TY - JOUR A1 - Soliveres, Santiago A1 - Manning, Peter A1 - Prati, Daniel A1 - Gossner, Martin M. A1 - Alt, Fabian A1 - Arndt, Hartmut A1 - Baumgartner, Vanessa A1 - Binkenstein, Julia A1 - Birkhofer, Klaus A1 - Blaser, Stefan A1 - Bluethgen, Nico A1 - Boch, Steffen A1 - Boehm, Stefan A1 - Boerschig, Carmen A1 - Buscot, Francois A1 - Diekoetter, Tim A1 - Heinze, Johannes A1 - Hoelzel, Norbert A1 - Jung, Kirsten A1 - Klaus, Valentin H. A1 - Klein, Alexandra-Maria A1 - Kleinebecker, Till A1 - Klemmer, Sandra A1 - Krauss, Jochen A1 - Lange, Markus A1 - Morris, E. Kathryn A1 - Mueller, Joerg A1 - Oelmann, Yvonne A1 - Overmann, Jörg A1 - Pasalic, Esther A1 - Renner, Swen C. A1 - Rillig, Matthias C. A1 - Schaefer, H. Martin A1 - Schloter, Michael A1 - Schmitt, Barbara A1 - Schoening, Ingo A1 - Schrumpf, Marion A1 - Sikorski, Johannes A1 - Socher, Stephanie A. A1 - Solly, Emily F. A1 - Sonnemann, Ilja A1 - Sorkau, Elisabeth A1 - Steckel, Juliane A1 - Steffan-Dewenter, Ingolf A1 - Stempfhuber, Barbara A1 - Tschapka, Marco A1 - Tuerke, Manfred A1 - Venter, Paul A1 - Weiner, Christiane N. A1 - Weisser, Wolfgang W. A1 - Werner, Michael A1 - Westphal, Catrin A1 - Wilcke, Wolfgang A1 - Wolters, Volkmar A1 - Wubet, Tesfaye A1 - Wurst, Susanne A1 - Fischer, Markus A1 - Allan, Eric T1 - Locally rare species influence grassland ecosystem multifunctionality JF - Philosophical transactions of the Royal Society of London : B, Biological sciences N2 - Species diversity promotes the delivery of multiple ecosystem functions (multifunctionality). However, the relative functional importance of rare and common species in driving the biodiversity multifunctionality relationship remains unknown. We studied the relationship between the diversity of rare and common species (according to their local abundances and across nine different trophic groups), and multifunctionality indices derived from 14 ecosystem functions on 150 grasslands across a land use intensity (LUI) gradient. The diversity of above- and below-ground rare species had opposite effects, with rare above-ground species being associated with high levels of multifunctionality, probably because their effects on different functions did not trade off against each other. Conversely, common species were only related to average, not high, levels of multifunctionality, and their functional effects declined with LUI. Apart from the community level effects of diversity, we found significant positive associations between the abundance of individual species and multifunctionality in 6% of the species tested. Species specific functional effects were best predicted by their response to LUI: species that declined in abundance with land use intensification were those associated with higher levels of multifunctionality. Our results highlight the importance of rare species for ecosystem multifunctionality and help guiding future conservation priorities. KW - biodiversity KW - common species KW - ecosystem function KW - identity hypothesis KW - land use KW - multitrophic Y1 - 2016 U6 - https://doi.org/10.1098/rstb.2015.0269 SN - 0962-8436 SN - 1471-2970 VL - 371 SP - 3175 EP - 3185 PB - Royal Society CY - London ER - TY - GEN A1 - Bondü, Rebecca A1 - Richter, Philipp T1 - Interrelations of justice, rejection, provocation, and moral disgust sensitivity and their links with the hostile attribution bias, trait anger, and aggression T2 - Postprints der Universität Potsdam : Humanwissenschaftliche Reihe N2 - Several personality dispositions with common features capturing sensitivities to negative social cues have recently been introduced into psychological research. To date, however, little is known about their interrelations, their conjoint effects on behavior, or their interplay with other risk factors. We asked N = 349 adults from Germany to rate their justice, rejection, moral disgust, and provocation sensitivity, hostile attribution bias, trait anger, and forms and functions of aggression. The sensitivity measures were mostly positively correlated; particularly those with an egoistic focus, such as victim justice, rejection, and provocation sensitivity, hostile attributions and trait anger as well as those with an altruistic focus, such as observer justice, perpetrator justice, and moral disgust sensitivity. The sensitivity measures had independent and differential effects on forms and functions of aggression when considered simultaneously and when controlling for hostile attributions and anger. They could not be integrated into a single factor of interpersonal sensitivity or reduced to other well-known risk factors for aggression. The sensitivity measures, therefore, require consideration in predicting and preventing aggression. T3 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe - 446 KW - justice sensitivity KW - rejection sensitivity KW - provocation sensitivity KW - moral disgust sensitivity KW - trait anger KW - hostile attribution bias KW - aggression Y1 - 2018 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-407697 IS - 446 ER - TY - JOUR A1 - Meyer, Sebastian T. A1 - Ebeling, Anne A1 - Eisenhauer, Nico A1 - Hertzog, Lionel A1 - Hillebrand, Helmut A1 - Milcu, Alexandru A1 - Pompe, Sven A1 - Abbas, Maike A1 - Bessler, Holger A1 - Buchmann, Nina A1 - De Luca, Enrica A1 - Engels, Christof A1 - Fischer, Markus A1 - Gleixner, Gerd A1 - Hudewenz, Anika A1 - Klein, Alexandra-Maria A1 - de Kroon, Hans A1 - Leimer, Sophia A1 - Loranger, Hannah A1 - Mommer, Liesje A1 - Oelmann, Yvonne A1 - Ravenek, Janneke M. A1 - Roscher, Christiane A1 - Rottstock, Tanja A1 - Scherber, Christoph A1 - Scherer-Lorenzen, Michael A1 - Scheu, Stefan A1 - Schmid, Bernhard A1 - Schulze, Ernst-Detlef A1 - Staudler, Andrea A1 - Strecker, Tanja A1 - Temperton, Vicky A1 - Tscharntke, Teja A1 - Vogel, Anja A1 - Voigt, Winfried A1 - Weigelt, Alexandra A1 - Wilcke, Wolfgang A1 - Weisser, Wolfgang W. T1 - Effects of biodiversity strengthen over time as ecosystem functioning declines at low and increases at high biodiversity JF - Ecosphere : the magazine of the International Ecology University KW - biodiversity ecosystem functioning (BEF) KW - ecosystem processes KW - grassland KW - mechanism KW - plant productivity KW - plant species richness KW - temporal effects KW - trophic interactions Y1 - 2016 U6 - https://doi.org/10.1002/ecs2.1619 SN - 2150-8925 VL - 7 PB - Wiley-Blackwell CY - Hoboken ER - TY - JOUR A1 - Bondü, Rebecca A1 - Hannuschke, Marianne A1 - Elsner, Birgit A1 - Gollwitzer, Mario T1 - Inter-individual stabilization of justice sensitivity in childhood and adolescence JF - Journal of research in personality KW - Justice sensitivity KW - Stabilization KW - Latent-state-trait modeling KW - Childhood KW - Adolescence Y1 - 2016 U6 - https://doi.org/10.1016/j.jrp.2016.06.021 SN - 0092-6566 SN - 1095-7251 VL - 64 SP - 11 EP - 20 PB - Elsevier CY - San Diego ER - TY - GEN A1 - Bondü, Rebecca A1 - Scheithauer, Herbert T1 - Narcissistic symptoms in German school shooters T2 - Postprints der Universität Potsdam : Humanwissenschaftliche Reihe N2 - School shooters are often described as narcissistic, but empirical evidence is scant. To provide more reliable and detailed information, we conducted an exploratory study, analyzing police investigation files on seven school shootings in Germany, looking for symptoms of narcissistic personality disorder as defined by the Diagnostic and Statistical Manual of Mental Disorders (4th ed.; DSM-IV) in witnesses' and offenders' reports and expert psychological evaluations. Three out of four offenders who had been treated for mental disorders prior to the offenses displayed detached symptoms of narcissism, but none was diagnosed with narcissistic personality disorder. Of the other three, two displayed narcissistic traits. In one case, the number of symptoms would have justified a diagnosis of narcissistic personality disorder. Offenders showed low and high self-esteem and a range of other mental