice for the fatty acid or for a sweet control solution, whereas recognition of a bitter solution was impaired. Thus, an involvement of the P2X3-homomer or the P2X3-/P2X2/3-heteromer seems unlikely. However, these results do not exclude a contribution of P2X2-receptor-heteromers and in turn gustatory nerves for the preference of fatty acid solutions. In summary, the results of this thesis give new insights into the molecular and cellular prerequisites for a gustatory component for fat detection in humans. They also help understanding fat sensation and the regulation of fat intake which in turn may eventually promote novel concepts for the treatment of obesity and related diseases. KW - Geschmack KW - Fettwahrnehmung KW - Fettsäuren KW - Sensorik KW - Lipasen KW - G-Protein gekoppelte Rezeptoren KW - taste KW - fat perception KW - fatty acids KW - lipases KW - G-protein coupled receptors KW - sensory analysis Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-93180 ER - TY - THES A1 - Luckert, Claudia T1 - Molekulare Mechanismen von hepatotoxischen Pyrrolizidinalkaloiden Y1 - 2016 ER - TY - THES A1 - Peter, Tatjana T1 - Molekulare Charakterisierung von CP75, einem neuen centrosomalen Protein in Dictyostelium discoideum T1 - Molecular characterization of CP75, a novel Dictyostelium centrosome protein N2 - Das Centrosom ist ein Zellkern-assoziiertes Organell, das nicht von einer Membran umschlossen ist. Es spielt eine wichtige Rolle in vielen Mikrotubuli- abhängigen Prozessen wie Organellenpositionierung, Zellpolarität oder die Organisation der mitotischen Spindel. Das Centrosom von Dictyostelium besteht aus einer dreischichtigen Core-Struktur umgeben von einer Corona, die Mikrotubuli-nukleierende Komplexe enthält. Die Verdoppelung des Centrosoms in Dictyostelium findet zu Beginn der Mitose statt. In der Prophase vergrößert sich die geschichtete Core-Struktur und die Corona löst sich auf. Anschließend trennen sich die beiden äußeren Lagen der Core-Struktur und bilden in der Metaphase die beiden Spindelpole, die in der Telophase zu zwei vollständigen Centrosomen heranreifen. Das durch eine Proteom-Analyse identifizierte Protein CP75 lokalisiert am Centrosom abhängig von den Mitosephasen. Es dissoziiert von der Core-Struktur in der Prometaphase und erscheint an den Spindelpolen in der Telophase wieder. Dieses Verhalten korreliert mit dem Verhalten der mittleren Lage der Core-Struktur in der Mitose, was darauf hinweist, dass CP75 eine Komponente dieser Schicht sein könnte. Die FRAP-Experimente am Interphase- Centrosom zeigen, dass GFP-CP75 dort nicht mobil ist. Das deutet darauf hin, dass das Protein wichtige Funktionen im Strukturerhalt der centrosomalen Core- Struktur übernehmen könnte. Sowohl die C- als auch die N-terminale Domäne von CP75 enthalten centrosomale Targeting-Domäne. Als GFP-Fusionsproteine (GFP-CP75-N und -C) lokalisieren die beiden Fragmente am Centrosom in der Interphase. Während GFP-CP75-C in der Mitose am Centrosom verbleibt, verschwindet GFP-CP75-N in der Metaphase und kehrt erst in der späten Telophase zurück. GFP-CP75-C und GFP-CP75O/E kolokalisieren mit F-Aktin am Zellcortex, zeigen aber keine Interaktion mit Aktin mit der BioID-Methode. Die N-terminale Domäne von CP75 enthält eine potentielle Plk1- Phosphorylierungssequenz. Die Überexpression der nichtphosphorylierbaren Punktmutante (GFP-CP75-Plk-S143A) ruft verschiedene Phänotypen wie verlängerte oder überzählige Centrosomen, vergrößerte Zellkerne und Anreicherung von detyrosinierten Mikrotubuli hervor. Die ähnlichen Phänotypen konnten auch bei GFP-CP75-N und CP75-RNAi beobachtet werden. Der Phänotyp der detyrosinierten Mikrotubuli bringt erstmals den Beweis dafür, dass I in Dictyostelium posttranslationale Modifikation an Tubulinen stattfindet. Außerdem zeigten CP75-RNAi-Zellen Defekte in der Organisation der mitotischen Spindel. Mittels BioID-Methode konnten drei potentielle Interaktionspartner von CP75 identifiziert werden. Diese drei Proteine CP39, CP91 und Cep192 sind ebenfalls Bestandteile des Centrosoms. N2 - The centrosome is a nonmembranous, nucleus-associated organelle. It plays crucial roles in a variety of mucrotubule-dependent processes, such as organelle positioning, cell polarization and mitotic spindle organization. The Dictyostelium centrosome consists of a core structure with three major layers, surrounded by a corona containing micrutubule-nucleation complexes. Dictyostelium centrosome replication starts at the onset of mitosis. In prophase, the core structure enlarges and the corona disappears. Afterwards, the core structure splits and the outer layers form two spindle poles maturating to two new, complete centrosomes in telophase. CP75 is one of nine novel proteins identified in a centrosomal proteome analysis. Endogenous CP75 localizes to the centrosome in a cell cycle- dependent manner. It dissociates from the core structure in early prometaphase and reappears at spindle poles in telophase. Since this pattern fits to the disappearance and reappearance of the central layer of the core structure, this indicates that CP75 is a constituent of this layer. During interphase FRAP experiments reveal that GFP-CP75 exhibits no mobility at the centrosome. This indicates a role in structural maintenance of the centrosomal core. Both the C- and N-terminal domains of CP75 contain a centrosomal targeting domain. Fused to GFP (GFP-CP75-N and -C) both fragments localized to the centrosome in interphase, but only GFP-CP75-N disappears from the centrosome during mitosis. GFP-CP75-C and GFP-CP75O/E also colocalized with F-actin at the cell cortex. But it shows no direct interaction with actin in BioID. The N-terminal domain of CP75 contains Plk1 phosphorylation sites. Overexpression of phosphorylation site-defficient mutant of GFP-CP75 (GFP-CP75-Plk-S143A) causes different phenotypes like enlarged and disrupted nuclei, enlarged and supernumerary centrosomes and detyrosinated microtubules. A very similar phenotype was observed upon overexpression of GFP-CP75-N and upon knockdown of CP75 expression by RNAi. The phenotype of detyrosinated microtubules for the first time shows that posttranslational modification of Tubulin takes place in Dictyostelium. Live cell imaging showed that lack of CP75 caused defect in spindle formation. CP75 interacts in BioID with CP39, CP91 and Cep192, three other components of the centrosome. KW - Dictyostelium KW - Centrosom KW - CP75 KW - dictyostelium KW - centrosome KW - CP75 Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-96472 ER - TY - THES A1 - Putzler, Sascha T1 - Molekulare Charakterisierung des Centrosom-assoziierten Proteins CP91 in Dictyostelium discoideum T1 - Molecular characterization of the centrosome-associated protein CP91 in Dictyostelium discoideum N2 - Das Dictyostelium-Centrosom ist ein Modell für acentrioläre Centrosomen. Es besteht aus einer dreischichtigen Kernstruktur und ist von einer Corona umgeben, welche Nukleationskomplexe für Mikrotubuli beinhaltet. Die Verdoppelung der Kernstruktur wird einmal pro Zellzyklus am Übergang der G2 zur M-Phase gestartet. Durch eine Proteomanalyse isolierter Centrosomen konnte CP91 identifiziert werden, ein 91 kDa großes Coiled-Coil Protein, das in der centrosomalen Kernstruktur lokalisiert. GFP-CP91 zeigte fast keine Mobilität in FRAP-Experimenten während der Interphase, was darauf hindeutet, dass es sich bei CP91 um eine Strukturkomponente des Centrosoms handelt. In der Mitose hingegen dissoziieren das GFP-CP91 als auch das endogene CP91 ab und fehlen an den Spindelpolen von der späten Prophase bis zur Anaphase. Dieses Verhalten korreliert mit dem Verschwinden der zentralen Schicht der Kernstruktur zu Beginn der Centrosomenverdopplung. Somit ist CP91 mit großer Wahrscheinlichkeit ein Bestandteil dieser Schicht. CP91-Fragmente der N-terminalen bzw. C-terminalen Domäne (GFP-CP91 N-Terminus, GFP-CP91 C-Terminus) lokalisieren als GFP-Fusionsproteine exprimiert auch am Centrosom, zeigen aber nicht die gleiche mitotische Verteilung des Volllängenproteins. Das CP91-Fragment der zentralen Coiled-Coil Domäne (GFP-CP91cc) lokalisiert als GFP-Fusionsprotein exprimiert, als ein diffuser cytosolische Cluster, in der Nähe des Centrosoms. Es zeigt eine partiell ähnliche mitotische Verteilung wie das Volllängenprotein. Dies lässt eine regulatorische Domäne innerhalb der Coiled-Coil Domäne vermuten. Die Expression der GFP-Fusionsproteine unterdrückt die Expression des endogenen CP91 und bringt überzählige Centrosomen hervor. Dies war auch eine markante Eigenschaft nach der Unterexpression von CP91 durch RNAi. Zusätzlich zeigte sich in CP91-RNAi Zellen eine stark erhöhte Ploidie verursacht durch schwere Defekte in der Chromosomensegregation verbunden mit einer erhöhten Zellgröße und Defekten im Abschnürungsprozess während der Cytokinese. Die Unterexpression von CP91 durch RNAi hatte auch einen direkten Einfluss auf die Menge an den centrosomalen Proteinen CP39, CP55 und CEP192 und dem Centromerprotein Cenp68 in der Interphase. Die Ergebnisse deuten darauf hin, dass CP91 eine zentrale centrosomale Kernkomponente ist und für den Zusammenhalt der beiden äußeren Schichten der Kernstruktur benötigt wird. Zudem spielt CP91 eine wichtige Rolle für eine ordnungsgemäße Centrosomenbiogenese und, unabhängig davon, bei dem Abschnürungsprozess der Tochterzellen während der Cytokinese. N2 - The Dictyostelium centrosome is a model for acentriolar centrosomes and it consists of a three-layered core structure surrounded by a corona harboring microtubule nucleation complexes. Its core structure duplicates once per cell cycle at the G2/M transition. Through proteomic analysis of isolated centrosomes we have identified CP91, a 91-kDa coiled coil protein that was localized at the centrosomal core structure. While GFP-CP91 showed almost no mobility in FRAP experiments during interphase, both GFP-CP91 and endogenous CP91 dissociated during mitosis and were absent from spindle poles from late prophase to anaphase. Since this behavior correlates with the disappearance of the central layer upon centrosome duplication, CP91 is a putative component of this layer. When expressed as GFP-fusions, CP91 fragments corresponding to the N-terminal and C-terminal domain (GFP-CP91N, and GFP-CP91C respectively) also localized to the centrosome but did not show the mitotic redistribution of the full length protein. The CP91 fragment corresponding to the central coiled coil domain (GFP-CP91cc) localized as a diffuse cluster close to the centrosome and did show a partially similar mitotic redistribution of the full length protein suggesting a regulatory role of the coiled coil domain. Expression of all GFP-fusion proteins suppressed expression of endogenous CP91 and elicited supernumerary centrosomes. This was also very prominent upon depletion of CP91 by RNAi. CP91-RNAi cells exhibited heavily increased ploidy due to severe defects in chromosome segregation along with increased cell size and defects in the abscission process during cytokinesis. Additionally, depletion of CP91 by RNAi had an immediate impact on the amount of the centrosomal core components CP39, CP55 and CEP192 and the centromere protein Cenp68 in interphase cells. Our results indicate that CP91 is a central centrosomal core component required for centrosomal integrity, proper centrosome biogenesis and, independently, for abscission during cytokinesis. KW - Centrosom KW - Dictyostelium KW - Mikrotubuli KW - Mitose KW - Zellkern KW - centrosome KW - dictyostelium KW - microtubules KW - mitosis KW - nucleus Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-394689 ER - TY - JOUR A1 - Peng, Lei A1 - Yarman, Aysu A1 - Jetzschmann, Katharina J. A1 - Jeoung, Jae-Hun A1 - Schad, Daniel A1 - Dobbek, Holger A1 - Wollenberger, Ursula A1 - Scheller, Frieder W. T1 - Molecularly Imprinted Electropolymer for a Hexameric Heme Protein with Direct Electron Transfer and Peroxide Electrocatalysis JF - SENSORS N2 - For the first time a molecularly imprinted polymer (MIP) with direct electron transfer (DET) and bioelectrocatalytic activity of the target protein is presented. Thin films of MIPs for the recognition of a hexameric tyrosine-coordinated heme protein (HTHP) have been prepared by electropolymerization of scopoletin after oriented assembly of HTHP on a self-assembled monolayer (SAM) of mercaptoundecanoic acid (MUA) on gold electrodes. Cavities which should resemble the shape and size of HTHP were formed by template removal. Rebinding of the target protein sums up the recognition by non-covalent interactions between the protein and the MIP with the electrostatic attraction of the protein by the SAM. HTHP bound to the MIP exhibits quasi-reversible DET which is reflected by a pair of well pronounced redox peaks in the cyclic voltammograms (CVs) with a formal potential of -184.4 +/- 13.7 mV vs. Ag/AgCl (1 M KCl) at pH 8.0 and it was able to catalyze the cathodic reduction of peroxide. At saturation the MIP films show a 12-fold higher electroactive surface concentration of HTHP than the non-imprinted polymer (NIP). KW - hydrogen peroxide KW - bioelectrocatalysis KW - molecularly imprinted polymers KW - direct electron transfer KW - self-assembled monolayer Y1 - 2016 U6 - https://doi.org/10.3390/s16030272 SN - 1424-8220 VL - 16 SP - 1343 EP - 1364 PB - MDPI CY - Basel ER - TY - JOUR A1 - Eckert, Sebastian A1 - Miedema, P. S. A1 - Quevedo, W. A1 - Fondell, Mattis A1 - Beye, Martin A1 - Pietzsch, Annette A1 - Ross, M. A1 - Khalil, M. A1 - Föhlisch, Alexander T1 - Molecular structures and protonation state of 2-Mercaptopyridine in aqueous solution JF - Chemical physics letters N2 - The speciation of 2-Mercaptopyridine in aqueous solution has been investigated with nitrogen 1s Near Edge X-ray Absorption Fine Structure spectroscopy and time dependent Density Functional Theory. The prevalence of distinct species as a function of the solvent basicity is established. No indications of dimerization towards high concentrations are found. The determination of different molecular structures of 2-Mercaptopyridine in aqueous solution is put into the context of proton-transfer in keto-enol and thione-thiol tautomerisms. (C) 2016 The Authors. Published by Elsevier B.V. Y1 - 2016 U6 - https://doi.org/10.1016/j.cplett.2016.01.050 SN - 0009-2614 SN - 1873-4448 VL - 647 SP - 103 EP - 106 PB - Elsevier CY - Amsterdam ER - TY - GEN A1 - Eckert, Sebastian A1 - Miedema, Piter A1 - Quevedo, Wilson A1 - O'Cinneide, B. A1 - Fondell, Mattis A1 - Beye, Martin A1 - Pietzsch, Annette A1 - Ross, Matthew R. A1 - Khalil, Munira A1 - Föhlisch, Alexander T1 - Molecular structures and protonation state of 2-Mercaptopyridine in aqueous solution T2 - Postprints der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe N2 - The speciation of 2-Mercaptopyridine in aqueous solution has been investigated with nitrogen 1s Near Edge X-ray Absorption Fine Structure spectroscopy and time dependent Density Functional Theory. The prevalence of distinct species as a function of the solvent basicity is established. No indications of dimerization towards high concentrations are found. The determination of different molecular structures of 2-Mercaptopyridine in aqueous solution is put into the context of proton-transfer in keto-enol and thione-thiol tautomerisms. (C) 2016 The Authors. Published by Elsevier B.V. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 953 KW - ray-emission-spectroscopy KW - x-ray KW - hydroxypyridine-pyridone KW - protomeric equilibria KW - self-association KW - CU(110) KW - valence Y1 - 2020 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-437473 SN - 1866-8372 IS - 953 SP - 103 EP - 106 ER - TY - JOUR A1 - Wessig, Pablo A1 - Gerngross, Maik A1 - Freyse, Daniel A1 - Bruhn, P. A1 - Przezdziak, Marc A1 - Schilde, Uwe A1 - Kelling, Alexandra T1 - Molecular Rods Based on Oligo-spiro-thioketals JF - The journal of organic chemistry N2 - We report on an extension of the previously established concept of oligospiroketal (OSK) rods by replacing a part or all ketal moieties by thioketals leading to oligospirothioketal (OSTK) rods. In this way, some crucial problems arising from the reversible formation of ketals are circumvented. Furthermore, the stability of the rods toward hydrolysis is considerably improved. To successfully implement this concept, we first developed a number of new oligothiol building blocks and improved the synthetic accessibility of known oligothiols, respectively. Another advantage of thioacetals is that terephthalaldehyde (TAA) sleeves, which are too flexible in the case of acetals can be used in OSTK rods. The viability of the OSTK approach was demonstrated by the successful preparation of some OSTK rods with a length of some nanometers. Y1 - 2016 U6 - https://doi.org/10.1021/acs.joc.5b02670 SN - 0022-3263 VL - 81 SP - 1125 EP - 1136 PB - American Chemical Society CY - Washington ER - TY - GEN A1 - Wang, Xinxin A1 - Huang, Xianyu A1 - Sachse, Dirk A1 - Ding, Weihua A1 - Xue, Jiantao T1 - Molecular paleoclimate reconstructions over the last 9 ka from a peat sequence in South China T2 - Postprints der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe N2 - To achieve a better understanding of Holocene climate change in the monsoon regions of China, we investigated the molecular distributions and carbon and hydrogen isotope compositions delta C-13 and delta D values) of long-chain n-alkanes in a peat core from the Shiwangutian SWGT) peatland, south China over the last 9 ka. By comparisons with other climate records, we found that the delta C-13 values of the long-chain n-alkanes can be a proxy for humidity, while the dD values of the long-chain n-alkanes primarily recorded the moisture source dD signal during 9-1.8 ka BP and responded to the dry climate during 1.8-0.3 ka BP. Together with the average chain length ACL) and the carbon preference index CPI) data, the climate evolution over last 9 ka in the SWGT peatland can be divided into three stages. During the first stage 9-5 ka BP), the delta C-13 values were depleted and CPI and Paq values were low, while ACL values were high. They reveal a period of warm and wet climate, which is regarded as the Holocene optimum. The second stage 5-1.8 ka BP) witnessed a shift to relatively cool and dry climate, as indicated by the more positive delta C-13 values and lower ACL values. During the third stage 1.8-0.3 ka BP), the delta C-13, delta D, CPI and Paq values showed marked increase and ACL values varied greatly, implying an abrupt change to cold and dry conditions. This climate pattern corresponds to the broad decline in Asian monsoon intensity through the latter part of the Holocene. Our results do not support a later Holocene optimum in south China as suggested by previous studies. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 543 KW - n-alkaline distributions KW - East-Asian monsoon KW - lacustrine sedimentary sequence KW - intertropical convergence zone KW - Western Nanling mountains KW - North-Atlantic climate KW - delta-D values KW - summer monsoon KW - isotopic composition KW - hydrogen isotopes Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-411608 SN - 1866-8372 IS - 543 ER - TY - JOUR A1 - Wang, Xinxin A1 - Huang, Xianyu A1 - Sachse, Dirk A1 - Ding, Weihua A1 - Xue, Jiantao T1 - Molecular Paleoclimate Reconstructions over the Last 9 ka from a Peat Sequence in South China JF - PLoS one N2 - To achieve a better understanding of Holocene climate change in the monsoon regions of China, we investigated the molecular distributions and carbon and hydrogen isotope compositions delta C-13 and delta D values) of long-chain n-alkanes in a peat core from the Shiwangutian SWGT) peatland, south China over the last 9 ka. By comparisons with other climate records, we found that the delta C-13 values of the long-chain n-alkanes can be a proxy for humidity, while the dD values of the long-chain n-alkanes primarily recorded the moisture source dD signal during 9-1.8 ka BP and responded to the dry climate during 1.8-0.3 ka BP. Together with the average chain length ACL) and the carbon preference index CPI) data, the climate evolution over last 9 ka in the SWGT peatland can be divided into three stages. During the first stage 9-5 ka BP), the delta C-13 values were depleted and CPI and Paq values were low, while ACL values were high. They reveal a period of warm and wet climate, which is regarded as the Holocene optimum. The second stage 5-1.8 ka BP) witnessed a shift to relatively cool and dry climate, as indicated by the more positive delta C-13 values and lower ACL values. During the third stage 1.8-0.3 ka BP), the delta C-13, delta D, CPI and Paq values showed marked increase and ACL values varied greatly, implying an abrupt change to cold and dry conditions. This climate pattern corresponds to the broad decline in Asian monsoon intensity through the latter part of the Holocene. Our results do not support a later Holocene optimum in south China as suggested by previous studies. Y1 - 2016 U6 - https://doi.org/10.1371/journal.pone.0160934 SN - 1932-6203 VL - 11 PB - PLoS CY - San Fransisco ER - TY - JOUR A1 - Yan, Wenhao A1 - Chen, Dijun A1 - Kaufmann, Kerstin T1 - Molecular mechanisms of floral organ specification by MADS domain proteins JF - Current opinion in plant biology N2 - Flower development is a model system to understand organ specification in plants. The identities of different types of floral organs are specified by homeotic MADS transcription factors that interact in a combinatorial fashion. Systematic identification of DNA-binding sites and target genes of these key regulators show that they have shared and unique sets of target genes. DNA binding by MADS proteins is not based on ‘simple’ recognition of a specific DNA sequence, but depends on DNA structure and combinatorial interactions. Homeotic MADS proteins regulate gene expression via alternative mechanisms, one of which may be to modulate chromatin structure and accessibility in their target gene promoters. Y1 - 2016 U6 - https://doi.org/10.1016/j.pbi.2015.12.004 SN - 1369-5266 SN - 1879-0356 VL - 29 SP - 154 EP - 162 PB - Elsevier CY - London ER - TY - JOUR A1 - Goychuk, Igor T1 - Molecular machines operating on the nanoscale: from classical to quantum JF - Beilstein journal of nanotechnology N2 - The main physical features and operating principles of isothermal nanomachines in the microworld, common to both classical and quantum machines, are reviewed. Special attention is paid to the dual, constructive role of dissipation and thermal fluctuations, the fluctuation-dissipation theorem, heat losses and free energy transduction, thermodynamic efficiency, and thermodynamic efficiency at maximum power. Several basic models are considered and discussed to highlight generic physical features. This work examines some common fallacies that continue to plague the literature. In particular, the erroneous beliefs that one should minimize friction and lower the temperature for high performance of Brownian machines, and that the thermodynamic efficiency at maximum power cannot exceed one-half are discussed. The emerging topic of anomalous molecular motors operating subdiffusively but very efficiently in the viscoelastic environment of living cells is also discussed. KW - anomalous dynamics with memory KW - Brownian nanomachines KW - nanoscale friction and thermal noise KW - quantum effects KW - thermodynamic efficiency Y1 - 2016 U6 - https://doi.org/10.3762/bjnano.7.31 SN - 2190-4286 VL - 7 SP - 328 EP - 350 PB - Beilstein-Institut zur Förderung der Chemischen Wissenschaften CY - Frankfurt, Main ER - TY - THES A1 - Ulaganathan, Vamseekrishna T1 - Molecular fundamentals of foam fractionation T1 - Molekulare Grundlagen der Schaumfraktionierung N2 - Foam fractionation of surfactant and protein solutions is a process dedicated to separate surface active molecules from each other due to their differences in surface activities. The process is based on forming bubbles in a certain mixed solution followed by detachment and rising of bubbles through a certain volume of this solution, and consequently on the formation of a foam layer on top of the solution column. Therefore, systematic analysis of this whole process comprises of at first investigations dedicated to the formation and growth of single bubbles in solutions, which is equivalent to the main principles of the well-known bubble pressure tensiometry. The second stage of the fractionation process includes the detachment of a single bubble from a pore or capillary tip and its rising in a respective aqueous solution. The third and final stage of the process is the formation and stabilization of the foam created by these bubbles, which contains the adsorption layers formed at the growing bubble surface, carried up and gets modified during the bubble rising and finally ends up as part of the foam layer. Bubble pressure tensiometry and bubble profile analysis tensiometry experiments were performed with protein solutions at different bulk concentrations, solution pH and ionic strength in order to describe the process of accumulation of protein and surfactant molecules at the bubble surface. The results obtained from the two complementary methods allow understanding the mechanism of adsorption, which is mainly governed by the diffusional transport of the adsorbing protein molecules to the bubble surface. This mechanism is the same as generally discussed for surfactant molecules. However, interesting peculiarities have been observed for protein adsorption kinetics at sufficiently short adsorption times. First of all, at short adsorption times the surface tension remains constant for a while before it decreases as expected due to the adsorption of proteins at the surface. This time interval is called induction time and it becomes shorter with increasing protein bulk concentration. Moreover, under special conditions, the surface tension does not stay constant but even increases over a certain period of time. This so-called negative surface pressure was observed for BCS and BLG and discussed for the first time in terms of changes in the surface conformation of the adsorbing protein molecules. Usually, a negative surface pressure would correspond to a negative adsorption, which is of course impossible for the studied protein solutions. The phenomenon, which amounts to some mN/m, was rather explained by simultaneous changes in the molar area required by the adsorbed proteins and the non-ideality of entropy of the interfacial layer. It is a transient phenomenon and exists only under dynamic conditions. The experiments dedicated to the local velocity of rising air bubbles in solutions were performed in a broad range of BLG concentration, pH and ionic strength. Additionally, rising bubble experiments were done for surfactant solutions in order to validate the functionality of the instrument. It turns out that the velocity of a rising bubble is much more sensitive to adsorbing molecules than classical dynamic surface tension measurements. At very low BLG or surfactant concentrations, for example, the measured local velocity profile of an air bubble is changing dramatically in time scales of seconds while dynamic surface tensions still do not show any measurable changes at this time scale. The solution’s pH and ionic strength are important parameters that govern the measured rising velocity for protein solutions. A general theoretical description of rising bubbles in surfactant and protein solutions is not available at present due to the complex situation of the adsorption process at a bubble surface in a liquid flow field with simultaneous Marangoni effects. However, instead of modelling the complete velocity profile, new theoretical work has been started to evaluate the maximum values in the profile as characteristic parameter for dynamic adsorption layers at the bubble surface more quantitatively. The studies with protein-surfactant mixtures demonstrate in an impressive way that the complexes formed by the two compounds change the surface activity as compared to the original native protein molecules and therefore lead to a completely different retardation behavior of rising bubbles. Changes in the velocity profile can be interpreted qualitatively in terms of increased or decreased surface activity of the formed protein-surfactant complexes. It was also observed that the pH and ionic strength of a protein solution have strong effects on the surface activity of the protein molecules, which however, could be different on the rising bubble velocity and the equilibrium adsorption isotherms. These differences are not fully understood yet but give rise to discussions about the structure of protein adsorption layer under dynamic conditions or in the equilibrium state. The third main stage of the discussed process of fractionation is the formation and characterization of protein foams from BLG solutions at different pH and ionic strength. Of course a minimum BLG concentration is required to form foams. This minimum protein concentration is a function again of solution pH and ionic strength, i.e. of the surface activity of the protein molecules. Although at the isoelectric point, at about pH 5 for BLG, the hydrophobicity and hence the surface activity should be the highest, the concentration and ionic strength effects on the rising velocity profile as well as on the foamability and foam stability do not show a maximum. This is another remarkable argument for the fact that the interfacial structure and behavior of BLG layers under dynamic conditions and at equilibrium are rather different. These differences are probably caused by the time required for BLG molecules to adapt respective conformations once they are adsorbed at the surface. All bubble studies described in this work refer to stages of the foam fractionation process. Experiments with different systems, mainly surfactant and protein solutions, were performed in order to form foams and finally recover a solution representing the foamed material. As foam consists to a large extent of foam lamella – two adsorption layers with a liquid core – the concentration in a foamate taken from foaming experiments should be enriched in the stabilizing molecules. For determining the concentration of the foamate, again the very sensitive bubble rising velocity profile method was applied, which works for any type of surface active materials. This also includes technical surfactants or protein isolates for which an accurate composition is unknown. N2 - Die Fraktionierung ist ein Trennprozess, bei dem verschiedene Materialien auf Grund ihrer Eigenschaften voneinander getrennt werden. Bei der Sedimentation von Teilchen in einer Flüssigkeit dient deren unterschiedliche Dichte zu ihrer Trennung, da schwere Teilchen schneller auf den Boden des Gefäßes sinken als leichtere. Bei der Schaumfraktionierung als Trennprozess dient zur Trennung verschiedener Moleküle in einer Lösung deren Grenzflächenaktivität, d.h. das unterschiedliche Vermögen der Moleküle, sich an der Oberfläche von Gasblasen anzureichern. Durch das Aufsteigen der Blasen in der Flüssigkeit werden daher die Moleküle mit der höheren Grenzflächenaktivität stärker in der Schaumschicht angereichert als die weniger stark grenzflächenaktiven Komponenten. Ziel der vorliegenden Dissertation ist es, den Prozess der Schaumfraktionierung hinsichtlich der Trennung von grenzflächenaktiven Molekülen zu analysieren. Die Bildung von Blasen und deren anschließendes Aufsteigen in der Lösung kann als wichtigstes Element in diesem Prozess angesehen werden. Es ist bekannt, dass die Geschwindigkeit aufsteigender Luftblasen in Wasser eine charakteristische Größe ist, die durch die Anwesenheit grenzflächenaktiver Stoffe (Tenside, Proteine) stark verringert wird. Die vorliegende Dissertation zeigt für das ausgewählte Protein ß-Lactoglobulin und für verschiedene Lebensmittel-Tenside, dass die Messung der Aufstiegsgeschwindigkeit von Luftblasen zur Beurteilung der Anreicherung dieser Moleküle