disorders. Thus, narcissism is not a common characteristic of school shooters, but possibly more frequent than in the general population. This should be considered in developing adequate preventive and intervention measures. T3 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe - 392 KW - school shooting KW - narcissism KW - personality disorder KW - risk factor KW - rampage Y1 - 2018 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-404452 IS - 392 ER - TY - JOUR A1 - Jung, Janis Moritz A1 - Krahé, Barbara A1 - Bondü, Rebecca A1 - Esser, Günter A1 - Wyschkon, Anne T1 - Dynamic progression of antisocial behavior in childhood and adolescence BT - a three-wave longitudinal study from Germany JF - Applied Developmental Science N2 - This longitudinal study from Germany examined the dynamic progression of antisocial behavior in childhood and adolescence based on the social interactional model by Patterson, DeBaryshe, and Ramsey. It examined the link between antisocial behavior, social rejection, academic failure, and affiliation with deviant peers in a sample of 1,657 children and youths aged between 6 and 15 years who were studied at three measurement waves (T1 to T3) over a time period of about 5 years. Teachers rated the children on all variables, parents additionally provided ratings of antisocial behavior and social rejection. Latent structural equation modeling yielded the predicted positive paths from antisocial behavior at T1 to social rejection and academic failure at T2. As predicted, affiliation with deviant peers at T2 was positively associated with social rejection and academic failure at the same measurement point. Finally, affiliation with deviant peers at T2 significantly predicted antisocial behavior at T3. Y1 - 2016 U6 - https://doi.org/10.1080/10888691.2016.1219228 SN - 1088-8691 SN - 1532-480X VL - 22 IS - 1 SP - 74 EP - 88 PB - Routledge, Taylor & Francis Group CY - Abingdon ER - TY - JOUR A1 - Bondü, Rebecca A1 - Rothmund, Tobias A1 - Gollwitzer, Mario T1 - Mutual long-term effects of school bullying, victimization, and justice sensitivity in adolescents JF - Journal of adolescence N2 - In the present study, we investigate long-term relations between experiences of aggression at school and the development of justice sensitivity as a personality disposition in adolescents. We assessed justice sensitivity (from the victim, observer, and perpetrator perspective), bullying, and victimization among 565 German 12- to 18-year-olds in a one-year longitudinal study with two measurement points. Latent path analyses revealed gender differences in long-term effects of bullying and victimization on observer sensitivity and victim sensitivity. Experiences of victimization at T1 predicted an increase in victim sensitivity among girls and a decrease in victim sensitivity among boys. Bullying behavior at T1 predicted an increase in victim sensitivity among boys and a decrease in observer sensitivity among girls. We did not find long-term effects of justice sensitivity on bullying and victimization. Our findings indicate that experiences of bullying and victimization have gender-specific influences on the development of moral personality dispositions in adolescents. (C) 2016 The Foundation for Professionals in Services for Adolescents. Published by Elsevier Ltd. All rights reserved. KW - Justice sensitivity KW - Bullying KW - Victimization KW - Adolescence KW - Personality development Y1 - 2016 U6 - https://doi.org/10.1016/j.adolescence.2016.01.007 SN - 0140-1971 SN - 1095-9254 VL - 48 SP - 62 EP - 72 PB - Elsevier CY - London ER - TY - THES A1 - Pavlenko, Elena T1 - Hybrid nanolayer architectures for ultrafast acousto-plasmonics in soft matter T1 - Hybride Nanolayer-Architekturen für ultraschnelle Akusto-Plasmonics in weicher Materie N2 - The goal of the presented work is to explore the interaction between gold nanorods (GNRs) and hyper-sound waves. For the generation of the hyper-sound I have used Azobenzene-containing polymer transducers. Multilayer polymer structures with well-defined thicknesses and smooth interfaces were built via layer-by-layer deposition. Anionic polyelectrolytes with Azobenzene side groups (PAzo) were alternated with cationic polymer PAH, for the creation of transducer films. PSS/PAH multilayer were built for spacer layers, which do not absorb in the visible light range. The properties of the PAzo/PAH film as a transducer are carefully characterized by static and transient optical spectroscopy. The optical and mechanical properties of the transducer are studied on the picosecond time scale. In particular the relative change of the refractive index of the photo-excited and expanded PAH/PAzo is Δn/n = - 2.6*10‐4. Calibration of the generated strain is performed by ultrafast X-ray diffraction calibrated the strain in a Mica substrate, into which the hyper-sound is transduced. By simulating the X-ray data with a linear-chain-model the strain in the transducer under the excitation is derived to be Δd/d ~ 5*10‐4. Additional to the investigation of the properties of the transducer itself, I have performed a series of experiments to study the penetration of the generated strain into various adjacent materials. By depositing the PAzo/PAH film onto a PAH/PSS structure with gold nanorods incorporated in it, I have shown that nanoscale impurities can be detected via the scattering of hyper-sound. Prior to the investigation of complex structures containing GNRs and the transducer, I have performed several sets of experiments on GNRs deposited on a small buffer of PSS/PAH. The static and transient response of GNRs is investigated for different fluence of the pump beam and for different dielectric environments (GNRs covered by PSS/PAH). A systematic analysis of sample architectures is performed in order to construct a sample with the desired effect of GNRs responding to the hyper-sound strain wave. The observed shift of a feature related to the longitudinal plasmon resonance in the transient reflection spectra is interpreted as the event of GNRs sensing the strain wave. We argue that the shift of the longitudinal plasmon resonance is caused by the viscoelastic deformation of the polymer around the nanoparticle. The deformation is induced by the out of plane difference in strain in the area directly under a particle and next to it. Simulations based on the linear chain model support this assumption. Experimentally this assumption is proven by investigating the same structure, with GNRs embedded in a PSS/PAH polymer layer. The response of GNRs to the hyper-sound wave is also observed for the sample structure with GNRs embedded in PAzo/PAH films. The response of GNRs in this case is explained to be driven by the change of the refractive index of PAzo during the strain propagation. N2 - Akustische Experimente auf ultraschnellen Zeitskalen ermöglichen die Bestimmung von Tiefeninformationen in Dünnschichtproben. Der Grundgedanke dieser Methode ist die Analyse von Schallwellen, die sich in dem zu untersuchenden Material ausbreiten. Die Schallpulse werden dabei üblicherweise mittels dünner Schichten erzeugt, die dafür auf die Probe aufgebracht werden. Diese Methode ist etabliert für die Untersuchung von harten, anorganischen Materialien, aber weniger entwickelt für weiche, organische Materialien. Die wenigen existierenden Untersuchungen von weichen Materialien mittels ultraschneller Akustik nutzen bisher die Ausdehnung dünner Metallfilme, beispielsweise aus Aluminium oder Titan, für den Umwandlungsprozess von kurzen Lichtpulsen zu Schallwellen. Die deutlich höheren Dichten der Metalle gegenüber der zu untersuchenden weichen Materie führen zu einer geringen Effizienz bei der Einkopplung der Schallpulse in das Material. Weiterhin ist es schwierig, die Metallfilme auf die zu untersuchenden Materialien chemisch aufzubringen. Eine Möglichkeit diese Probleme zu umgehen, ist die Verwendung von Licht-Schallwandlern aus chemisch