an der Blasenoberfläche ausgezeichnet geeignet ist. Die experimentellen Ergebnisse bei verschiedenen Lösungsbedingungen, wie Konzentration von Protein bzw. Tensid, pH-Wert und Ionenstärke der Lösung, zeigen deutlich, dass die Anreicherung der Proteinmoleküle wesentlich stärker ist als die von Tensiden. Dies gilt auch für Tenside mit einer sehr hohen Grenzflächenaktivität, was im Wesentlichen durch die extrem feste (nahezu irreversible) Anreicherung der Proteinmoleküle zu erklären ist. Die erzielten experimentellen Ergebnisse dienen jetzt als Grundlage für die Weiterentwicklung der Theorie aufsteigender Blasen, die besonders von der Dynamik der Anreicherung der Moleküle geprägt ist. Neueste Untersuchungen haben gezeigt, dass auf der Grundlage dieser experimentellen Ergebnisse erstmals die Geschwindigkeitskonstanten der Anreicherung (Adsorption und Desorption) unabhängig voneinander ermittelt werden können. KW - adsorption KW - air-water interface KW - protein KW - foam KW - rising bubble KW - Adsorption KW - Wasser/Luft Grenzflächen KW - steigende Blasen KW - Schaum KW - Beta-Lactoglobulin Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-94263 ER - TY - JOUR A1 - Navarro-Retamal, Carlos A1 - Bremer, Anne A1 - Alzate-Morales, Jans H. A1 - Caballero, Julio A1 - Hincha, Dirk K. A1 - Gonzalez, Wendy A1 - Thalhammer, Anja T1 - Molecular dynamics simulations and CD spectroscopy reveal hydration-induced unfolding of the intrinsically disordered LEA proteins COR15A and COR15B from Arabidopsis thaliana JF - Physical chemistry, chemical physics : a journal of European Chemical Societies N2 - The LEA (late embryogenesis abundant) proteins COR15A and COR15B from Arabidopsis thaliana are intrinsically disordered under fully hydrated conditions, but obtain alpha-helical structure during dehydration, which is reversible upon rehydration. To understand this unusual structural transition, both proteins were investigated by circular dichroism (CD) and molecular dynamics (MD) approaches. MD simulations showed unfolding of the proteins in water, in agreement with CD data obtained with both HIS-tagged and untagged recombinant proteins. Mainly intramolecular hydrogen bonds (H-bonds) formed by the protein backbone were replaced by H-bonds with water molecules. As COR15 proteins function in vivo as protectants in leaves partially dehydrated by freezing, unfolding was further assessed under crowded conditions. Glycerol reduced (40%) or prevented (100%) unfolding during MD simulations, in agreement with CD spectroscopy results. H-bonding analysis indicated that preferential exclusion of glycerol from the protein backbone increased stability of the folded state. Y1 - 2016 U6 - https://doi.org/10.1039/c6cp02272c SN - 1463-9076 SN - 1463-9084 VL - 18 SP - 25806 EP - 25816 PB - Royal Society of Chemistry CY - Cambridge ER - TY - GEN A1 - Navarro-Retamal, Carlos A1 - Bremer, Anne A1 - Alzate-Morales, Jans H. A1 - Caballero, Julio A1 - Hincha, Dirk K. A1 - González, Wendy A1 - Thalhammer, Anja T1 - Molecular dynamics simulations and CD spectroscopy reveal hydration-induced unfolding of the intrinsically disordered LEA proteins COR15A and COR15B from Arabidopsis thaliana N2 - The LEA (late embryogenesis abundant) proteins COR15A and COR15B from Arabidopsis thaliana are intrinsically disordered under fully hydrated conditions, but obtain α-helical structure during dehydration, which is reversible upon rehydration. To understand this unusual structural transition, both proteins were investigated by circular dichroism (CD) and molecular dynamics (MD) approaches. MD simulations showed unfolding of the proteins in water, in agreement with CD data obtained with both HIS-tagged and untagged recombinant proteins. Mainly intramolecular hydrogen bonds (H-bonds) formed by the protein backbone were replaced by H-bonds with water molecules. As COR15 proteins function in vivo as protectants in leaves partially dehydrated by freezing, unfolding was further assessed under crowded conditions. Glycerol reduced (40%) or prevented (100%) unfolding during MD simulations, in agreement with CD spectroscopy results. H-bonding analysis indicated that preferential exclusion of glycerol from the protein backbone increased stability of the folded state. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 321 Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-394503 SP - 25806 EP - 25816 ER - TY - JOUR A1 - Hildebrand, Viet A1 - Laschewsky, Andre A1 - Wischerhoff, Erik T1 - Modulating the solubility of zwitterionic poly((3methacrylamidopropyl)ammonioalkane sulfonate)s in water and aqueous salt solutions via the spacer group separating the cationic and the anionic moieties JF - Polymer Chemistry N2 - Complementary to the well-established zwitterionic monomer 3-((3-methacrylamidopropyl) dimethylammonio) propane-1-sulfonate (SPP), the closely related monomers 2-hydroxy-3-((3-methacrylamidopropyl) dimethylammonio) propane-1-sulfonate (SHPP) and 4-((3-methacrylamidopropyl) dimethylammonio)butane- 1-sulfonate (SBP) were synthesised and polymerised by reversible addition-fragmentation chain transfer (RAFT) polymerisation, using a fluorophore labeled RAFT agent. The polyzwitterions of systematically varied molar masses were characterised with respect to their solubility in water and aqueous salt solutions. Both poly(sulfobetaine)s show thermoresponsive behaviour in water, exhibiting phase separation at low temperatures and upper critical solution temperatures (UCST). For both polySHPP and polySBP, cloud points depend notably on the molar mass, and are much higher in D2O than in H2O. Also, the cloud points are effectively modulated by the addition of salts. The individual effects can be in parts correlated to the Hofmeister series for the anions studied. Still, they depend in a complex way on the concentration and the nature of the added electrolytes, on the one hand, and on the detailed nature of the spacer group separating the anionic and the cationic charges of the betaine moiety, on the other hand. As anticipated, the cloud points of polySBP are much higher than the ones of the analogous polySPP of identical molar mass. Surprisingly, the cloud points of polySHPP are also somewhat higher than the ones of their polySPP analogues, despite the additional hydrophilic hydroxyl group present in the spacer separating the ammonium and the sulfonate moieties. These findings point to a complicated interplay of the various hydrophilic components in polyzwitterions with respect to their overall hydrophilicity. Thus, the spacer group in the betaine moiety proves to be an effective additional molecular design parameter, apparently small variations of which strongly influence the phase behaviour of the polyzwitterions in specific aqueous environments. Y1 - 2016 U6 - https://doi.org/10.1039/c5py01642h SN - 1759-9954 SN - 1759-9962 VL - 7 SP - 731 EP - 740 PB - Royal Society of Chemistry CY - Cambridge ER - TY - JOUR A1 - Pornsawad, Pornsarp A1 - Böckmann, Christine T1 - Modified Iterative Runge-Kutta-Type Methods for Nonlinear Ill-Posed Problems JF - Numerical functional analysis and optimization : an international journal of rapid publication N2 - This work is devoted to the convergence analysis of a modified Runge-Kutta-type iterative regularization method for solving nonlinear ill-posed problems under a priori and a posteriori stopping rules. The convergence rate results of the proposed method can be obtained under a Holder-type sourcewise condition if the Frechet derivative is properly scaled and locally Lipschitz continuous. Numerical results are achieved by using the Levenberg-Marquardt, Lobatto, and Radau methods. KW - Nonlinear ill-posed problems KW - Runge-Kutta methods KW - regularization methods KW - Holder-type source condition KW - stopping rules Y1 - 2016 U6 - https://doi.org/10.1080/01630563.2016.1219744 SN - 0163-0563 SN - 1532-2467 VL - 37 SP - 1562 EP - 1589 PB - Wiley-VCH CY - Philadelphia ER - TY - THES A1 - Wichitsa-nguan, Korakot T1 - Modifications and extensions of the logistic regression and Cox model T1 - Modifikationen und Erweiterungen des logistischen Regressionsmodells und des Cox-Modells N2 - In many statistical applications, the aim is to model the relationship between covariates and some outcomes. A choice of the appropriate model depends on the outcome and the research objectives, such as linear models for continuous outcomes, logistic models for binary outcomes and the Cox model for time-to-event data. In epidemiological, medical, biological, societal and economic studies, the logistic regression is widely used to describe the relationship between a response variable as binary outcome and explanatory variables as a set of covariates. However, epidemiologic cohort studies are quite expensive regarding data management since following up a large number of individuals takes long time. Therefore, the case-cohort design is applied to reduce cost and time for data collection. The case-cohort sampling collects a small random sample from the entire cohort, which is called subcohort. The advantage of this design is that the covariate and follow-up data are recorded only on the subcohort and all cases (all members of the cohort who develop the event of interest during the follow-up process). In this thesis, we investigate the estimation in the logistic model for case-cohort design. First, a model with a binary response and a binary covariate is considered. The maximum likelihood estimator (MLE) is described and its asymptotic properties are established. An estimator for the asymptotic variance of the estimator based on the maximum likelihood approach is proposed; this estimator differs slightly from the estimator introduced by Prentice (1986). Simulation results for several proportions of the subcohort show that the proposed estimator gives lower empirical bias and empirical variance than Prentice's estimator. Then the MLE in the logistic regression with discrete covariate under case-cohort design is studied. Here the approach of the binary covariate model is extended. Proving asymptotic normality of estimators, standard errors for the estimators can be derived. The simulation study demonstrates the estimation procedure of the logistic regression model with a one-dimensional discrete covariate. Simulation results for several proportions of the subcohort and different choices of the underlying parameters indicate that the estimator developed here performs reasonably well. Moreover, the comparison between theoretical values and simulation results of the asymptotic variance of estimator is presented. Clearly, the logistic regression is sufficient for the binary outcome refers to be available for all subjects and for a fixed time interval. Nevertheless, in practice, the observations in clinical trials are frequently collected for different time periods and subjects may drop out or relapse from other causes during follow-up. Hence, the logistic regression is not appropriate for incomplete follow-up data; for example, an individual drops out of the study before the end of data collection or an individual has not occurred the event of interest for the duration of the study. These observations are called censored observations. The survival analysis is necessary to solve these problems. Moreover, the time to the occurence of the event of interest is taken into account. The Cox model has been widely used in survival analysis, which can effectively handle the censored data. Cox (1972) proposed the model which is focused on the hazard function. The Cox model is assumed to be λ(t|x) = λ0(t) exp(β^Tx) where λ0(t) is an unspecified baseline hazard at time t and X is the vector of covariates, β is a p-dimensional vector of coefficient. In this thesis, the Cox model is considered under the view point of experimental design. The estimability of the parameter β0 in the Cox model, where β0 denotes the true value of β, and the choice of optimal covariates are investigated. We give new representations of the observed information matrix In(β) and extend results for the Cox model of Andersen and Gill (1982). In this way conditions for the estimability of β0 are formulated. Under some regularity conditions, ∑ is the inverse of the asymptotic variance matrix of the MPLE of β0 in the Cox model and then some properties of the asymptotic variance matrix of the MPLE are highlighted. Based on the results of asymptotic estimability, the calculation of local optimal covariates is considered and shown in examples. In a sensitivity analysis, the efficiency of given covariates is calculated. For neighborhoods of the exponential models, the efficiencies have then been found. It is appeared that for fixed parameters β0, the efficiencies do not change very much for different baseline hazard functions. Some proposals for applicable optimal covariates and a calculation procedure for finding optimal covariates are discussed. Furthermore, the extension of the Cox model where time-dependent coefficient are allowed, is investigated. In this situation, the maximum local partial likelihood estimator for estimating the coefficient function β(·) is described. Based on this estimator, we formulate a new test procedure for testing, whether a one-dimensional coefficient function β(·) has a prespecified parametric form, say β(·; ϑ). The score function derived from the local constant partial likelihood function at d distinct grid points is considered. It is shown that the distribution of the properly standardized quadratic form of this d-dimensional vector under the null hypothesis tends to a Chi-squared distribution. Moreover, the limit statement remains true when replacing the unknown ϑ0 by the MPLE in the hypothetical model and an asymptotic α-test is given by the quantiles or p-values of the limiting Chi-squared distribution. Finally, we propose a bootstrap version of this test. The bootstrap test is only defined for the special case of testing whether the coefficient function is constant. A simulation study illustrates the behavior of the bootstrap test under the null hypothesis and a special alternative. It gives quite good results for the chosen underlying model. References P. K. Andersen and R. D. Gill. Cox's regression model for counting processes: a large samplestudy. Ann. Statist., 10(4):1100{1120, 1982. D. R. Cox. Regression models and life-tables. J. Roy. Statist. Soc. Ser. B, 34:187{220, 1972. R. L. Prentice. A case-cohort design for epidemiologic cohort studies and disease prevention trials. Biometrika, 73(1):1{11, 1986. N2 - In vielen statistischen Anwendungen besteht die Aufgabe darin, die Beziehung zwischen Einflussgrößen und einer Zielgröße zu modellieren. Die Wahl eines geeigneten Modells hängt vom Typ der Zielgröße und vom Ziel der Untersuchung ab - während lineare Modelle für die Beschreibung des Zusammenhanges stetiger Outputs und Einflussgrößen genutzt werden, dienen logistische Regressionsmodelle zur Modellierung binärer Zielgrößen und das Cox-Modell zur Modellierung von Lebendauer-Daten. In epidemiologischen, medizinischen, biologischen, sozialen und ökonomischen Studien wird oftmals die logistische Regression angewendet, um den Zusammenhang zwischen einer binären Zielgröße und den erklärenden Variablen, den Kovariaten, zu modellieren. In epidemiologischen Studien muss häufig eine große Anzahl von Individuen für eine lange Zeit beobachtet werden. Um hierbei Kosten zu reduzieren, wird ein "Case-Cohort-Design" angewendet. Hierbei werden die Einflussgrößen nur für die Individuen erfasst, für die das interessierende Ereignis eintritt, und für eine zufällig gewählte kleine Teilmenge von Individuen, die Subkohorte. In der vorliegenden Arbeit wird das Schätzen im logistischen Regressionsmodell unter Case-Cohort-Design betrachtet. Für den Fall, dass auch die Kovariate binär ist, wurde bereits von Prentice (1986) die asymptotische Normalität des Maximum-Likelihood-Schätzers für den Logarithmus des "odds ratio", einen Parameter, der den Effekt der Kovariate