ähnlicher, weicher Materialien. Hier präsentiere ich die Ergebnisse meiner Untersuchungen von Polymer Filmen, welche Azobenzen als aktiven Bestandteil für die photo-akustische Umwandlung enthalten. Dabei wurden die Filme mittels statischer, sowie auch zeitaufgelöster Spektroskopie untersucht. Mit zeitaufgelösten Brillouin-Streuungs-Experimenten habe ich die Schallgeschwindigkeit in den Polymeren und dem Azobenzen-Schallwandler zu 3.4±0.3 nm/ps bestimmt. Die relative transiente Änderung des Brechungsindex in dem Azobenzenfilm aus optischen Messungen beträgt Δn/n = - 2.6*10‐4. Die Untersuchung der Schallpropagation in verschiedenen Probengeometrien erlaubt es uns, Reflektionen der Schallwellen von verschiedenen Übergängen (Polymer/Quarz, Polymer/Luft) und die Ausbreitung der mechanischen Wellen in weiche (Polymere) und harte (Quarz) angrenzende Materialien zu studieren. Durch Untersuchungen an einer Probe mit Gold-Nano-Stäbchen innerhalb einer Polymerschicht habe ich die Möglichkeit aufgezeigt, die Tiefenposition der Nanopartikel zu bestimmen. Die Ausdehnung des photomechanischen Wandlers wurde mittels zeitaufgelöster Röntgenbeugung zu ε = Δd/d ̴ 5x10-4 bestimmt. Der zweite Teil der Doktorarbeit behandelt die Wechselwirkung von Schallwellen und Gold-Nano-Stäbchen (GNS). GNS werden oft in der Chemie und Biologie als plasmonische Marker eingesetzt. In den meisten Fällen werden die Teilchen dafür mit einer Hülle überzogen, um ihre Agglomeration zu unterdrücken oder um ihnen spezielle Sensoreigenschaften zu geben. Trotz ihrer häufigen Anwendung in teilweise sehr komplexen Geometrien sind die optischen und elastischen Eigenschaften der Hülle der Nanopartikel, sowie deren Wechselwirkung mit der Umgebung wenig erforscht. Um die Wechselwirkung zwischen GNS und Schallwellen zu untersuchen habe ich eine systematische Studie an verschiedenen Probenstrukturen unternommen. Dabei finden wir, dass die viskoelastische Verformung der Polymerhülle um die GNS von der unterschiedlichen Ausdehnung der Fläche unterhalb der Partikel und neben ihnen stammt. Diese Schlussfolgerung wird von einer Simulation ihrer Ausdehnungsdynamik unterstützt. Einen weiteren Beleg liefern Experimente bei denen die Verformung von Polymeren an der Oberfläche dadurch verringert wird, dass die Gold-Nano-Stäbchen mit einer zusätzlichen dünnen Polymerschicht bedeckt werden. KW - ultrafast dynamics KW - plasmonics KW - hypersound KW - azobenzene KW - ultrafast spectroscopy KW - ultraschnelle Dynamik KW - Pump-Probe Spektroskopie KW - Plasmonics KW - Gold-Nanopartikel KW - Azobenzene Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-99544 ER - TY - GEN A1 - Pavlenko, Elena S. A1 - Sander, Mathias A1 - Mitzscherling, Steffen A1 - Pudell, Jan-Etienne A1 - Zamponi, Flavio A1 - Rössle, Matthias A1 - Bojahr, Andre A1 - Bargheer, Matias T1 - Azobenzene – functionalized polyelectrolyte nanolayers as ultrafast optoacoustic transducers N2 - We introduce azobenzene-functionalized polyelectrolyte multilayers as efficient, inexpensive optoacoustic transducers for hyper-sound strain waves in the GHz range. By picosecond transient reflectivity measurements we study the creation of nanoscale strain waves, their reflection from interfaces, damping by scattering from nanoparticles and propagation in soft and hard adjacent materials like polymer layers, quartz and mica. The amplitude of the generated strain ε ∼ 5 × 10−4 is calibrated by ultrafast X-ray diffraction. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 297 Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-101996 VL - 8 SP - 13297 EP - 13302 ER - TY - JOUR A1 - Fang, Lijia A1 - Holzmueller, Felix A1 - Matulaitis, Tomas A1 - Baasner, Anne A1 - Hauenstein, Christoph A1 - Benduhn, Johannes A1 - Schwarze, Martin A1 - Petrich, Annett A1 - Piersimoni, Fortunato A1 - Scholz, Reinhard A1 - Zeika, Olaf A1 - Koerner, Christian A1 - Neher, Dieter A1 - Vandewal, Koen A1 - Leo, Karl T1 - Fluorine-containing low-energy-gap organic dyes with low voltage losses for organic solar cells JF - Synthetic metals : the journal of electronic polymers and electronic molecular materials N2 - Fluorine-containing donor molecules TFTF, CNTF and PRTF are designed and isomer selectively synthesized for application in vacuum-deposited organic solar cells. These molecules comprise a donor acceptor molecular architecture incorporating thiophene and benzothiadiazole derivatives as the electron-donating and electron-withdrawing moieties, respectively. As opposed to previously reported materials from this class, PRTF can be purified by vacuum sublimation at moderate to high yields because of its higher volatility and better stabilization due to a stronger intramolecular hydrogen bond, as compared to TFTF and CNTF. The UV-vis absorption spectra of the three donors show an intense broadband absorption between 500 nm and 800 nm with, similar positions of their frontier energy levels. The photophysical properties of the three donor molecules are thoroughly tested and optimized in bulk heterojunction solar cells with C-60 as acceptor. PRTF shows the best performance, yielding power conversion efficiencies of up to 3.8%. Moreover, the voltage loss for the PRTF device due to the non radiative recombination of free charge carriers is exceptionally low (0.26 V) as compared to typical values for organic solar cells (>0.34V). (C) 2016 Published by Elsevier B.V. KW - (Z)-isomer KW - Donor materials KW - CH center dot center dot center dot F hydrogen bonds KW - Sublimation with good yield KW - Low voltage losses Y1 - 2016 U6 - https://doi.org/10.1016/j.synthmet.2016.10.025 SN - 0379-6779 VL - 222 SP - 232 EP - 239 PB - Elsevier CY - Lausanne ER - TY - JOUR A1 - Derras, Boumediene A1 - Bard, Pierre-Yves A1 - Cotton, Fabrice T1 - Site-Condition Proxies, Ground Motion Variability, and Data-Driven GMPEs: Insights from the NGA-West2 and RESORCE Data Sets JF - Earthquake spectra : the professional journal of the Earthquake Engineering Research Institute N2 - We compare the ability of various site-condition proxies (SCPs) to reduce the aleatory variability of ground motion prediction equations (GMPEs). Three SCPs (measured V-S30, inferred V-S30, local topographic slope) and two accelerometric databases (RESORCE and NGA-West2) are considered. An artificial neural network (ANN) approach including a random-effect procedure is used to derive GMPEs setting the relationship between peak ground acceleration (PGA), peak ground velocity (PGV), pseudo-spectral acceleration [PSA(T)], and explanatory variables (M-w, R-JB, and V-S30 or Slope). The analysis is performed using both discrete site classes and continuous proxy values. All "non-measured" SCPs exhibit a rather poor performance in reducing aleatory variability, compared to the better performance of measured V-S30. A new, fully data-driven GMPE based on the NGA-West2 is then derived, with an aleatory variability value depending on the quality of the SCP. It proves very consistent with previous GMPEs built on the same data set. Measuring V-S30 allows for benefit from an aleatory variability reduction up to 15%. Y1 - 2016 U6 - https://doi.org/10.1193/060215EQS082M SN - 8755-2930 SN - 1944-8201 VL - 32 SP - 2027 EP - 2056 PB - Earthquake Engineering Research Institute CY - Oakland ER - TY - JOUR A1 - Lu, Guanghao A1 - Di Pietro, Riccardo A1 - Kölln, Lisa Sophie A1 - Nasrallah, Iyad A1 - Zhou, Ling A1 - Mollinger, Sonya A1 - Himmelberger, Scott A1 - Koch, Norbert A1 - Salleo, Alberto A1 - Neher, Dieter T1 - Dual-Characteristic Transistors Based on Semiconducting Polymer Blends JF - Advanced electronic materials N2 - A dual-characteristic polymer field-effect transistor has markedly different characteristics in low and high voltage operations. In the low-voltage range (<5 V) it shows sharp subthreshold slopes (0.3–0.4 V dec−1), using which a low-voltage inverter with gain 8 is realized, while high-voltage (>5 V) induces symmetric current with regard to