charakterisiert, angegeben. In dieser Arbeit wird über einen Maximum-Likelihood-Zugang ein Schätzer für die Varianz der Grenzverteilung hergeleitet, für den durch empirische Untersuchungen gezeigt wird, dass er dem von Prentice überlegen ist. Ausgehend von dem binärem Kovariate-Modell werden Maximum-Likelihood-Schätzer für logistische Regressionsmodelle mit diskreten Kovariaten unter Case-Cohort-Design hergeleitet. Die asymptotische Normalität wird gezeigt; darauf aufbauend können Formeln für die Standardfehler angegeben werden. Simulationsstudien ergänzen diesen Abschnitt. Sie zeigen den Einfluss des Umfanges der Subkohorte auf die Varianz der Schätzer. Logistische Regression ist geeignet, wenn man das interessierende Ereignis für alle Individuen beobachten kann und wenn man ein festes Zeitintervall betrachtet. Will man die Zeit bis zum Eintreten eines Ereignisses bei der Untersuchung der Wirkung der Kovariate berücksichtigen, so sind Lebensdauermodelle angemessen. Hierbei können auch zensierte Daten behandelt werden. Ein sehr häufig angewendetes Regressionsmodell ist das von Cox (1972) vorgeschlagene, bei dem die Hazardrate durch λ(t|x) = λ0(t) exp(β^Tx) definiert ist. Hierbei ist λ0(t) eine unspezifizierte Baseline-Hazardrate und X ist ein Kovariat-Vektor, β ist ein p-dimensionaler Koeffizientenvektor. Nachdem ein Überblick über das Schätzen und Testen im Cox-Modell und seinen Erweiterungen gegeben wird, werden Aussagen zur Schätzbarkeit des Parameters β durch die "partiallikelihood"- Methode hergeleitet. Grundlage hierzu sind neue Darstellungen der beobachteten Fisher-Information, die die Ergebnisse von Andersen and Gill (1982) erweitern. Unter Regularitätsbedingungen ist der Schätzer asymptotisch normal; die Inverse der Grenzmatrix der Fisher-Information ist die Varianzmatrix der Grenzverteilung. Bedingungen für die Nichtsingularität dieser Grenzmatrix führen zum Begriff der asymptotischen Schätzbarkeit, der in der vorliegenden Arbeit ausführlich untersucht wird. Darüber hinaus ist diese Matrix Grundlage für die Herleitung lokal optimaler Kovariate. In einer Sensitivitätsanalyse wird die Effizienz gewählter Kovariate berechnet. Die Berechnungen zeigen, dass die Baseline-Verteilung nur wenig Einfluss auf die Effizienz hat. Entscheidend ist die Wahl der Kovariate. Es werden einige Vorschläge für anwendbare optimale Kovariate und Berechnungsverfahren für das Auffinden optimaler Kovariate diskutiert. Eine Erweiterung des Cox-Modells besteht darin, zeitabhängige Koeffizienten zuzulassen. Da diese Koeffizientenfunktionen nicht näher spezifiziert sind, werden sie nichtparametrisch geschätzt. Eine mögliche Methode ist die "local-linear-partial-likelihood"-Methode, deren Eigenschaften beispielsweise in der Arbeit von Cai and Sun (2003) untersucht wurden. In der vorliegenden Arbeit werden Simulationen zu dieser Methode durchgeführt. Hauptaspekt ist das Testen der Koeffizientenfunktion. Getestet wird, ob diese Funktion eine bestimmte parametrische Form besitzt. Betrachtet wird der Score-Vektor, der von der "localconstant-partial-likelihood"-Funktion abgeleitet wird. Ausgehend von der asymptotischen Normalität dieses Vektors an verschiedenen Gitterpunkten kann gezeigt werden, dass die Verteilung der geeignet standardisierten quadratischen Form unter der Nullhypothese gegen eine Chi-Quadrat-Verteilung konvergiert. Die Eigenschaften des auf dieser Grenzverteilungsaussage aufbauenden Tests hängen nicht nur vom Stichprobenumfang, sondern auch vom verwendeten Glättungsparameter ab. Deshalb ist es sinnvoll, auch einen Bootstrap-Test zu betrachten. In der vorliegenden Arbeit wird ein Bootstrap-Test zum Testen der Hypothese, dass die Koeffizienten-Funktion konstant ist, d.h. dass das klassische Cox-Modell vorliegt, vorgeschlagen. Der Algorithmus wird angegeben. Simulationen zum Verhalten dieses Tests unter der Nullhypothese und einer speziellen Alternative werden durchgeführt. Literatur P. K. Andersen and R. D. Gill. Cox's regression model for counting processes: a large sample study. Ann. Statist., 10(4):1100{1120, 1982. Z. Cai and Y. Sun. Local linear estimation for time-dependent coefficients in Cox's regression models. Scand. J. Statist., 30(1):93-111, 2003. D. R. Cox. Regression models and life-tables. J. Roy. Statist. Soc. Ser. B, 34:187-220, 1972. R. L. Prentice. A case-cohort design for epidemiologic cohort studies and disease prevention trials. Biometrika, 73(1):1-11, 1986. KW - survival analysis KW - Cox model KW - logistic regression analysis KW - logistische Regression KW - Case-Cohort-Design KW - Cox-Modell Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-90033 ER - TY - JOUR A1 - Krasuska, Urszula A1 - Ciacka, Katarzyna A1 - Orzechowski, Slawomir A1 - Fettke, Jörg A1 - Bogatek, Renata A1 - Gniazdowska, Agnieszka T1 - Modification of the endogenous NO level influences apple embryos dormancy by alterations of nitrated and biotinylated protein patterns JF - Planta N2 - NO donors and Arg remove dormancy of apple embryos and stimulate germination. Compounds lowering NO level (cPTIO, L -NAME, CAN) strengthen dormancy. Embryo transition from dormancy state to germination is linked to increased nitric oxide synthase (NOS)-like activity. Germination of embryos is associated with declined level of biotin containing proteins and nitrated proteins in soluble protein fraction of root axis. Pattern of nitrated proteins suggest that storage proteins are putative targets of nitration. Nitric oxide (NO) acts as a key regulatory factor in removal of seed dormancy and is a signal necessary for seed transition from dormant state into germination. Modulation of NO concentration in apple (Malus domestica Borkh.) embryos by NO fumigation, treatment with NO donor (S-nitroso-N-acetyl-d,l-penicillamine, SNAP), application of 2-(4-carboxyphenyl)-4,4,5,5-tetramethylimidazoline-1-oxyl-3-oxide (cPTIO), N (omega)-nitro-l-arginine methyl ester (l-NAME), canavanine (CAN) or arginine (Arg) allowed us to investigate the NO impact on seed dormancy status. Arg analogs and NO scavenger strengthened embryo dormancy by lowering reactive nitrogen species level in embryonic axes. This effect was accompanied by strong inhibition of NOS-like activity, without significant influence on tissue NO2 (-) concentration. Germination sensu stricto of apple embryos initiated by dormancy breakage via short term NO treatment or Arg supplementation were linked to a reduced level of biotinylated proteins in root axis. Decrease of total soluble nitrated proteins was observed at the termination of germination sensu stricto. Also modulation of NO tissue status leads to modification in nitrated protein pattern. Among protein bands that correspond to molecular mass of approximately 95 kDa, storage proteins (legumin A-like and seed biotin-containing protein) were identified, and can be considered as good markers for seed dormancy status. Moreover, pattern of nitrated proteins suggest that biotin containing proteins are also targets of nitration. KW - Apple KW - Nitro-tyrosine KW - Nitric oxide synthase-like activity KW - Reactive nitrogen species KW - Seed germination Y1 - 2016 U6 - https://doi.org/10.1007/s00425-016-2553-z SN - 0032-0935 SN - 1432-2048 VL - 244 SP - 877 EP - 891 PB - Springer CY - New York ER - TY - JOUR A1 - Wang, Rong A1 - Biskaborn, Boris A1 - Ramisch, Arne A1 - Ren, Jian A1 - Zhang, Yongzhan A1 - Gersonde, Rainer A1 - Diekmann, Bernhard T1 - Modern modes of provenance and dispersal of terrigenous sediments in the North Pacific and Bering Sea: implications and perspectives for palaeoenvironmental reconstructions JF - Geo-marine letters : an international journal of marine geology N2 - During expedition 202 aboard the RV Sonne in 2009, 39 seafloor surface sediment sites were sampled over a wide sector of the North Pacific and adjoining Bering Sea. The data served to infer land-ocean linkages of terrigenous sediment supply in terms of major sources and modes of sediment transport within an over-regional context. This is based on an integrated approach dealing with grain-size analysis, bulk mineralogy and clay mineralogy in combination with statistical data evaluation (end-member modelling of grain-size data, fuzzy cluster analysis of mineralogical data). The findings on clay mineralogy served to update those of earlier work extracted from the literature. Today, two processes of terrigenous sediment supply prevail in the study area: far-distance aeolian sediment supply to the pelagic North Pacific, and hemipelagic sediment dispersal from nearby land sources via ocean currents along the continental margins and island arcs. Aeolian particles show the finest grain sizes (clay and fine silt), whereas hemipelagic sediments have high abundances of coarse silt. Exposed sites on seamounts and the continental slope are partly swept by strong currents, leading to residual enrichment of fine sand. Four sediment sources can be distinguished on the basis of distinct index minerals revealed by statistical data analysis: dust plumes from central Asia (quartz, illite), altered materials from the volcanic regions of Kamchatka and the Aleutian Arc (smectite), detritus from the Alaskan Cordillera (chlorite, hornblende), and fluvial detritus from far-eastern Siberia and the Alaska mainland (quartz, feldspar, illite). These findings confirm those of former studies but considerably expand the geographic range of this suite of proxies as far south as 39A degrees N in the open North Pacific. The present integrated methodological approach proved useful in identifying the major modern processes of terrigenous sediment supply to the study region. This aspect deserves attention in the selection of sediment core sites for future palaeoenvironmental reconstructions related to aeolian and glacial dynamics, as well as the recognition of palaeo-ocean circulation patterns in general. Y1 - 2016 U6 - https://doi.org/10.1007/s00367-016-0445-7 SN - 0276-0460 SN - 1432-1157 VL - 36 SP - 259 EP - 270 PB - Springer CY - New York ER - TY - JOUR A1 - Corsten, Sabine T1 - Modellorientierte Therapie phonologischer Störungen bei Aphasie JF - Spektrum Patholinguistik Band 9. Schwerpunktthema: Lauter Laute: Phonologische Verarbeitung und Lautwahrnehmung in der Sprachtherapie N2 - 1 Einleitung, 2 Phonologische Symptome im Sprachverstehen und in der Sprachproduktion, 3 Theoretische Einordnung der Symptome, 3.1 Phonologisches Dekodieren, 3.2 Phonologisches Enkodieren, 4. Therapeutische Intervention, 5. Wirksamkeitsbelege, 6. Fazit, 7. Literatur Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-98987 SN - 1866-9085 SN - 1866-9433 IS - 9 SP - 1 EP - 26 PB - Universitätsverlag Potsdam CY - Potsdam ER - TY - THES A1 - Höllerer, Reinhard T1 - Modellierung und Optimierung von Bürgerdiensten am Beispiel der Stadt Landshut T1 - Modeling and optimization of civil services on the example of the city of Landshut N2 - Die Projektierung und Abwicklung sowie die statische und dynamische Analyse von Geschäftsprozessen im Bereich des Verwaltens und Regierens auf kommunaler, Länder- wie auch Bundesebene mit Hilfe von Informations- und Kommunikationstechniken beschäftigen Politiker und Strategen für Informationstechnologie ebenso wie die Öffentlichkeit seit Langem. Der hieraus entstandene Begriff E-Government wurde in der Folge aus den unterschiedlichsten technischen, politischen und semantischen Blickrichtungen beleuchtet. Die vorliegende Arbeit konzentriert sich dabei auf zwei Schwerpunktthemen: • Das erste Schwerpunktthema behandelt den Entwurf eines hierarchischen Architekturmodells, für welches sieben hierarchische Schichten identifiziert werden können. Diese erscheinen notwendig, aber auch hinreichend, um den allgemeinen Fall zu beschreiben. Den Hintergrund hierfür liefert die langjährige Prozess- und Verwaltungserfahrung als Leiter der EDV-Abteilung der Stadtverwaltung Landshut, eine kreisfreie Stadt mit rund 69.000 Einwohnern im Nordosten von München. Sie steht als Repräsentant für viele Verwaltungsvorgänge in der Bundesrepublik Deutschland und ist dennoch als Analyseobjekt in der Gesamtkomplexität und Prozessquantität überschaubar. Somit können aus der Analyse sämtlicher Kernabläufe statische und dynamische Strukturen extrahiert und abstrakt modelliert werden. Die Schwerpunkte liegen in der Darstellung der vorhandenen Bedienabläufe in einer Kommune. Die Transformation der Bedienanforderung in einem hierarchischen System, die Darstellung der Kontroll- und der Operationszustände in allen Schichten wie auch die Strategie der Fehlererkennung und Fehlerbehebung schaffen eine transparente Basis für umfassende Restrukturierungen und Optimierungen. Für die Modellierung wurde FMC-eCS eingesetzt, eine am Hasso-Plattner-Institut für Softwaresystemtechnik GmbH (HPI) im Fachgebiet Kommunikationssysteme entwickelte Methodik zur Modellierung zustandsdiskreter Systeme unter Berücksichtigung möglicher Inkonsistenzen (Betreuer: Prof. Dr.-Ing. Werner Zorn [ZW07a, ZW07b]). • Das zweite Schwerpunktthema widmet sich der quantitativen Modellierung und Optimierung von E-Government-Bediensystemen, welche am Beispiel des Bürgerbüros der Stadt Landshut im Zeitraum 2008 bis 2015 durchgeführt wurden. Dies erfolgt auf Basis einer kontinuierlichen Betriebsdatenerfassung mit aufwendiger Vorverarbeitung zur Extrahierung mathematisch beschreibbarer Wahrscheinlichkeitsverteilungen. Der hieraus entwickelte Dienstplan wurde hinsichtlich der erzielbaren Optimierungen im dauerhaften Echteinsatz verifiziert. [ZW07a] Zorn, Werner: «FMC-QE A New Approach in Quantitative Modeling», Vortrag anlässlich: MSV'07- The 2007 International Conference on Modeling, Simulation and Visualization Methods WorldComp2007, Las Vegas, 28.6.2007. [ZW07b] Zorn, Werner: «FMC-QE, A New Approach in Quantitative Modeling», Veröffentlichung, Hasso-Plattner-Institut für Softwaresystemtechnik an der Universität Potsdam, 28.6.2007. N2 - The project development and implementation as well as the static and dynamic analysis of business processes in the context of administration and governance on a municipal, federal state or national level by information and communication technology, has concerned the media along with politicians and strategists for information technology as well as the general public for a long time. The here-from defined term of E-Government has been examined as the focal point of discussion from most diverse technical, political and semantic perspectives. The present work focuses on two main topics: • The first main topic approaches the development of a hierarchical architecture model for which seven hierarchical layers can be identified. These seem to be necessary as well as sufficient to describe the general case. The background is provided by the long-term processual and administrative experience as head of the IT department at the municipality of Landshut, an independent city with 69.000 inhabitants located in the north-east of Munich. It is representative of many administrative processes in the Federal Republic of Germany, but nonetheless still manageable concerning its complexity and quantity of processes. Therefore, static and dynamic structures can be extracted from the analysis of all core workflows and modelled abstractly. The emphases lie on the description of the existing operating procedures in a municipality. The transformation of the operating requirements in a hierarchical system, the modeling of the control and operational states within all layers, as well as the strategy of error recognition and troubleshooting create a transparent basis for extensive restructuring and optimisation. For modeling was used FMC-eCS, a methodology for the description of state discrete systems, developed at the Hasso-Plattner-Institute for Software Systems Engineering (HPI) in the subject area of communication systems. Furthermore inconsistent system statuses are taken into consideration (advisor: Prof. Dr.-Ing. Werner Zorn [ZW02, …, ZW10]). • The second main topic focuses on the quantitative modeling and optimisation of the E-Government process chain at Landshut´s Citizens Advice Bureau (2008 up to 2015). This is based on a continuous data acquisition with sophisticated pre-processing to extract mathematically describable probability distributions. The derivation of a duty roster for actual application and a quality control conclusively verify the developed stochastic method. KW - E-Government KW - Modellierung KW - Optimierung KW - eGovernment KW - modeling KW - optimization Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-425986 ER - TY - THES A1 - Höllerer, Reinhard T1 - Modellierung und Optimierung von Bürgerdiensten am Beispiel der Stadt Landshut N2 - Die Projektierung und Abwicklung sowie die statische und dynamische Analyse von Geschäftsprozessen im Bereich des Verwaltens und Regierens auf kommunaler, Länder- wie auch Bundesebene mit Hilfe von Informations- und Kommunikationstechniken beschäftigen Politiker und Strategen für Informationstechnologie ebenso wie die Öffentlichkeit seit Langem. Der hieraus entstandene Begriff E-Government wurde in der Folge aus den unterschiedlichsten technischen, politischen und semantischen Blickrichtungen beleuchtet. Die vorliegende Arbeit konzentriert sich dabei auf zwei Schwerpunktthemen: > Das erste Schwerpunktthema behandelt den Entwurf eines hierarchischen Architekturmodells, für welches sieben hierarchische Schichten identifiziert werden können. Diese erscheinen notwendig, aber auch hinreichend, um den allgemeinen Fall zu beschreiben. Den Hintergrund hierfür liefert die langjährige Prozess- und Verwaltungserfahrung als Leiter der EDV-Abteilung der Stadtverwaltung Landshut, eine kreisfreie Stadt mit rund 69.000 Einwohnern im Nordosten von München. Sie steht als Repräsentant für viele Verwaltungsvorgänge in der Bundesrepublik Deutschland und ist dennoch als Analyseobjekt in der Gesamtkomplexität und Prozessquantität überschaubar. Somit können aus der Analyse sämtlicher Kernabläufe statische und dynamische Strukturen extrahiert und abstrakt modelliert werden. Die Schwerpunkte liegen in der Darstellung der vorhandenen Bedienabläufe in einer Kommune. Die Transformation der Bedienanforderung in einem hierarchischen System, die Darstellung der Kontroll- und der Operationszustände in allen Schichten wie auch die Strategie der Fehlererkennung und Fehlerbehebung schaffen eine transparente Basis für umfassende Restrukturierungen und Optimierungen. Für die Modellierung wurde FMC-eCS eingesetzt, eine am Hasso-Plattner-Institut für Softwaresystemtechnik GmbH (HPI) im Fachgebiet Kommunikationssysteme entwickelte Methodik zur Modellierung zustandsdiskreter Systeme unter Berücksichtigung möglicher Inkonsistenzen >Das zweite Schwerpunktthema widmet sich der quantitativen Modellierung und Optimierung von E-Government-Bediensystemen, welche am Beispiel des Bürgerbüros der Stadt Landshut im Zeitraum 2008 bis 2015 durchgeführt wurden. Dies erfolgt auf Basis einer kontinuierlichen Betriebsdatenerfassung mit aufwendiger Vorverarbeitung zur Extrahierung mathematisch beschreibbarer Wahrscheinlichkeitsverteilungen. Der hieraus entwickelte Dienstplan wurde hinsichtlich der erzielbaren Optimierungen im dauerhaften Echteinsatz verifiziert. Y1 - 2016 ER - TY - THES A1 - Nieß, Günther T1 - Modellierung und Erkennung von technischen Fehlern mittels linearer und nichtlinearer Codes Y1 - 2016 ER - TY - GEN A1 - Gliege, Steffen A1 - Thomas, Björn Daniel A1 - Steidl, Jörg A1 - Hohenbrink, Tobias Ludwig A1 - Dietrich, Ottfried T1 - Modeling the impact of ditch water level management on stream-aquifer interactions N2 - Decreasing groundwater levels in many parts of Germany and decreasing low flows in Central Europe have created a need for adaptation measures to stabilize the water balance and to increase low flows. The objective of our study was to estimate the impact of ditch water level management on stream-aquifer interactions in small lowland catchments of the mid-latitudes. The water balance of a ditch-irrigated area and fluxes between the subsurface and the adjacent stream were modeled for three runoff recession periods using the Hydrus-2D software package. The results showed that the subsurface flow to the stream was closely related to the difference between the water level in the ditch system and the stream. Evapotranspiration during the growing season additionally reduced base flow. It was crucial to stop irrigation during a recession period to decrease water withdrawal from the stream and enhance the base flow by draining the irrigated area. Mean fluxes to the stream were between 0.04 and 0.64 ls(-1) for the first 20 days of the low-flow periods. This only slightly increased the flow in the stream, whose mean was 57 ls(-1) during the period with the lowest flows. Larger areas would be necessary to effectively increase flows in mesoscale catchments. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 445 KW - ditch irrigation KW - adaption measure KW - Hydrus-2D KW - required minimum runoff KW - groundwater surface water interaction Y1 - 2018 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-407613 ER - TY - JOUR A1 - Gliege, Steffen A1 - Thomas, Bjoern D. A1 - Steidl, Jörg A1 - Hohenbrink, Tobias Ludwig A1 - Dietrich, Ottfried T1 - Modeling the Impact of Ditch Water Level Management on Stream-Aquifer Interactions JF - Water N2 - Decreasing groundwater levels in many parts of Germany and decreasing low flows in Central Europe have created a need for adaptation measures to stabilize the water balance and to increase low flows. The objective of our study was to estimate the impact of ditch water level management on stream-aquifer interactions in small lowland catchments of the mid-latitudes. The water balance of a ditch-irrigated area and fluxes between the subsurface and the adjacent stream were modeled for three runoff recession periods using the Hydrus-2D software package. The results showed that the subsurface flow to the stream was closely related to the difference between the water level in the ditch system and the stream. Evapotranspiration during the growing season additionally reduced base flow. It was crucial to stop irrigation during a recession period to decrease water withdrawal from the stream and enhance the base flow by draining the irrigated area. Mean fluxes to the stream were between 0.04 and 0.64 ls(-1) for the first 20 days of the low-flow periods. This only slightly increased the flow in the stream, whose mean was 57 ls(-1) during the period with the lowest flows. Larger areas would be necessary to effectively increase flows in mesoscale catchments. KW - ditch irrigation KW - adaption measure KW - Hydrus-2D KW - required minimum runoff KW - groundwater surface water interaction Y1 - 2016 U6 - https://doi.org/10.3390/w8030102 SN - 2073-4441 VL - 8 PB - MDPI CY - Basel ER - TY - JOUR A1 - Pavlova, Viola A1 - Grimm, Volker A1 - Dietz, Rune A1 - Sonne, Christian A1 - Vorkamp, Katrin A1 - Riget, Frank F. A1 - Letcher, Robert J. A1 - Gustavson, Kim A1 - Desforges, Jean-Pierre A1 - Nabe-Nielsen, Jacob T1 - Modeling Population-Level Consequences of Polychlorinated Biphenyl Exposure in East Greenland Polar Bears JF - Archives of environmental contamination and toxicology N2 - Polychlorinated biphenyls (PCBs) can cause endocrine disruption, cancer, immunosuppression, or reproductive failure in animals. We used an individual-based model to explore whether and how PCB-associated reproductive failure could affect the dynamics of a hypothetical polar bear (Ursus maritimus) population exposed to PCBs to the same degree as the East Greenland subpopulation. Dose-response data from experimental studies on a surrogate species, the mink (Mustela vision), were used in the absence of similar data for polar bears. Two alternative types of reproductive failure in relation to maternal sum-PCB concentrations were considered: increased abortion rate and increased cub mortality. We found that the quantitative impact of PCB-induced reproductive failure on population growth rate depended largely on the actual type of reproductive failure involved. Critical potencies of the dose-response relationship for decreasing the population growth rate were established for both modeled types of reproductive failure. Comparing the model predictions of the age-dependent trend of sum-PCBs concentrations in females with actual field measurements from East Greenland indicated that it was unlikely that PCB exposure caused a high incidence of abortions in the subpopulation. However, on the basis of this analysis, it could not be excluded that PCB exposure contributes to higher cub mortality. Our results highlight the necessity for further research on the possible influence of PCBs on polar bear reproduction regarding their physiological pathway. This includes determining the exact cause of reproductive failure, i.e., in utero exposure versus lactational exposure of offspring; the timing of offspring death; and establishing the most relevant reference metrics for the dose-response relationship. Y1 - 2016 U6 - https://doi.org/10.1007/s00244-015-0203-2 SN - 0090-4341 SN - 1432-0703 VL - 70 SP - 143 EP - 154 PB - Springer CY - New York ER - TY - THES A1 - Wätzoldt, Sebastian T1 - Modeling collaborations in adaptive systems of systems T1 - Modellierung von Kollaborationen für adaptive Systeme von Systemen N2 - Recently, due to an increasing demand on functionality and flexibility, beforehand isolated systems have become interconnected to gain powerful adaptive Systems of Systems (SoS) solutions with an overall robust, flexible and emergent behavior. The adaptive SoS comprises a variety of different system types ranging from small embedded to adaptive cyber-physical systems. On the one hand, each system is independent, follows a local strategy and optimizes its behavior to reach its goals. On the other hand, systems must cooperate with each other to enrich the overall functionality to jointly perform on the SoS level reaching global goals, which cannot be satisfied by one system alone. Due to difficulties of local and global behavior optimizations conflicts may arise between systems that have to be solved by the adaptive SoS. This thesis proposes a modeling language that facilitates the description of an adaptive SoS by considering the adaptation capabilities in form of feedback loops as first class entities. Moreover, this thesis adopts the Models@runtime approach to integrate the available knowledge in the systems as runtime models into the modeled adaptation logic. Furthermore, the modeling language focuses on the description of system interactions within the adaptive SoS to reason about individual system functionality and how it emerges via collaborations to an overall joint SoS behavior. Therefore, the modeling language approach enables the specification of local adaptive system behavior, the integration of knowledge in form of runtime models and the joint interactions via collaboration to place the available adaptive behavior in an overall layered, adaptive SoS architecture. Beside the modeling language, this thesis proposes analysis rules to investigate the modeled adaptive SoS, which enables the detection of architectural patterns as well as design flaws and pinpoints to possible system threats. Moreover, a simulation framework is presented, which allows the direct execution of the modeled SoS architecture. Therefore, the analysis rules and the simulation framework can be used to verify the interplay between systems as well as the modeled adaptation effects within the SoS. This thesis realizes the proposed concepts of the modeling language by mapping them to a state of the art standard from the automotive domain and thus, showing their applicability to actual systems. Finally, the modeling language approach is evaluated by remodeling up to date research scenarios from different domains, which demonstrates that the modeling language concepts are powerful enough to cope with a broad range of existing research problems. N2 - Seit einiger Zeit führen ein ansteigender Bedarf nach erweiterter Systemfunktionalität und deren flexible Verwendung zu vernetzten Systemen, die sich zu einem übergeordneten adaptiven System von Systemen (SoS) zusammenschließen. Dieser SoS Zusammenschluss zeigt ein gewünschtes, robustes und flexibles Gesamtverhalten, welches sich aus der Funktionalität der einzelnen Systeme zusammensetzt. Das SoS beinhaltet eine Vielzahl von verschiedenen Systemarten, die sich von eingebetteten bis hin zu Cyber-Physical Systems erstrecken. Einerseits optimiert jedes einzelne System sein Verhalten bezüglich lokaler Ziele. Anderseits müssen die Systeme miteinander interagieren, um neue, zusammengesetzte Funktionalitäten bereitzustellen und damit vorgegebene SoS Ziele zu erreichen, welche durch ein einzelnes System nicht erfüllt werden können. Die Schwierigkeit besteht nun darin, Konflikte zwischen lokalen und globalen Verhaltensstrategien zwischen Systemen innerhalb des SoS zu beseitigen. Diese Doktorarbeit stellt eine Modellierungssprache vor, welche für die Beschreibung von adaptiven SoS geeignet ist. Dabei berücksichtigt die Modellierungssprache die Adaptionslogik des SoS in Form von periodischen Adaptationsschleifen als primäres Sprachkonstrukt. Außerdem übernimmt diese Arbeit den Models@runtime Ansatz, um verfügbares Systemwissen als Laufzeitmodelle in die Adaptationslogik des Systems zu integrieren. Weiterhin liegt der Fokus der Modellierungssprache auf der Beschreibung von Systeminteraktionen innerhalb des SoS. Dies ermöglicht Schlussfolgerungen von individuellem Systemverhalten sowie deren Aggregation zu kollaborativem Verhalten im Kontext von Systeminteraktionen im SoS. Damit unterstützt die entwickelte Modellierungssprache die Beschreibung von lokalem adaptivem Verhalten, die Integration von Wissen über die Modellierung von Laufzeitmodellen und Systeminteraktionen in Form von kollaborativem Verhalten. Alle drei Aspekte werden in die adaptive SoS Architektur integriert. Neben der entwickelten Modellierungssprache führt diese Doktorarbeit Analyseregeln zur Untersuchung des modellierten SoS ein. Diese Regeln ermöglichen die Erkennung von Architekturmustern und möglichen Schwächen im Systementwurf. Zusätzlich wird eine Simulationsumgebung für die Modellierungssprache präsentiert, welche die direkte Ausführung von einer modellierten SoS Architektur erlaubt. Die Analyseregeln und die Simulationsumgebung dienen demnach sowohl der Verifizierung von Systeminteraktionen als auch der spezifizierten Adaptationslogik innerhalb des SoS. Die vorliegende Arbeit implementiert die vorgestellten Konzepte der Modellierungssprache durch deren Abbildung auf einen aktuellen Standard im Automobilbereich und zeigt damit die Anwendbarkeit der Sprache auf gegenwärtige Systeme. Zum Schluss findet eine Evaluierung der Modellierungssprache statt, wobei aktuelle Forschungsszenarien aus unterschiedlichen Bereichen erneut mit der vorgestellten Sprache modelliert werden. Dies zeigt, dass die Modellierungskonzepte geeignet sind, um weite Bereiche existierender Forschungsprobleme zu bewältigen. KW - deurema modeling language KW - adaptive systems KW - systems of systems KW - runtime models KW - feedback loop modeling KW - collaborations KW - Deurema Modellierungssprache KW - Kollaborationen KW - adaptive Systeme KW - Systeme von Systemen KW - Laufzeitmodelle KW - Feedback Loop Modellierung Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-97494 ER - TY - JOUR A1 - Wang, Hao A1 - Wang, Xue-jiang A1 - Wang, Wei-shi A1 - Yan, Xiang-bo A1 - Xia, Peng A1 - Chen, Jie A1 - Zhao, Jian-fu T1 - Modeling and optimization of struvite recovery from wastewater and reusing for heavy metals immobilization in contaminated soil JF - Journal of chemical technology & biotechnology N2 - BACKROUND: Few studies have been carried out to connect nutrients recovery from wastewater and heavy metals immobilization in contaminated soil. To achieve the goal, ammonia nitrogen (AN) and phosphorus (P) were recovered from rare-earth wastewater by using the formation of