drain and gate voltages, leading to discrete differential (trans) conductances. KW - charge accumulation KW - crystalline ordering KW - field-effect-transistor KW - semiconducting polymers Y1 - 2016 U6 - https://doi.org/10.1002/aelm.201600267 SN - 2199-160X VL - 2 SP - 2344 EP - 2351 PB - Wiley-Blackwell CY - Hoboken ER - TY - JOUR A1 - Paulke, Andreas A1 - Stranks, Samuel D. A1 - Kniepert, Juliane A1 - Kurpiers, Jona A1 - Wolff, Christian Michael A1 - Schön, Natalie A1 - Snaith, Henry J. A1 - Brenner, Thomas J. K. A1 - Neher, Dieter T1 - Charge carrier recombination dynamics in perovskite and polymer solar cells JF - Applied physics letters N2 - Time-delayed collection field experiments are applied to planar organometal halide perovskite (CH3NH3PbI3) based solar cells to investigate charge carrier recombination in a fully working solar cell at the nanosecond to microsecond time scale. Recombination of mobile (extractable) charges is shown to follow second-order recombination dynamics for all fluences and time scales tested. Most importantly, the bimolecular recombination coefficient is found to be time-dependent, with an initial value of ca. 10(-9) cm(3)/s and a progressive reduction within the first tens of nanoseconds. Comparison to the prototypical organic bulk heterojunction device PTB7:PC71BM yields important differences with regard to the mechanism and time scale of free carrier recombination. (C) 2016 AIP Publishing LLC. Y1 - 2016 U6 - https://doi.org/10.1063/1.4944044 SN - 0003-6951 SN - 1077-3118 VL - 108 SP - 252 EP - 262 PB - American Institute of Physics CY - Melville ER - TY - JOUR A1 - Yepes, Hugo A1 - Audin, Laurence A1 - Alvarado, Alexandra A1 - Beauval, Celine A1 - Aguilar, Jorge A1 - Font, Yvonne A1 - Cotton, Fabrice T1 - A new view for the geodynamics of Ecuador: Implication in seismogenic source definition and seismic hazard assessment JF - Tectonics N2 - A new view of Ecuador's complex geodynamics has been developed in the course of modeling seismic source zones for probabilistic seismic hazard analysis. This study focuses on two aspects of the plates' interaction at a continental scale: (a) age-related differences in rheology between Farallon and Nazca plates—marked by the Grijalva rifted margin and its inland projection—as they subduct underneath central Ecuador, and (b) the rapidly changing convergence obliquity resulting from the convex shape of the South American northwestern continental margin. Both conditions satisfactorily explain several characteristics of the observed seismicity and of the interseismic coupling. Intermediate-depth seismicity reveals a severe flexure in the Farallon slab as it dips and contorts at depth, originating the El Puyo seismic cluster. The two slabs position and geometry below continental Ecuador also correlate with surface expressions observable in the local and regional geology and tectonics. The interseismic coupling is weak and shallow south of the Grijalva rifted margin and increases northward, with a heterogeneous pattern locally associated to the Carnegie ridge subduction. High convergence obliquity is responsible for the North Andean Block northeastward movement along localized fault systems. The Cosanga and Pallatanga fault segments of the North Andean Block-South American boundary concentrate most of the seismic moment release in continental Ecuador. Other inner block faults located along the western border of the inter-Andean Depression also show a high rate of moderate-size earthquake production. Finally, a total of 19 seismic source zones were modeled in accordance with the proposed geodynamic and neotectonic scheme. Y1 - 2016 U6 - https://doi.org/10.1002/2015TC003941 SN - 0278-7407 SN - 1944-9194 VL - 35 SP - 1249 EP - 1279 PB - American Geophysical Union CY - Washington ER - TY - JOUR A1 - Schleussner, Carl-Friedrich A1 - Donges, Jonathan A1 - Engemann, Denis A. A1 - Levermann, Anders T1 - Clustered marginalization of minorities during social transitions induced by co-evolution of behaviour and network structure JF - Scientific reports N2 - Large-scale transitions in societies are associated with both individual behavioural change and restructuring of the social network. These two factors have often been considered independently, yet recent advances in social network research challenge this view. Here we show that common features of societal marginalization and clustering emerge naturally during transitions in a co-evolutionary adaptive network model. This is achieved by explicitly considering the interplay between individual interaction and a dynamic network structure in behavioural selection. We exemplify this mechanism by simulating how smoking behaviour and the network structure get reconfigured by changing social norms. Our results are consistent with empirical findings: The prevalence of smoking was reduced, remaining smokers were preferentially connected among each other and formed increasingly marginalized clusters. We propose that self-amplifying feedbacks between individual behaviour and dynamic restructuring of the network are main drivers of the transition. This generative mechanism for co-evolution of individual behaviour and social network structure may apply to a wide range of examples beyond smoking. Y1 - 2016 U6 - https://doi.org/10.1038/srep30790 SN - 2045-2322 VL - 6 SP - 3407 EP - 3417 PB - Nature Publ. Group CY - London ER - TY - JOUR A1 - Kretschmer, Marlene A1 - Coumou, Dim A1 - Donges, Jonathan A1 - Runge, Jakob T1 - Using Causal Effect Networks to Analyze Different Arctic Drivers of Midlatitude Winter Circulation JF - Journal of climate N2 - In recent years, the Northern Hemisphere midlatitudes have suffered from severe winters like the extreme 2012/13 winter in the eastern United States. These cold spells were linked to a meandering upper-tropospheric jet stream pattern and a negative Arctic Oscillation index (AO). However, the nature of the drivers behind these circulation patterns remains controversial. Various studies have proposed different mechanisms related to changes in the Arctic, most of them related to a reduction in sea ice concentrations or increasing Eurasian snow cover. Here, a novel type of time series analysis, called causal effect networks (CEN), based on graphical models is introduced to assess causal relationships and their time delays between different processes. The effect of different Arctic actors on winter circulation on weekly to monthly time scales is studied, and robust network patterns are found. Barents and Kara sea ice concentrations are detected to be important external drivers of the midlatitude circulation, influencing winter AO via tropospheric mechanisms and through processes involving the stratosphere. Eurasia snow cover is also detected to have a causal effect on sea level pressure in Asia, but its exact role on AO remains unclear. The CEN approach presented in this study overcomes some difficulties in interpreting correlation analyses, complements model experiments for testing hypotheses involving teleconnections, and can be used to assess their validity. The findings confirm that sea ice concentrations in autumn in the Barents and Kara Seas are an important driver of winter circulation in the midlatitudes. Y1 - 2016 U6 - https://doi.org/10.1175/JCLI-D-15-0654.1 SN - 0894-8755 SN - 1520-0442 VL - 29 SP - 4069 EP - 4081 PB - American Meteorological Soc. CY - Boston ER - TY - JOUR A1 - Donges, Jonathan A1 - Schleussner, C. -F. A1 - Siegmund, Jonatan F. A1 - Donner, Reik Volker T1 - Event coincidence analysis for quantifying statistical interrelationships between event time series JF - European physical journal special topics N2 - Studying event time series is a powerful approach for analyzing the dynamics of complex dynamical systems in many fields of science. In this paper, we describe the method of event coincidence analysis to provide a framework for quantifying the strength, directionality and time lag of statistical interrelationships between event series. Event coincidence analysis allows to formulate and test null hypotheses on the origin of the observed interrelationships including tests based on Poisson processes or, more generally, stochastic point processes with a prescribed inter-event time distribution and other higher-order properties. Applying the framework to country-level observational data yields evidence that flood events have acted as triggers of epidemic outbreaks globally since the 1950s. Facing projected future changes in the statistics of climatic extreme events, statistical techniques such as event coincidence analysis will be relevant for investigating the impacts of anthropogenic climate change on human societies and ecosystems worldwide. Y1 - 2016 U6 - https://doi.org/10.1140/epjst/e2015-50233-y SN - 1951-6355 SN - 1951-6401 VL - 225 SP - 471 EP - 487 PB - Springer CY - Heidelberg ER - TY - JOUR A1 - Tilmann, F. A1 - Zhang, Y. A1 - Moreno, M. A1 - Saul, J. A1 - Eckelmann, F. A1 - Palo, M. A1 - Deng, Z. A1 - Babeyko, Andrey A1 - Chen, K. A1 - Báez, Juan Carlos A1 - Schurr, B. A1 - Wang, R. A1 - Dahm, Torsten T1 - The 2015 Illapel earthquake, central Chile: A type case for a characteristic earthquake? JF - Geophysical research letters N2 - On 16 September 2015, the M-W = 8.2 Illapel megathrust earthquake ruptured the Central Chilean margin. Combining inversions of displacement measurements and seismic waveforms with high frequency (HF) teleseismic backprojection, we derive a comprehensive description of the rupture, which also predicts deep ocean tsunami wave heights. We further determine moment tensors and obtain accurate depth estimates for the aftershock sequence. The earthquake nucleated near the coast but then propagated to the north and updip, attaining a peak slip of 5-6 m. In contrast, HF seismic radiation is mostly emitted downdip of the region of intense slip and arrests earlier than the long period rupture, indicating smooth slip along the shallow plate interface in the final phase. A superficially similar earthquake in 1943 with a similar aftershock zone had a much shorter source time function, which matches the duration of HF seismic radiation in the recent event, indicating that the 1943 event lacked the shallow slip. Y1 - 2016 U6 - https://doi.org/10.1002/2015GL066963 SN - 0094-8276 SN - 1944-8007 VL - 43 SP - 574 EP - 583 PB - American Geophysical Union CY - Washington ER - TY - JOUR A1 - Ligorio, G. A1 - Nardi, M. V. A1 - Steyrleuthner, Robert A1 - Ihiawakrim, D. A1 - Crespo-Monteiro, N. A1 - Brinkmann, Martin A1 - Neher, Dieter A1 - Koch, N. T1 - Metal nanoparticle mediated space charge and its optical control in an organic hole-only device JF - Applied physics letters N2 - We reveal the role of localized space charges in hole-only devices based on an organic semiconductor with embedded metal nanoparticles (MNPs). MNPs act as deep traps for holes and reduce the current density compared to a device without MNPs by a factor of 10(4) due to the build-up of localized space charge. Dynamic MNPs charged neutrality can be realized during operation by electron transfer from excitons created in the organic matrix, enabling light sensing independent of device bias. In contrast to the previous speculations, electrical bistability in such devices was not observed. (C) 2016 AIP Publishing LLC. Y1 - 2016 U6 - https://doi.org/10.1063/1.4945710 SN - 0003-6951 SN - 1077-3118 VL - 108 PB - American Institute of Physics CY - Melville ER - TY - JOUR A1 - Zerson, Mario A1 - Neumann, Martin A1 - Steyrleuthner, Robert A1 - Neher, Dieter A1 - Magerle, Robert T1 - Surface Structure of Semicrystalline Naphthalene Diimide-Bithiophene Copolymer Films Studied with Atomic Force Microscopy JF - Macromolecules : a publication of the American Chemical Society Y1 - 2016 U6 - https://doi.org/10.1021/acs.macromol.6b00988 SN - 0024-9297 SN - 1520-5835 VL - 49 SP - 6549 EP - 6557 PB - American Chemical Society CY - Washington ER - TY - THES A1 - Bressel, Lena T1 - Bedeutung der abhängigen Streuung für die optischen Eigenschaften hochkonzentrierter Dispersionen Y1 - 2016 ER - TY - GEN A1 - Wippert, Pia-Maria A1 - Puschmann, Anne-Katrin A1 - Schiltenwolf, Marcus A1 - Wiebking, Christine A1 - Mayer, Frank T1 - BACK PAIN: THE STUDY OF MECHANISMS AND THE TRANSLATION IN INTERVENTIONS WITHIN THE MISPEX NETWORK T2 - Psychosomatic medicine Y1 - 2016 SN - 0033-3174 SN - 1534-7796 VL - 78 SP - A91 EP - A91 PB - Elsevier CY - Philadelphia ER - TY - JOUR A1 - Niederer, Daniel A1 - Vogt, Lutz A1 - Wippert, Pia-Maria A1 - Puschmann, Anne-Katrin A1 - Pfeifer, Ann-Christin A1 - Schiltenwolf, Marcus A1 - Banzer, Winfried A1 - Mayer, Frank T1 - Medicine in spine exercise (MiSpEx) for nonspecific low back pain patients: study protocol for a multicentre, single-blind randomized controlled trial JF - Trials N2 - Background: Arising from the relevance of sensorimotor training in the therapy of nonspecific low back pain patients and from the value of individualized therapy, the present trial aims to test the feasibility and efficacy of individualized sensorimotor training interventions in patients suffering from nonspecific low back pain. Methods and study design: A multicentre, single-blind two-armed randomized controlled trial to evaluate the effects of a 12-week (3 weeks supervised centre-based and 9 weeks home-based) individualized sensorimotor exercise program is performed. The control group stays inactive during this period. Outcomes are pain, and pain-associated function as well as motor function in adults with nonspecific low back pain. Each participant is scheduled to five measurement dates: baseline (M1), following centre-based training (M2), following home-based training (M3) and at two follow-up time points 6 months (M4) and 12 months (M5) after M1. All investigations and the assessment of the primary and secondary outcomes are performed in a standardized order: questionnaires - clinical examination biomechanics (motor function). Subsequent statistical procedures are executed after the examination of underlying assumptions for parametric or rather non-parametric testing. Discussion: The results and practical relevance of the study will be of clinical and practical relevance not only for researchers and policy makers but also for the general population suffering from nonspecific low back pain. KW - Sensorimotor training KW - Motor control KW - Low back pain KW - Exercise KW - Functional capacity KW - Individualized intervention Y1 - 2016 U6 - https://doi.org/10.1186/s13063-016-1645-1 SN - 1745-6215 VL - 17 PB - BioMed Central CY - London ER - TY - THES A1 - Gopalakrishnan, Sathej T1 - Mathematical modelling of host-disease-drug interactions in HIV disease T1 - Mathematische Modellierung von Pathogen-Wirkstoff-Wirt-Interaktionen im Kontext der HIV Erkrankung N2 - The human immunodeficiency virus (HIV) has resisted nearly three decades of efforts targeting a cure. Sustained suppression of the virus has remained a challenge, mainly due to the remarkable evolutionary adaptation that the virus exhibits by the accumulation of drug-resistant mutations in its genome. Current therapeutic strategies aim at achieving and maintaining a low viral burden and typically involve multiple drugs. The choice of optimal combinations of these drugs is crucial, particularly in the background of treatment failure having occurred previously with certain other drugs. An understanding of the dynamics of viral mutant genotypes aids in the assessment of treatment failure with a certain drug combination, and exploring potential salvage treatment regimens. Mathematical models of viral dynamics have proved invaluable in understanding the viral life cycle and the impact of antiretroviral drugs. However, such models typically use simplified and coarse-grained mutation schemes, that curbs the extent of their application to drug-specific clinical mutation data, in