struvite, which was used as the amendment with plant ash for copper, lead and chromium immobilization. RESULTS: AN removal efficiency and residual P reached 95.32 +/- 0.73% and 6.14 +/- 1.72mgL(-1) under optimal conditions: pH= 9.0, n(Mg): n(N): n(P)= 1.2: 1: 1.1, which were obtained using response surface methodology (RSM). The minimum available concentrations of Cu, Pb and Cr (CPC) separately reduced to 320.82 mg kg(-1), 190.77 mg kg(-1) and 121.46 mg kg(-1) with increasing immobilization time at the mass ratio of phosphate precipitate (PP)/plant ash (PA) of 1: 3. Humic acid (HA) and fulvic acid (FA) were beneficial to immobilize Cu, both of which showed no effect or even a negative effect on Pb and Cr immobilization. KW - precipitation KW - experimental design KW - immobilization KW - heavy metals KW - environmental remediation Y1 - 2016 U6 - https://doi.org/10.1002/jctb.4931 SN - 0268-2575 SN - 1097-4660 VL - 91 SP - 3045 EP - 3052 PB - Wiley-Blackwell CY - Hoboken ER - TY - JOUR A1 - Gebser, Martin A1 - Schaub, Torsten H. T1 - Modeling and Language Extensions JF - AI magazine N2 - Answer set programming (ASP) has emerged as an approach to declarative problem solving based on the stable model semantics for logic programs. The basic idea is to represent a computational problem by a logic program, formulating constraints in terms of rules, such that its answer sets correspond to problem solutions. To this end, ASP combines an expressive language for high-level modeling with powerful low-level reasoning capacities, provided by off-the-shelf tools. Compact problem representations take advantage of genuine modeling features of ASP, including (first-order) variables, negation by default, and recursion. In this article, we demonstrate the ASP methodology on two example scenarios, illustrating basic as well as advanced modeling and solving concepts. We also discuss mechanisms to represent and implement extended kinds of preferences and optimization. An overview of further available extensions concludes the article. Y1 - 2016 SN - 0738-4602 VL - 37 SP - 33 EP - 44 PB - Association for the Advancement of Artificial Intelligence CY - Menlo Park ER - TY - THES A1 - Gutsch, Martin T1 - Model-based analysis of climate change impacts on the productivity of oak-pine forests in Brandenburg T1 - Modell-basierte Analyse der Auswirkungen des Klimawandels auf die Produktivität von Eichen-Kiefern-Mischbeständen in Brandenburg N2 - The relationship between climate and forest productivity is an intensively studied subject in forest science. This Thesis is embedded within the general framework of future forest growth under climate change and its implications for the ongoing forest conversion. My objective is to investigate the future forest productivity at different spatial scales (from a single specific forest stand to aggregated information across Germany) with focus on oak-pine forests in the federal state of Brandenburg. The overarching question is: how are the oak-pine forests affected by climate change described by a variety of climate scenarios. I answer this question by using a model based analysis of tree growth processes and responses to different climate scenarios with emphasis on drought events. In addition, a method is developed which considers climate change uncertainty of forest management planning. As a first 'screening' of climate change impacts on forest productivity, I calculated the change in net primary production on the base of a large set of climate scenarios for different tree species and the total area of Germany. Temperature increases up to 3 K lead to positive effects on the net primary production of all selected tree species. But, in water-limited regions this positive net primary production trend is dependent on the length of drought periods which results in a larger uncertainty regarding future forest productivity. One of the regions with the highest uncertainty of net primary production development is the federal state of Brandenburg. To enhance the understanding and ability of model based analysis of tree growth sensitivity to drought stress two water uptake approaches in pure pine and mixed oak-pine stands are contrasted. The first water uptake approach consists of an empirical function for root water uptake. The second approach is more mechanistic and calculates the differences of soil water potential along a soil-plant-atmosphere continuum. I assumed the total root resistance to vary at low, medium and high total root resistance levels. For validation purposes three data sets on different tree growth relevant time scales are used. Results show that, except the mechanistic water uptake approach with high total root resistance, all transpiration outputs exceeded observed values. On the other hand high transpiration led to a better match of observed soil water content. The strongest correlation between simulated and observed annual tree ring width occurred with the mechanistic water uptake approach and high total root resistance. The findings highlight the importance of severe drought as a main reason for small diameter increment, best supported by the mechanistic water uptake approach with high root resistance. However, if all aspects of the data sets are considered no approach can be judged superior to the other. I conclude that the uncertainty of future productivity of water-limited forest ecosystems under changing environmental conditions is linked to simulated root water uptake. Finally my study aimed at the impacts of climate change combined with management scenarios on an oak-pine forest to evaluate growth, biomass and the amount of harvested timber. The pine and the oak trees are 104 and 9 years old respectively. Three different management scenarios with different thinning intensities and different climate scenarios are used to simulate the performance of management strategies which explicitly account for the risks associated with achieving three predefined objectives (maximum carbon storage, maximum harvested timber, intermediate). I found out that in most cases there is no general management strategy which fits best to different objectives. The analysis of variance in the growth related model outputs showed an increase of climate uncertainty with increasing climate warming. Interestingly, the increase of climate-induced uncertainty is much higher from 2 to 3 K than from 0 to 2 K. N2 - Diese Arbeit befasst sich mit der Modellierung der Produktivität von Eichen-Kiefern Mischbeständen mit besonderem Fokus auf das Bundesland Brandenburg. Es werden drei Hauptfragen bearbeitet: a) wie verhält sich die Produktivität der beiden Baumarten im Vergleich zu den beiden anderen Hauptbaumarten Fichte und Buche im gesamtdeutschen Vergleich unter verschiedenen Klimaszenarien, b) wie wichtig ist der Prozess der Wasseraufnahme über die Wurzeln bei der Modellierung der Produktivität unter Bedingungen von Trockenjahren, c) wie lassen sich Unsicherheiten durch Bewirtschaftung und Klimaszenarien in der Modellierung der Eichen-Kiefern Mischbestände und bei nachfolgenden Entscheidungsprozessen berücksichtigen? Der methodische Schwerpunkt der Arbeit liegt auf der Modellierung. Im ersten Teil der Arbeit werden mit Hilfe von verschiedenen unabhängigen Umweltvariablen des Klimas und des Bodens Wirkungsbeziehungen zur Produktivität ermittelt, die Aussagen zur Veränderung der Produktivität in Abhängigkeit dieser Umweltvariablen erlauben. Damit können verschiedene Regionen in Deutschland auf ihre Sensitivität der Produktivität gegenüber verschiedenen Klimaszenarien hin untersucht werden. Im zweiten Teil werden innerhalb eines prozess-basierten Waldwachstumsmodell 4C zwei unterschiedliche Ansätze der Wasseraufnahme über die Wurzeln analysiert. Dabei werden Messdaten zur Transpiration, zu Bodenwassergehalten und zu Durchmesserzuwächsen auf Basis von Jahrringchronologien zur Überprüfung herangezogen. Der erste Ansatz ist eine empirisch abgeleitete Gleichung, die die Wasseraufnahme in Abhängigkeit des Wassergehalts beschreibt. Der zweite Ansatz berücksichtigt die unterschiedlichen Druckpotenziale sowie einzelne Widerstände entlang des Wasserflusses vom Boden über die Pflanze in die Atmosphäre. Im dritten Teil der Arbeit wird das Waldwachstumsmodell angewendet und eine Auswahlmethodik vorgestellt, die Entscheidungen bei Unsicherheit erlaubt. Dabei werden die vorhandenen Unsicherheiten, hervorgerufen durch Bewirtschaftung und Klima, in den Prozess der Entscheidungsfindung quantitativ mit einbezogen. Drei verschiedene Bewirtschaftungsstrategien, die unterschiedliche Durchforstungsstärken beinhalten, werden simuliert und ihr Erreichen von drei vorher festgelegten Ziele (maximale Kohlenstoffspeicherung im Bestand, maximale Holzernte, moderates Ziel hinsichtlich Kohlenstoffspeicherung und Holzernte) untersucht. Bezogen auf die erste Frage ergibt die Arbeit zwei wesentliche Ergebnisse. Eine Temperaturerhöhung bis zu drei Kelvin bis 2060 führt zu positiven Ergebnissen in der Produktivität von Eichen-, Kiefern-, Buchen- und Fichtenbeständen. Allerdings ist in niederschlagsarmen Regionen, wie im nordostdeutschen Tiefland, dieser positive Trend stark abhängig von der Länge der Trockenperioden innerhalb der Vegetationszeit. Demzufolge ist die Produktivitätsveränderung der vier Baumarten im Land Brandenburg mit der höchsten Unsicherheit im Vergleich zu den anderen Bundesländern verbunden. Zur zweiten Frage gibt die Arbeit zwei wesentliche Ergebnisse. Im Vergleich mit den Messdaten auf unterschiedlicher zeitlicher und physiologischer Ebene kann kein Ansatz ermittelt werden, der jeweils das bessere Ergebnis erzielt. Im Vergleich von Transpiration, Bodenwassergehalt und Trockenjahren ergeben sich zwar etwas bessere Ergebnisse für den prozess-basierten gegenüber dem empirischen Ansatz, doch sind diese sehr stark abhängig vom angenommenen Wurzelwiderstand. Dieser ist schwer zu bestimmen und verhindert bisher eine breite Anwendung des Ansatzes innerhalb der Waldwachstumsmodelle. Hier ist weiterer Forschungsbedarf vorhanden um bei der Modellierung der Auswirkungen von Trockenjahren auf die Produktivität die Modellunsicherheit zu verringern. Für die letzte Frage ergeben sich ebenso interessante Ergebnisse. Keine Durchforstungsstrategie kann alle drei Zielstellungen erfüllen. Die Methodik erlaubt aber ein großes Maß an Objektivität beim Vergleich der unterschiedlichen Bewirtschaftungsstrategien unter der Unsicherheit der Klimaszenarien. Die Varianz, bezogen auf Ergebnisse zur Bestandesbiomasse, Holzernte und zum jährlichen Holzzuwachs, steigt mit steigender Klimaerwärmung. Dabei ist der Anstieg in der Varianz größer bei einem Temperaturanstieg von zwei Kelvin auf drei Kelvin als von null Kelvin auf zwei Kelvin. Das heißt, Auswirkungen einer Klimaerwärmung verlaufen hier nicht linear. KW - climate change KW - forest management KW - forest growth modelling KW - scenario analysis KW - water uptake KW - Klimawandel KW - Klimaauswirkung KW - Forstwirtschaft KW - Waldbewirtschaftung KW - Waldwachstumsmodellierung KW - Unsicherheit Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-97241 ER - TY - JOUR A1 - Lucio, Levi A1 - Amrani, Moussa A1 - Dingel, Juergen A1 - Lambers, Leen A1 - Salay, Rick A1 - Selim, Gehan M. K. A1 - Syriani, Eugene A1 - Wimmer, Manuel T1 - Model transformation intents and their properties JF - Software and systems modeling N2 - The notion of model transformation intent is proposed to capture the purpose of a transformation. In this paper, a framework for the description of model transformation intents is defined, which includes, for instance, a description of properties a model transformation has to satisfy to qualify as a suitable realization of an intent. Several common model transformation intents are identified, and the framework is used to describe six of them in detail. A case study from the automotive industry is used to demonstrate the usefulness of the proposed framework for identifying crucial properties of model transformations with different intents and to illustrate the wide variety of model transformation intents that an industrial model-driven software development process typically encompasses. KW - Model transformation KW - Intent KW - Property KW - Verification KW - Description framework Y1 - 2016 U6 - https://doi.org/10.1007/s10270-014-0429-x SN - 1619-1366 SN - 1619-1374 VL - 15 SP - 647 EP - 684 PB - Springer CY - Heidelberg ER - TY - JOUR A1 - Kistner, Saskia A1 - Vollmeyer, Regina A1 - Burns, Bruce D. A1 - Kortenkamp, Ulrich T1 - Model development in scientific discovery learning with a computer-based physics task JF - Computers in human behavior N2 - Based on theories of scientific discovery learning (SDL) and conceptual change, this study explores students' preconceptions in the domain of torques in physics and the development of these conceptions while learning with a computer-based SDL task. As a framework we used a three-space theory of SDL and focused on model space, which is supposed to contain the current conceptualization/model of the learning domain, and on its change through hypothesis testing and experimenting. Three questions were addressed: (1) What are students' preconceptions of torques before learning about this domain? To do this a multiple-choice test for assessing students' models of torques was developed and given to secondary school students (N = 47) who learned about torques using computer simulations. (2) How do students' models of torques develop during SDL? Working with simulations led to replacement of some misconceptions with physically correct conceptions. (3) Are there differential patterns of model development and if so, how do they relate to students’ use of the simulations? By analyzing individual differences in model development, we found that an intensive use of the simulations was associated with the acquisition of correct conceptions. Thus, the three-space theory provided a useful framework for understanding conceptual change in SDL. KW - Scientific discovery learning KW - Multiple problem spaces KW - Computer simulations KW - Physics concepts KW - Misconceptions KW - Conceptual change Y1 - 2016 U6 - https://doi.org/10.1016/j.chb.2016.02.041 SN - 0747-5632 SN - 1873-7692 VL - 59 SP - 446 EP - 455 PB - Elsevier CY - Oxford ER - TY - JOUR A1 - Velk, Natalia A1 - Uhlig, Katja A1 - Vikulina, Anna A1 - Duschl, Claus A1 - Volodkin, Dmitry T1 - Mobility of lysozyme in poly(L-lysine)/hyaluronic acid multilayer films JF - Colloids and surfaces : an international journal devoted to fundamental and applied research on colloid and interfacial phenomena in relation to systems of biological origin ; B, Biointerfaces N2 - The spatial and temporal control over presentation of protein-based biomolecules such as growth factors and hormones is crucial for in vitro applications to mimic the complex in vivo environment. We investigated the interaction of a model protein lysozyme (Lys) with poly(L-lysine)/hyaluronic acid (PLL/HA) multilayer films. We focused on Lys diffusion as well as adsorption and retention within the film as a function of the film deposition conditions and post-treatment. Additionally, an effect of Lys concentration on its mobility was probed. A combination of confocal fluorescence microscopy, fluorescence recovery after photobleaching, and microfluidics was employed for this investigation. Our main finding is that adsorption of PLL and HA after protein loading induces acceleration and reduction of Lys mobility, respectively. These results suggest that a charge balance in the film to a high extent governs the protein-film interaction. We believe that control over protein mobility is a key to reach the full potential of the PLL/HA films as reservoirs for biomolecules depending on the application demand. (C) 2016 The Authors. Published by Elsevier B.V. KW - Layer-by-layer KW - Protein KW - Diffusion KW - Release KW - FRAP Y1 - 2016 U6 - https://doi.org/10.1016/j.colsurfb.2016.07.055 SN - 0927-7765 SN - 1873-4367 VL - 147 SP - 343 EP - 350 PB - Elsevier CY - Amsterdam ER - TY - JOUR A1 - Nagornov, Roman A1 - Osipoy, Grigory A1 - Komarov, Maxim A1 - Pikovskij, Arkadij A1 - Shilnikov, Andrey T1 - Mixed-mode synchronization between two inhibitory neurons with post-inhibitory rebound JF - Communications in nonlinear science & numerical simulation N2 - We study an array of activity rhythms generated by a half-center oscillator (HCO), represented by a pair of reciprocally coupled neurons with post-inhibitory rebounds (PIR). Such coupling induced bursting possesses two time scales, one for fast spiking and another for slow quiescent periods, is shown to exhibit an array of synchronization properties. We discuss several HCO configurations constituted by two endogenous bursters, by tonic-spiking and quiescent neurons, as well as mixed-mode configurations composed of neurons of different type. We demonstrate that burst synchronization can be accompanied by complex, often chaotic, interactions of fast spikes within synchronized bursts. (C) 2015 Elsevier B.V. All rights reserved. KW - Synchronization KW - Hodgkin-Huxley model KW - Half-center oscillator KW - Post-inhibitory rebound Y1 - 2016 U6 - https://doi.org/10.1016/j.cnsns.2015.11.024 SN - 1007-5704 SN - 1878-7274 VL - 36 SP - 175 EP - 191 PB - Elsevier CY - Amsterdam ER - TY - JOUR A1 - Dejonghe, Wim A1 - Kuenen, Sabine A1 - Mylle, Evelien A1 - Vasileva, Mina A1 - Keech, Olivier A1 - Viotti, Corrado A1 - Swerts, Jef A1 - Fendrych, Matyas A1 - Ortiz-Morea, Fausto Andres A1 - Mishev, Kiril A1 - Delang, Simon A1 - Scholl, Stefan A1 - Zarza, Xavier A1 - Heilmann, Mareike A1 - Kourelis, Jiorgos A1 - Kasprowicz, Jaroslaw A1 - Nguyen, Le Son Long A1 - Drozdzecki, Andrzej A1 - Van Houtte, Isabelle A1 - Szatmari, Anna-Maria A1 - Majda, Mateusz A1 - Baisa, Gary A1 - Bednarek, Sebastian York A1 - Robert, Stephanie A1 - Audenaert, Dominique A1 - Testerink, Christa A1 - Munnik, Teun A1 - Van Damme, Daniel A1 - Heilmann, Ingo A1 - Schumacher, Karin A1 - Winne, Johan A1 - Friml, Jiri A1 - Verstreken, Patrik A1 - Russinova, Eugenia T1 - Mitochondrial uncouplers inhibit clathrin-mediated endocytosis largely through cytoplasmic acidification JF - Nature Communications N2 - ATP production requires the establishment of an electrochemical proton gradient across the inner mitochondrial membrane. Mitochondrial uncouplers dissipate this proton gradient and disrupt numerous cellular processes, including vesicular trafficking, mainly through energy depletion. Here we show that Endosidin9 (ES9), a novel mitochondrial uncoupler, is a potent inhibitor of clathrin-mediated endocytosis (CME) in different systems and that ES9 induces inhibition of CME not because of its effect on cellular ATP, but rather due to its protonophore activity that leads to cytoplasm acidification. We show that the known tyrosine kinase inhibitor tyrphostinA23, which is routinely used to block CME, displays similar properties, thus questioning its use as a specific inhibitor of cargo recognition by the AP-2 adaptor complex via tyrosine motif-based endocytosis signals. Furthermore, we show that cytoplasm acidification dramatically affects the dynamics and recruitment of clathrin and associated adaptors, and leads to reduction of phosphatidylinositol 4,5-biphosphate from the plasma membrane. Y1 - 2016 U6 - https://doi.org/10.1038/ncomms11710 SN - 2041-1723 VL - 7 SP - 1959 EP - 1968 PB - Nature Publ. Group CY - London ER - TY - THES A1 - Dotzek, Jana T1 - Mitochondria in the genus Oenothera - Non-Mendelian inheritance patterns, in vitro structure and evolutionary dynamics Y1 - 2016 ER - TY - THES A1 - Olivares Jara, René T1 - Mito y Modernidad en la obra de Rosamel del Valle T1 - Mythos und Moderne im Werk Rosamel del Valles T1 - Myth and modernity in the work of Rosamel del Valle N2 - La siguiente investigación aborda la relación entre mito y modernidad en la obra literaria (poemas, cuentos, novelas y crónicas) del autor chileno Rosamel del Valle (Curacaví, 1901 – Santiago de Chile, 1965). En sus distintos textos existe una tensión entre un proyecto poético basado en una visión mítica del mundo y un contexto histórico que privilegia posturas más racionalistas, relegando lo poético y lo mítico. Ya en el siglo XIX la modernidad y los fenómenos asociados de la modernización producen el desplazamiento de la poesía como discurso y del poeta como persona a una situación deficitaria dentro de la sociedad, lo que se extiende en el siglo XX. Debido a este conflicto Rosamel del Valle cuestiona en su obra los alcances de sus propios postulados, tanto estéticos como vitales. Esto conlleva una vacilación entre la reafirmación de su proyecto poético-vital y la consciencia del fracaso. Es por esto que la obra del poeta chileno contiene un Lebenswissen, que concibe a la poesía como una forma privilegiada de vida. Sin embargo, debido a las dificultades de las condiciones históricas es posible entender este Lebenswissen también como un ÜberLebenswissen (Ette). En la primera parte del texto se estudia la concepción mítica de la poesía de del Valle y se analiza los distintos niveles en los que aparece el mito en su obra literaria: como pensamiento, como lenguaje y como narración tradicional. La identificación de la poesía como mito muestra las principales características de la poética de del Valle: una concepción ontológica que diferencia entre una dimensión visible y otra invisible de la realidad; la tendencia mística de la poesía; una concepción cíclica del tiempo que funda una relación con los discursos de la memoria y de la muerte, así como la idea de un pasado utópico que por medio de la poesía podría revivir en el presente; además de la figura de la mujer cómo símbolo del amor y de la poesía. En la segunda parte se investiga la relación y las consecuencias de esta “poesía mítica” en el contexto de la modernidad. Se aborda especialmente el efecto en la poética de Rosamel del Valle de la Entzauberung der Welt (Weber), como experiencia específica de la época. Para esto se destaca ante todo sus impresiones sobre Nueva York. Esta ciudad en la que vivió y trabajó entre 1946 y 1963, se transforma en sus textos en un lugar en el que sería posible el “habitar poético del hombre” en la modernidad. N2 - Die folgende Forschung befasst sich mit der Beziehung zwischen Mythos und Moderne im literarischen Werk (Gedichte, Erzählungen, Romane und Chroniken) des chilenischen Autors Rosamel del Valle (Curacaví, 1901 – Santiago de Chile, 1965). In seinen verschieden Texten gibt es eine Spannung zwischen einem poetischen Projekt, das auf einer mythischen Weltanschauung basiert, und einem historischen Zusammenhang, der die rationalistischen Einstellungen privilegiert und das Poetische und das Mythische verdrängt. Bereits im 19. Jahrhundert bewirkte die Moderne und die assoziierten Phänomene der Modernisierung die Verschiebung der Poesie als Diskurs und des Dichters als Person innerhalb der Gesellschaft auf eine defizitäre Situation hin, die sich bis 20. Jahrhundert ausbreitete. Wegen dieses Konflikts fragt Rosamel del Valle in seinem Werk nach den ästhetischen und vitalen Tragweiten seiner eigenen Postulate. Das bringt ein Zögern zwischen dem Bewusstsein des Scheiterns und der erneuten Bekräftigung der Poesie als Wissensform mit sich. Deshalb beinhaltet das Werk des chilenischen Dichters ein Lebenswissen, das das poetische Projekt als eine privilegierte Lebensform begreift. Wegen der Schwierigkeiten der geschichtlichen Konditionen lässt sich dieses Lebenswissen auch als ein ÜberLebenswissen (Ette) verstehen. Im ersten Teil des Textes wird del Valles mythische Vorstellung der Poesie untersucht und die unterschiedlichen Ebenen analysiert, in denen der Mythos in seinem literarischen Werk erscheint: Denkweise, Sprachform und traditionelle Erzählung. Die Identifizierung von Poesie als Mythos zeigt die wichtigsten Eigenschaften der Poetik del Valles auf: eine ontologische Vorstellung, die zwischen einer sichtbaren und einer unsichtbaren Dimension der Realität differenziert; die mystische Tendenz der Dichtung; eine zyklische Vorstellung der Zeit, die eine Beziehung zu Gedächtnis- und Todesdiskursen begründet, sowie auch die Idee einer utopischen Vergangenheit, die in der Gegenwart durch die Poesie wieder aufleben könnte; außerdem, die Figur der Frau als Symbol der Liebe und der Poesie. Im zweiten Teil werden die Beziehung und die Auswirkung dieser „mythischen Poesie“ auf den Zusammenhang der Moderne untersucht. Insbesondere wird der Effekt der Poetik Rosamel del Valles als epochenspezifische Erfahrung der Entzauberung der Welt (Weber) aufgezeigt. Prägend waren hierfür vor allem seine Eindrücke von New York. Diese Stadt, in der er von 1946 bis 1963 lebte und arbeitete, wird in seinen Texten zu einem Ort, an dem ein „dichterisches Wohnen des Menschen“ in der Moderne möglich wird. N2 - The following research is about the relationship between myth and modernity in the literary work (poems, short stories, novels and chronicles) of the Chilean author Rosamel del Valle (Curacaví, 1901 - Santiago de Chile, 1965). In his diverse texts there is a tension between a poetic project based on a mythical worldview and a historical context that favors more rationalistic views, setting aside what is poetic and mythical. By the nineteenth century, the modernity and its correspondent associated phenomena of modernization caused a shift of poetry in terms of speech, and of the poet as the individual in a precarious situation inside the society, which is extended to the twentieth century. Due to this conflict Rosamel del Valle questions in his work the scope of his own principles both aesthetic and vital. This leads to a vacillation between the confirmation of his poetic-life project and the consciousness of failure. That is why the work of this Chilean poet contains a Lebenswissen, which conceives poetry as a privileged way of life. However, given the historical conditions difficulties it is possible to understand this Lebenswissen also as an ÜberLebenswissen (Ette). The mythical conception of del Valle poetry is studied in the first part of the text, and also the different levels at which the myth appears in his literary work are analyzed either as thoughts, language and a traditional narration. The identification of poetry and myth shows the main features of his poetics: an ontological conception distinguishing between a visible and an invisible dimension of reality; the mystical tendency of poetry; a cyclical conception of time that establishes a relationship with the discourses of memory and death, and the idea of a utopian past, which through poetry would revive in the present; moreover, the figure of the woman as a symbol of love and poetry. In the second part, the relationship and the consequences of this "mythical poetry" were investigated under the context of modernity. The effect of the Entzauberung der Welt (Weber) as the specific experience of those times on Rosamel del Valle’s poetics was especially discussed. For all the above mentioned, his impressions on New York were necessary to be pointed out since it was the city where he lived and worked between 1946 and 1963, which turned in his texts into a place where the “poetic dwelling of man” in modernity could be possible. KW - myth KW - poetry KW - modernity KW - Rosamel del Valle KW - avant-garde KW - Latin America KW - Mythos KW - Poesie KW - Moderne KW - Rosamel del Valle KW - Avantgarde KW - Lateinamerika KW - mito KW - modernidad KW - poesía KW - Rosamel del Valle KW - vanguardia KW - literatura Latinoamericana Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-86539 SN - 978-3-86956-357-2 PB - Universitätsverlag Potsdam CY - Potsdam ER - TY - JOUR A1 - Mühlbauer, Evelyn T1 - Mit Korbmachern zum Sieg BT - Unterrichtsanregungen zur Arbeit am Wortschatz der Basketballsprache JF - Sport als Thema im Deutschunterricht : Fachliche Grundlagen – Unterrichtsanregungen – Unterrichtsmaterialien N2 - 1 Hinführung, 2 Zum Buch, 3 Arbeit am Wortschatz: integrativ im wortschatzdidaktischen Dreischritt, 4 Wortschatz lehren und lernen mit dem Buch „Spielmacher“, 5 Literatur Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-99998 SN - 978-3-86956-381-7 SP - 129 EP - 155 PB - Universitätsverlag Potsdam CY - Potsdam ER - TY - JOUR A1 - Smieliauskas, Wally A1 - Bewley, Kathryn A1 - Gronewold, Ulfert A1 - Menzefricke, Ulrich T1 - Misleading Forecasts in Accounting Estimates BT - a Form of Ethical Blindness in Accounting Standards? JF - Journal of business ethics N2 - The current financial reporting environment, with its increasing use of accounting estimates, including fair value estimates, suggests that unethical accounting estimates may be a growing concern. This paper provides explanations and empirical evidence for why some types of accounting estimates in financial reporting may promote a form of ethical blindness. These types of ethical blindness can have an escalating effect that corrupts not only an individual or organization but also the accounting profession and the public interest it serves. Ethical blindness in the standards of professional accountants may be a factor in the extent of misreporting, and may have taken on new urgency as a result of the proposals to change the conceptual framework for financial reporting using international standards. The social consequences for users of financial statements can be huge. The acquittal of former Nortel executives on fraud charges related to accounting manipulations is viewed by many as legitimizing accounting gamesmanship. This decision illustrates that the courts may not be the best place to deal with ethical reporting issues. The courts may be relied on for only the most egregious unethical conduct and, even then, the accounting profession is ill equipped to assist the legal system in prosecuting accounting fraud unless the standards have been clarified. We argue that the problem of unethical reporting should be addressed by the accounting profession itself, preferably as a key part of the conceptual framework that supports accounting and auditing standards, and the codes of ethical conduct that underpin the professionalism of accountants. KW - Ethical accounting estimates KW - Estimation uncertainty KW - IASB accounting conceptual framework KW - Accounting standards KW - Auditing standards Y1 - 2016 U6 - https://doi.org/10.1007/s10551-016-3289-1 SN - 0167-4544 SN - 1573-0697 VL - 152 IS - 2 SP - 437 EP - 457 PB - Springer CY - Dordrecht ER - TY - JOUR A1 - Menger, Marcus A1 - Yarman, Aysu A1 - Erdössy, Júlia A1 - Yildiz, Huseyin Bekir A1 - Gyurcsányi, Róbert E. A1 - Scheller, Frieder W. T1 - MIPs and Aptamers for Recognition of Proteins in Biomimetic Sensing JF - Biosensors : open access journal N2 - Biomimetic binders and catalysts have been generated in order to substitute the biological pendants in separation techniques and bioanalysis. The two major approaches use either "evolution in the test tube" of nucleotides for the preparation of aptamers or total chemical synthesis for molecularly imprinted polymers (MIPs). The reproducible production of aptamers is a clear advantage, whilst the preparation of MIPs typically leads to a population of polymers with different binding sites. The realization of binding sites in the total bulk of the MIPs results in a higher binding capacity, however, on the expense of the accessibility and exchange rate. Furthermore, the readout of the bound analyte is easier for aptamers since the integration of signal generating labels is well established. On the other hand, the overall negative charge of the nucleotides makes aptamers prone to non-specific adsorption of positively charged constituents of the sample and the "biological" degradation of non-modified aptamers and ionic strength-dependent changes of conformation may be challenging in some application. KW - biomimetic recognition elements KW - aptamers KW - molecularly imprinted polymers KW - chemical sensors KW - aptasensors KW - in vitro selection KW - SELEX Y1 - 2016 U6 - https://doi.org/10.3390/bios6030035 