order to assess potential next-line therapies. Statistical models of mutation accumulation have served well in dissecting mechanisms of resistance evolution by reconstructing mutation pathways under different drug-environments. While these models perform well in predicting treatment outcomes by statistical learning, they do not incorporate drug effect mechanistically. Additionally, due to an inherent lack of temporal features in such models, they are less informative on aspects such as predicting mutational abundance at treatment failure. This limits their application in analyzing the pharmacology of antiretroviral drugs, in particular, time-dependent characteristics of HIV therapy such as pharmacokinetics and pharmacodynamics, and also in understanding the impact of drug efficacy on mutation dynamics. In this thesis, we develop an integrated model of in vivo viral dynamics incorporating drug-specific mutation schemes learned from clinical data. Our combined modelling approach enables us to study the dynamics of different mutant genotypes and assess mutational abundance at virological failure. As an application of our model, we estimate in vivo fitness characteristics of viral mutants under different drug environments. Our approach also extends naturally to multiple-drug therapies. Further, we demonstrate the versatility of our model by showing how it can be modified to incorporate recently elucidated mechanisms of drug action including molecules that target host factors. Additionally, we address another important aspect in the clinical management of HIV disease, namely drug pharmacokinetics. It is clear that time-dependent changes in in vivo drug concentration could have an impact on the antiviral effect, and also influence decisions on dosing intervals. We present a framework that provides an integrated understanding of key characteristics of multiple-dosing regimens including drug accumulation ratios and half-lifes, and then explore the impact of drug pharmacokinetics on viral suppression. Finally, parameter identifiability in such nonlinear models of viral dynamics is always a concern, and we investigate techniques that alleviate this issue in our setting. N2 - Das Humane Immundefiecienz-Virus (HIV) widerstanden hat fast drei Jahrzehnten eff Orts targeting eine Heilung. Eine anhaltende Unterdrückung des Virus hat noch eine Herausforderung, vor allem aufgrund der bemerkenswerten evolutionären Anpassung, dass das Virus Exponate durch die Ansammlung von Medikamenten-resistenten Mutationen in seinem Genom. Aktuelle therapeutische Strategien zielen auf das Erreichen und die Erhaltung einer niedrigen virale Belastung und umfassen in der Regel mehrere Medikamente. Die Wahl der optimalen Kombinationen dieser Medikamente ist von entscheidender Bedeutung, besonders im Hintergrund der Behandlung Fehler eingetreten, die zuvor mit bestimmten anderen Medikamenten. Ein Verständnis für die Dynamik der viralen mutierten Genotypen Aids in die Bewertung der Behandlung Fehler mit einer bestimmten Kombination und der Erkundung potenzieller Bergung Behandlungsschemata. Mathematische Modelle für virale Dynamik haben sich als unschätzbar erwiesen hat im Verständnis der viralen Lebenszyklus und die Auswirkungen von antiretroviralen Medikamenten. Allerdings sind solche Modelle verwenden in der Regel simplified und grobkörnigen Mutation Regelungen, dass Aufkantungen den Umfang ihrer Anwendung auf Arzneimittel-ganz speziellec Mutation klinische Daten, um zu beurteilen, mögliche nächste-line Therapien. Statistische Modelle der Mutation Anhäufung gedient haben gut in präparieren Mechanismen der Resistenz Evolution durch Mutation Rekonstruktion Pathways unter verschiedenen Medikamenten-Umgebungen. Während diese Modelle führen gut in der Vorhersage der Ergebnisse der Behandlung durch statistische lernen, sie enthalten keine Droge E ffect mechanistisch. Darüber hinaus aufgrund einer innewohnenden Mangel an zeitlichen Funktionen in solchen Modellen, sie sind weniger informativ auf Aspekte wie die Vorhersage mutational Fülle an Versagen der Behandlung. Dies schränkt die Anwendung in der Analyse der Pharmakologie von antiretroviralen Medikamenten, insbesondere, Zeit-abhängige Merkmale der HIV-Therapie wie Pharmakokinetik und Pharmakodynamik, und auch in dem Verständnis der Auswirkungen von Drogen e fficacy auf Mutation Dynamik. In dieser Arbeit, die wir bei der Entwicklung eines integrierten Modells von In-vivo-virale Dynamik Einbeziehung drug-ganz speziellec Mutation Systeme gelernt aus den klinischen Daten. Unsere kombinierten Modellansatz ermöglicht uns die Untersuchung der Dynamik von diff schiedene mutierten Genotypen und bewerten mutational Fülle an virologischem Versagen. Als Anwendung unseres Modells schätzen wir In-vivo-fitness Merkmale der viralen Mutanten unter di fferent drug Umgebungen. Unser Ansatz erstreckt sich auch natürlich auf mehrere-Therapien. Weitere zeigen wir die Vielseitigkeit unseres Modells zeigen, wie es können Modified zu integrieren kürzlich aufgeklärt Mechanismen der Drug Action einschließlich Molekülen, dass target host Faktoren. Zusätzlich haben wir Adresse ein weiterer wichtiger Aspekt in der klinischen Management der HIV-Erkrankung, das heißt Drogen Pharmakokinetik. Es ist klar, dass die Zeit-abhängige Änderungen in In-vivo-Wirkstoffkonzentration könnten die Auswirkungen auf die antivirale E ffect und haben auch Einfluss auf die Entscheidungen über Dosierungsintervalle. Wir präsentieren ein Framework, bietet ein integriertes Verständnis der wichtigsten Merkmale von mehreren Dosierungsschemata einschließlich Kumulation Übersetzungen und Halbwertszeiten, und untersuchen Sie die Auswirkungen von Drogen auf die Pharmakokinetik Virussuppression. Schließlich, Parameter identifiFähigkeit in solchen nichtlineare Modelle der virale Dynamik ist immer ein Anliegen, und wir untersuchen Methoden, um dieses Problem in unserer Einstellung. KW - HIV KW - mathematical modelling KW - viral fitness KW - pharmacokinetics KW - parameter estimation KW - HIV Erkrankung KW - Pharmakokinetik KW - Fitness KW - mathematische Modellierung KW - Kombinationstherapie Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-100100 ER - TY - GEN A1 - Schulze, Nicole A1 - Koetz, Joachim T1 - Kinetically Controlled Growth of Gold Nanotriangles in a Vesicular Template Phase by Adding a Strongly Alternating Polyampholyte N2 - This paper is focused on the temperature dependent synthesis of gold nanotriangles in a vesicular template phase, containing phosphatidylcholin and AOT, by adding the strongly alternating polyampholyte PalPhBisCarb. UV-vis absorption spectra in combination with TEM micrographs show that flat gold nanoplatelets are formed predominantly in presence of the polyampholyte at 45 °C. The formation of triangular and hexagonal nanoplatelets can be directly influenced by the kinetic approach, i.e., by varying the polyampholyte dosage rate at 45 °C. Corresponding zeta potential measurements indicate that a temperature dependent adsorption of the polyampholyte on the {111} faces will induce the symmetry breaking effect, which is responsible for the kinetically controlled hindered vertical and preferred lateral growth of the nanoplatelets. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 271 KW - Polyampholytes KW - Nanotriangles KW - Kinetically controlled nanocrystal growth Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-98380 ER - TY - JOUR T1 - forum:logopädie 30.2016, 3 T2 - Forum Logopädie : Zeitschrift des Deutschen Bundesverbandes für Logopädie e.V, dbl KW - Logopädie KW - Zeitschrift Y1 - 2016 SN - 0932-0547 VL - 30 IS - 3 PB - Schulz-Kirchner CY - Idstein ER - TY - JOUR A1 - Jara Muñoz, Julius A1 - Melnick, Daniel A1 - Strecker, Manfred T1 - TerraceM: A MATLAB (R) tool to analyze marine and lacustrine terraces using high-resolution topography JF - Geosphere N2 - High-resolution topographic data greatly facilitate the remote identification of geomorphic features, furnishing valuable information concerning surface processes and characterization of reference markers for quantifying tectonic deformation. Marine terraces have been used as long baseline geodetic markers of relative past sea-level positions, reflecting the interplay between vertical crustal movements and sea-level oscillations. Uplift rates may be determined from the terrace age and the elevation of its shoreline angle, a geomorphic feature that can be correlated with past sea-levels positions. A precise definition of the shoreline angle in time and space is essential to obtain reliable uplift rates with coherent spatial correlation. To improve our ability to rapidly assess and map shoreline angles at regional and local scales, we have developed TerraceM, a MATLAB (R) graphical user interface that allows the shoreline angle and its associated error to be estimated using high-resolution topography. TerraceM uses topographic swath profiles oriented orthogonally to the terrace riser. Four functions are included to analyze the swath profiles and extract the shoreline angle, from both staircase sequences of multiple terraces and rough coasts characterized by eroded remnants of emerged terrace surfaces. The former are measured by outlining the paleocliffs and paieo-platforms and finding their intersection by extrapolating linear regressions, whereas the latter are assessed by automatically detecting peaks of sea-stack tops and back-projecting them to the modern sea cliff. In the absence of rigorous absolute age determinations of marine terraces, their geomorphic age may be estimated using previously published diffusion models. Postprocessing functions are included to obtain first-order statistics of shoreline-angle elevations and their spatial distribution. TerraceM has the ability to process series of profiles from several sites in an efficient and structured workflow. Results may be exported in Google Earth and ESRI shapefile formats. The precision and accuracy of the method have been estimated from a case study at Santa Cruz, California, by comparing TerraceM results with published field measurements. The repeatability was evaluated using multiple measurements made by inexperienced users. TerraceM will improve the efficiency and precision of estimating shoreline-angle elevations in wave-cut terraces in both marine and lacustrine environments. Y1 - 2016 U6 - https://doi.org/10.1130/GES01208.1 SN - 1553-040X VL - 12 SP - 176 EP - 195 PB - American Institute of Physics CY - Boulder ER - TY - JOUR A1 - Ripoll, Jean-François A1 - Loridan, Vivien A1 - Cunningham, G. S. A1 - Reeves, Geoffrey D. A1 - Shprits, Yuri Y. T1 - On the time needed to reach an equilibrium structure of the radiation belts JF - Journal of geophysical research : Space physics N2 - In this study, we complement the notion of equilibrium states of the radiation belts with a discussion on the dynamics and time needed to reach equilibrium. We solve for the equilibrium states obtained using 1-D radial diffusion with recently developed hiss and chorus lifetimes at constant values of Kp = 1, 3, and 6. We find that the equilibrium states at moderately low Kp, when plotted versus L shell (L) and energy (E), display the same interesting S shape for the inner edge of the outer belt as recently observed by the Van Allen Probes. The S shape is also produced as the radiation belts dynamically evolve toward the equilibrium state when initialized to simulate the buildup after a massive dropout or to simulate loss due to outward diffusion from a saturated state. Physically, this shape, intimately linked with the slot structure, is due to the dependence of electron loss rate (originating from wave-particle interactions) on both energy and L shell. Equilibrium electron flux profiles are governed by the Biot number (tau(Diffusion)/tau(loss)), with large Biot number corresponding to low fluxes and low Biot number to large fluxes. The time it takes for the flux at a specific (L, E) to reach the value associated with the equilibrium state, starting from these different initial states, is governed by the initial state of the belts, the property of the dynamics (diffusion coefficients), and the size of the domain of computation. Its structure shows a rather complex scissor form in the (L, E) plane. The equilibrium value (phase space density or flux) is practically reachable only for selected regions in (L, E) and geomagnetic activity. Convergence to equilibrium requires hundreds of days in the inner belt for E>300 keV and moderate Kp (<= 3). It takes less time to reach equilibrium during disturbed geomagnetic conditions (Kp = 3), when the system evolves faster. Restricting our interest to the slot region, below L = 4, we find that only small regions in (L, E) space can reach the equilibrium value: E similar to [200, 300] keV for L= [3.7, 4] at Kp= 1, E similar to[0.6, 1] MeV for L = [3, 4] at Kp = 3, and E similar to 300 keV for L = [3.5, 4] at Kp = 6 assuming no new incoming electrons. Y1 - 2016 U6 - https://doi.org/10.1002/2015JA022207 SN - 2169-9380 SN - 2169-9402 VL - 121 SP - 7684 EP - 7698 PB - American Geophysical Union CY - Washington ER - TY - JOUR A1 - Kronberg, Elena A. A1 - Rashev, M. V. A1 - Daly, P. W. A1 - Shprits, Yuri Y. A1 - Turner, D. L. A1 - Drozdov, Alexander A1 - Dobynde, M. A1 - Kellerman, Adam C. A1 - Fritz, T. A. A1 - Pierrard, V. A1 - Borremans, K. A1 - Klecker, B. A1 - Friedel, R. T1 - Contamination in electron observations of the silicon detector on board JF - Space Weather: The International Journal of Research and Applications N2 - Since more than 15 years, the Cluster mission passes through Earth's radiation belts at least once every 2 days for several hours, measuring the electron intensity at energies from 30 to 400 keV. These data have previously been considered not usable due to contamination caused by penetrating energetic particles (protons at >100 keV and electrons at >400 keV). In this study, we assess the level of distortion of energetic electron spectra from the Research with Adaptive Particle Imaging Detector (RAPID)/Imaging Electron Spectrometer (IES) detector, determining the efficiency of its shielding. We base our assessment on the analysis of experimental data and a radiation transport code (Geant4). In simulations, we use the incident particle energy distribution of the AE9/AP9 radiation belt models. We identify the Roederer L values, L⋆, and energy channels that should be used with caution: at 3≤L⋆≤4, all energy channels (40–400 keV) are contaminated by protons (≃230 to 630 keV and >600 MeV); at L⋆≃1 and 4–6, the energy channels at 95–400 keV are contaminated by high-energy electrons (>400 keV). Comparison of the data with electron and proton observations from RBSP/MagEIS indicates that the subtraction of proton fluxes at energies ≃ 230–630 keV from the IES electron data adequately removes the proton contamination. We demonstrate the usefulness of the corrected data for scientific applications. Y1 - 2016 U6 - https://doi.org/10.1002/2016SW001369 SN - 1542-7390 VL - 14 SP - 449 EP - 462 PB - American Geophysical Union CY - Washington ER - TY - JOUR A1 - Zhelavskaya, Irina A1 - Spasojevic, M. A1 - Shprits, Yuri Y. A1 - Kurth, William S. T1 - Automated determination of electron density from electric field measurements on the Van Allen Probes spacecraft JF - Journal of geophysical research : Space physics N2 - We present the Neural-network-based Upper hybrid Resonance Determination (NURD) algorithm for automatic inference of the electron number density from plasma wave measurements made on board NASA's Van Allen Probes mission. A feedforward neural network is developed to determine the upper hybrid resonance frequency, fuhr, from electric field measurements, which is then used to calculate the electron number density. In previous missions, the plasma resonance bands were manually identified, and there have been few attempts to do