SN - 2079-6374 VL - 6 SP - 4399 EP - 4413 PB - MDPI CY - Basel ER - TY - JOUR A1 - Yarman, Aysu A1 - Scheller, Frieder W. T1 - MIP-esterase/Tyrosinase Combinations for Paracetamol and Phenacetin JF - Electroanalysis : an international journal devoted to fundamental and practical aspects of electroanalysis N2 - A new electrochemical MIP sensor for the most frequently used drug paracetamol (PAR) was prepared by electropolymerization of mixtures containing the template molecule and the functional monomers ophenylenediamine, resorcinol and aniline. The imprinting factor of 12 reflects the effective target binding to the MIP as compared with the non-imprinted electropolymer. Combination of the MIP with a nonspecific esterase allows the measurement of phenacetin - another analgesic drug. In the second approach the PAR containing sample solution was pretreated with tyrosinase in order to prevent electrochemical interferences by ascorbic acid and uric acid. Interference-free indication at a very low electrode potential without fouling of the electrode surface was achieved with the o-phenylenediamine: resorcinol-based MIP. KW - Paracetamol KW - Molecularly imprinted polymers KW - Electropolymerization KW - Tyrosinase KW - Esterase KW - Phenacetin Y1 - 2016 U6 - https://doi.org/10.1002/elan.201600042 SN - 1040-0397 SN - 1521-4109 VL - 28 SP - 2222 EP - 2227 PB - Wiley-VCH CY - Weinheim ER - TY - JOUR A1 - Rohrmann, Alexander A1 - Sachse, Dirk A1 - Mulch, Andreas A1 - Pingel, Heiko A1 - Tofelde, Stefanie A1 - Alonso, Ricardo N. A1 - Strecker, Manfred T1 - Miocene orographic uplift forces rapid hydrological change in the southern central Andes JF - Scientific reports N2 - Rainfall in the central Andes associated with the South American Monsoon and the South American Low-Level Jet results from orographic effects on atmospheric circulation exerted by the Andean Plateau and the Eastern Cordillera. However, despite its importance for South American climate, no reliable records exist that allow decoding the evolution of thresholds and interactions between Andean topography and atmospheric circulation, especially regarding the onset of humid conditions in the inherently dry southern central Andes. Here, we employ multi-proxy isotope data of lipid biomarkers, pedogenic carbonates and volcanic glass from the Eastern Cordillera of NW Argentina and present the first long-term evapotranspiration record. We find that regional eco-hydrology and vegetation changes are associated with initiation of moisture transport via the South American Low-Level Jet at 7.6 Ma, and subsequent lateral growth of the orogen at 6.5 Ma. Our results highlight that topographically induced changes in atmospheric circulation patterns, not global climate change, were responsible for late Miocene environmental change in this part of the southern hemisphere. This suggests that mountain building over time fundamentally controlled habitat evolution along the central Andes. Y1 - 2016 U6 - https://doi.org/10.1038/srep35678 SN - 2045-2322 VL - 6 SP - 4283 EP - 4306 PB - Nature Publ. Group CY - London ER - TY - JOUR A1 - Jacobs, Ingo A1 - Wollny, Anna A1 - Sim, Chu-Won A1 - Horsch, Antje T1 - Mindfulness facets, trait emotional intelligence, emotional distress, and multiple health behaviors: A serial two-mediator model JF - Scandinavian Journal of Psychology N2 - In the present study, we tested a serial mindfulness facets-trait emotional intelligence (TEI)-emotional distress-multiple health behaviors mediation model in a sample of N = 427 German-speaking occupational therapists. The mindfulness facets-TEI-emotional distress section of the mediation model revealed partial mediation for the mindfulness facets Act with awareness (Act/Aware) and Accept without judgment (Accept); inconsistent mediation was found for the Describe facet. The serial two-mediator model included three mediational pathways that may link each of the four mindfulness facets with multiple health behaviors. Eight out of 12 indirect effects reached significance and fully mediated the links between Act/Aware and Describe to multiple health behaviors; partial mediation was found for Accept. The mindfulness facet Observe was most relevant for multiple health behaviors, but its relation was not amenable to mediation. Implications of the findings will be discussed. KW - Mindfulness KW - emotional intelligence KW - stress KW - health behaviors KW - serial mediation KW - occupational therapists Y1 - 2016 U6 - https://doi.org/10.1111/sjop.12285 SN - 0036-5564 SN - 1467-9450 VL - 57 SP - 207 EP - 214 PB - Wiley-Blackwell CY - Hoboken ER - TY - BOOK A1 - Birk, Dolores T1 - Mikrofinanzinstitutionen und ihre soziale Performance – eine Literaturdiskussion T1 - Micorfinance institutions and their social performance - a literature review BT - welchen Einfluss hat die Organisationsform von Mikrofinanzinstitutionen auf ihre soziale Performance? BT - which influence does the organizational form of microfinance institutions has on their social performance? T3 - Schriftenreihe für Public und Nonprofit Management N2 - Die vorliegende Arbeit beschäftigt sich mit dem Einfluss der Organisationsform von Mikrofinanzinstitutionen (MFIs) auf deren soziale Performance. In diesem Kontext wird die soziale Performance als die direkte Übersetzung der sozialen Mission der MFIs in die Praxis verstanden. Konkret wird die soziale Performance der zwei Organisationsformen Shareholder Owned Firm (SOF) sowie Non-Governmental Organisation (NGO) betrachtet und verglichen. Dieser Vergleich stützt sich auf die in der Fachwelt häufig vertretene Annahme, dass NGO MFIs eine höhere soziale Performance aufweisen als SOF MFIs, da sie dem Nonprofit-Sektor zugeschrieben werden können. Die bis dato vorhandenen relevanten empirischen Forschungen zu dem Thema werden anhand einer Literaturdiskussion analysiert. Bislang existiert nur eine relativ geringe Anzahl an empirischen Forschungen in diesem Themenfeld, da die Erforschung der sozialen Performance von MFIs ein recht neues Forschungsgebiet darstellt. Die Ergebnisse der Literaturdiskussion verdeutlichen zudem, dass hinsichtlich des Einflusses der Organisationsform von MFIs auf deren soziale Performance keine eindeutige Aussage getroffen werden kann, da die betrachteten Studien zu unterschiedlichen Resultaten kommen. Die Ergebnisse deuten jedoch darauf hin, dass in einigen geografischen Regionen der Welt NGO MFIs eine bessere soziale Performance aufweisen als SOF MFIs. Insgesamt liefert die Arbeit einen wichtigen Überblick über den Forschungsstand auf diesem Forschungsgebiet und deckt diverse Forschungslücken auf, welche in zukünftigen Untersuchungen berücksichtigt werden sollten. N2 - This paper deals with the influence of the organizational form of microfinance institu-tions (MFIs) on their social performance. In this context, social performance stands for the direct translation of the social mission of MFIs into practice. In particular, the social performances of the two organizational forms Shareholder Owned Firm (SOF) and Non-Governmental Organisation (NGO) are examined. This comparison is based on the common assumption among professionals that NGO MFIs achieve a higher social performance than SOF MFIs, as the former belong to the nonprofit sector. The relevant existing empirical research is analyzed by applying a literature discussion. So far, there is only limited empirical research in this study field since the examination of the social performance of MFIs represents a relatively new area of research. The re-sults of the literature discussion also illustrate that it is not possible to make an unam-biguous statement regarding the influence of the organizational form of MFIs on their social performance, as the investigated studies come to different conclusions. How-ever, the results suggest that in some geographic regions of the world, NGO MFIs show a better social performance than SOF MFIs. Overall, this paper provides an important overview on the current empirical research in this study field. In addition, it identifies several research gaps to be examined in future research. T3 - Schriftenreihe für Public und Nonprofit Management - 23 KW - Mikrofinanz KW - Soziale Performance KW - Organisationsformen KW - Performance Messung KW - Nonprofit-Organisationen KW - microfinance KW - social performance KW - legal status KW - ownership KW - performance measurement KW - nonprofit organization Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-410856 SN - 2190-4561 ER - TY - JOUR A1 - Lenz, Josefine A1 - Grosse, Guido A1 - Jones, Benjamin M. A1 - Anthony, Katey M. Walter A1 - Bobrov, Anatoly A1 - Wulf, Sabine A1 - Wetterich, Sebastian T1 - Mid-Wisconsin to Holocene Permafrost and Landscape Dynamics based on a Drained Lake Basin Core from the Northern Seward Peninsula, Northwest Alaska JF - Permafrost and Periglacial Processes N2 - Permafrost-related processes drive regional landscape dynamics in the Arctic terrestrial system. A better understanding of past periods indicative of permafrost degradation and aggradation is important for predicting the future response of Arctic landscapes to climate change. Here, we used a multi-proxy approach to analyse a4m long sediment core from a drained thermokarst lake basin on the northern Seward Peninsula in western Arctic Alaska (USA). Sedimentological, biogeochemical, geochronological, micropalaeontological (ostracoda, testate amoebae) and tephra analyses were used to determine the long-term environmental Early-Wisconsin to Holocene history preserved in our core for central Beringia. Yedoma accumulation dominated throughout the Early to Late-Wisconsin but was interrupted by wetland formation from 44.5 to 41.5ka BP. The latter was terminated by the deposition of 1m of volcanic tephra, most likely originating from the South Killeak Maar eruption at about 42ka BP. Yedoma deposition continued until 22.5ka BP and was followed by a depositional hiatus in the sediment core between 22.5 and 0.23ka BP. We interpret this hiatus as due to intense thermokarst activity in the areas surrounding the site, which served as a sediment source during the Late-Wisconsin to Holocene climate transition. The lake forming the modern basin on the upland initiated around 0.23ka BP and drained catastrophically in spring 2005. The present study emphasises that Arctic lake systems and periglacial landscapes are highly dynamic and that permafrost formation as well as degradation in central Beringia was controlled by regional to global climate patterns as well as by local disturbances. Copyright (c) 2015 John Wiley & Sons, Ltd. KW - Beringia KW - palaeoenvironmental reconstruction KW - thermokarst lake dynamics KW - cryostratigraphy KW - tephra KW - bioindicators KW - yedoma Y1 - 2016 U6 - https://doi.org/10.1002/ppp.1848 SN - 1045-6740 SN - 1099-1530 VL - 27 SP - 56 EP - 75 PB - Wiley-Blackwell CY - Hoboken ER - TY - THES A1 - Wolter, Juliane T1 - Mid- to Late Holocene environmental dynamics on the Yukon Coastal Plain and Herschel Island (Canada) - envidence from polygonal peatlands and lake sediment Y1 - 2016 ER - TY - JOUR A1 - Schmidt, Bernd A1 - Riemer, Martin T1 - Microwave-Promoted Deprenylation: Prenyl Ether as a Thermolabile Phenol Protecting Group JF - Synthesis N2 - para-Substituted aryl prenyl ethers undergo a deprenylation reaction upon microwave irradiation. This offers the opportunity to use a prenyl ether as a thermolabile protecting group in the synthesis of natural products with a chromone structure, which proceeds via a tandem deprenylation/6-endo-cyclization sequence. KW - microwave irradiation KW - phenols KW - chromenes KW - protecting groups KW - Claisen rearrangement Y1 - 2016 U6 - https://doi.org/10.1055/s-0035-1561366 SN - 0039-7881 SN - 1437-210X VL - 48 SP - 1399 EP - 1406 PB - Thieme CY - Stuttgart ER - TY - JOUR A1 - Ali, Tahir A1 - Runge, Fabian A1 - Dutbayev, Ayan A1 - Schmuker, Angelika A1 - Solovyeva, Irina A1 - Nigrelli, Lisa A1 - Buch, Ann-Katrin A1 - Xia, Xiaojuan A1 - Ploch, Sebastian A1 - Orren, Ouria A1 - Kummer, Volker A1 - Paule, Juraj A1 - Celik, Ali A1 - Vakhrusheva, Ljudmila A1 - Gabrielyan, Ivan A1 - Thines, Marco T1 - Microthlaspi erraticum (Jord.) T. Ali et Thines has a wide distribution, ranging from the Alps to the Tien Shan JF - Flora : morphology, distribution, functional ecology of plants N2 - Microthlaspi is a predominantly Eurasian genus which also occurs in the northernmost parts of Africa (Maghreb). The most widespread species of the genus is M. perfoliatum, which can be found from Sweden to Algeria and from Portugal to China. The other species are thought to have much more confined distribution ranges, often covering only a few hundred kilometres. This is also believed for the diploid M. erraticum, which was recently re-appraised as a taxon independent from the tetra- to hexaploid M. perfoliatum. Previously, M. erraticum was believed to be present only in Central Europe, from the East of France to Slovenia. In order to gain a deeper understanding of the ecology, evolution and migration history of Microthlaspi it was the focus of the current study to investigate, if M. erraticum is present in habitats outside Central Europe, but with microclimates similar to Central Europe. It is demonstrated that M. erraticum is much more widespread than previously thought, while other lineages apart from M. perfoliatum s.str. and M. erraticum seem to have restricted distribution ranges. The latter species was observed from the Alps and their foreland, the Balkans, the mountainous areas around the Black Sea, Southern Siberia, as well as the Altai and Tien Shan mountains. This demonstrates a widespread occurrence of this easily-overlooked species. (C) 2016 Elsevier GmbH. All rights reserved. KW - Biogeography KW - Coluteocarpeae KW - Noccaea KW - Phylogeny KW - Species complex KW - Thlaspi perfoliatum Y1 - 2016 U6 - https://doi.org/10.1016/j.flora.2016.09.008 SN - 0367-2530 SN - 1618-0585 VL - 225 SP - 76 EP - 81 PB - American Chemical Society CY - Jena ER - TY - JOUR A1 - Wuennemann, Patrick A1 - Noyong, Michael A1 - Kreuels, Klaus A1 - Bruex, Roland A1 - Gordiichuk, Pavlo A1 - van Rijn, Patrick A1 - Plamper, Felix A. A1 - Simon, Ulrich A1 - Böker, Alexander T1 - Microstructured Hydrogel Templates for the Formation of Conductive Gold Nanowire Arrays JF - Macromolecular rapid communications N2 - Microstructured hydrogel allows for a new template-guided method to obtain conductive nanowire arrays on a large scale. To generate the template, an imprinting process is used in order to synthesize the hydrogel directly into the grooves of wrinkled polydimethylsiloxane (PDMS). The resulting poly(N-vinylimidazole)-based hydrogel is defined by the PDMS stamp in pattern and size. Subsequently, tetrachloroaurate(III) ions from aqueous solution are coordinated within the humps of the N-vinylimidazole-containing polymer template and reduced by air plasma. After reduction and development of the gold, to achieve conductive wires, the extension perpendicular to the long axis (width) of the gold strings is considerably reduced compared to the dimension of the parental hydrogel wrinkles (from approximate to 1 mu m down to 200-300 nm). At the same time, the wire-to-wire distance and the overall length of the wires is preserved. The PDMS templates and hydrogel structures are analyzed with scanning force microscopy (SFM) and the gold structures via scanning electron microscopy (SEM) and energy-dispersive X-ray spectroscopy. The conductivity measurements of the gold nanowires are performed in situ in the SEM, showing highly conductive gold leads. Hence, this method can be regarded as a facile nonlithographic top-down approach from micrometer-sized structures to nanometer-sized features. KW - 1D structures KW - Au nanoarrays KW - microgel KW - nanoimprint KW - lithography KW - thin films Y1 - 2016 U6 - https://doi.org/10.1002/marc.201600287 SN - 1022-1336 SN - 1521-3927 VL - 37 SP - 1446 EP - 1452 PB - Wiley-VCH CY - Weinheim ER -