robust, routine automated detections. We describe the design and implementation of the algorithm and perform an initial analysis of the resulting electron number density distribution obtained by applying NURD to 2.5 years of data collected with the Electric and Magnetic Field Instrument Suite and Integrated Science (EMFISIS) instrumentation suite of the Van Allen Probes mission. Densities obtained by NURD are compared to those obtained by another recently developed automated technique and also to an existing empirical plasmasphere and trough density model. KW - Van Allen Probes KW - electron number density KW - neural networks Y1 - 2016 U6 - https://doi.org/10.1002/2015JA022132 SN - 2169-9380 SN - 2169-9402 VL - 121 SP - 4611 EP - 4625 PB - American Geophysical Union CY - Washington ER - TY - JOUR A1 - Aseev, Nikita A1 - Shprits, Yuri Y. A1 - Drozdov, Alexander A1 - Kellerman, Adam C. T1 - Numerical applications of the advective-diffusive codes for the inner magnetosphere JF - Space Weather: The International Journal of Research and Applications N2 - In this study we present analytical solutions for convection and diffusion equations. We gather here the analytical solutions for the one-dimensional convection equation, the two-dimensional convection problem, and the one- and two-dimensional diffusion equations. Using obtained analytical solutions, we test the four-dimensional Versatile Electron Radiation Belt code (the VERB-4D code), which solves the modified Fokker-Planck equation with additional convection terms. The ninth-order upwind numerical scheme for the one-dimensional convection equation shows much more accurate results than the results obtained with the third-order scheme. The universal limiter eliminates unphysical oscillations generated by high-order linear upwind schemes. Decrease in the space step leads to convergence of a numerical solution of the two-dimensional diffusion equation with mixed terms to the analytical solution. We compare the results of the third- and ninth-order schemes applied to magnetospheric convection modeling. The results show significant differences in electron fluxes near geostationary orbit when different numerical schemes are used. KW - advective-diffusive codes KW - inner magnetosphere KW - numerical schemes Y1 - 2016 U6 - https://doi.org/10.1002/2016SW001484 SN - 1542-7390 VL - 14 SP - 993 EP - 1010 PB - American Geophysical Union CY - Washington ER - TY - JOUR A1 - Kim, Kyung-Chan A1 - Shprits, Yuri Y. A1 - Blake, J. Bernard T1 - Fast injection of the relativistic electrons into the inner zone and the formation of the split-zone structure during the Bastille Day storm in July 2000 JF - Journal of geophysical research : Space physics N2 - During the July 2000 geomagnetic storm, known as the Bastille Day storm, Solar, Anomalous, and Magnetospheric Particle Explorer (SAMPEX)/Heavy Ion Large Telescope (HILT) observed a strong injection of similar to 1MeV electrons into the slot region (L similar to 2.5) during the storm main phase. Then, during the following month, electrons were clearly seen diffusing inward down to L=2 and forming a pronounced split structure encompassing a narrow, newly formed slot region around L=3. SAMPEX observations are first compared with electron and proton observations on HEO-3 and NOAA-15 to validate that the observed unusual dynamics was not caused by proton contamination of the SAMPEX instrument. The time-dependent 3-D Versatile Electron Radiation Belt (VERB) simulation of 1MeV electron flux evolution is compared with the SAMPEX/HILT observations. The results show that the VERB code predicts overall time evolution of the observed split structure. The simulated split structure is produced by pitch angle scattering into the Earth atmosphere of similar to 1MeV electrons by plasmaspheric hiss. KW - inner radiation zone and slot region KW - Bastille Day geomagnetic storm KW - 3-D diffusion simulation KW - plasmaspheric hiss Y1 - 2016 U6 - https://doi.org/10.1002/2015JA022072 SN - 2169-9380 SN - 2169-9402 VL - 121 SP - 8329 EP - 8342 PB - American Geophysical Union CY - Washington ER - TY - JOUR A1 - Boyd, A. J. A1 - Spence, Harlan E. A1 - Huang, Chia-Lin A1 - Reeves, Geoffrey D. A1 - Baker, Daniel N. A1 - Turner, D. L. A1 - Claudepierre, Seth G. A1 - Fennell, Joseph F. A1 - Blake, J. Bernard A1 - Shprits, Yuri Y. T1 - Statistical properties of the radiation belt seed population JF - Journal of geophysical research : Space physics N2 - We present a statistical analysis of phase space density data from the first 26 months of the Van Allen Probes mission. In particular, we investigate the relationship between the tens and hundreds of keV seed electrons and >1 MeV core radiation belt electron population. Using a cross-correlation analysis, we find that the seed and core populations are well correlated with a coefficient of approximate to 0.73 with a time lag of 10-15 h. We present evidence of a seed population threshold that is necessary for subsequent acceleration. The depth of penetration of the seed population determines the inner boundary of the acceleration process. However, we show that an enhanced seed population alone is not enough to produce acceleration in the higher energies, implying that the seed population of hundreds of keV electrons is only one of several conditions required for MeV electron radiation belt acceleration. Y1 - 2016 U6 - https://doi.org/10.1002/2016JA022652 SN - 2169-9380 SN - 2169-9402 VL - 121 SP - 7636 EP - 7646 PB - American Geophysical Union CY - Washington ER - TY - JOUR A1 - Pavlenko, Elena S. A1 - Sander, Mathias A1 - Cui, Q. A1 - Bargheer, Matias T1 - Gold Nanorods Sense the Ultrafast Viscoelastic Deformation of Polymers upon Molecular Strain Actuation JF - The journal of physical chemistry : C, Nanomaterials and interfaces N2 - On the basis of the layer-by-layer deposition of polyelectrolytes, we have designed hybrid nanolayer composites for integrated optoacoustic experiments. The femtosecond-laser-excitation of an Azo functionalized film launches nanoscale strain waves at GHz frequencies into a transparent polymer layer. Gold nanorods deposited on the surface sense the arrival of these hyper-sound-waves on the picosecond time scale via a modification of their longitudinal plasmon resonance. We simulated the strain waves using a simple linear masses-and-springs model, which yields good agreement with the observed time scales associated with the nanolayer thicknesses of the constituent materials. From systematic experiments with calibrated strain amplitudes we conclude that reversible viscoelastic deformations of the polyelectrolyte multilayers are triggered by ultrashort pressure transients of about 4 MPa. Our experiments show that strain-mediated interactions in nanoarchitectures composed of molecular photoswitches and plasmonic particles may be used to design new functionalities. The approach combines the highly flexible and cost-effective preparation of polyelectrolyte multilayers with ultrafast molecular strain actuation and plasmonic sensing. Although we use simple flat layered structures for demonstration, this new concept can be used for three-dimensional nanoassemblies with different functionalities. The ultrafast and reversible nature of the response is highly desirable, and the short wavelength associated with the high frequency of the hyper-sound-waves connecting photoactive molecules and nanoparticles inherently gives spectroscopic access to the nanoscale. High-frequency elastic moduli are derived from the ultrafast spectroscopy of the hypersonic response in polyelectrolyte multilayers. Y1 - 2016 U6 - https://doi.org/10.1021/acs.jpcc.6b06915 SN - 1932-7447 VL - 120 SP - 24957 EP - 24964 PB - American Chemical Society CY - Washington ER - TY - JOUR A1 - Pavlenko, Elena S. A1 - Sander, Mathias A1 - Mitzscherling, S. A1 - Pudell, Jan-Etienne A1 - Zamponi, Flavio A1 - Roessle, M. A1 - Bojahr, Andre A1 - Bargheer, Matias T1 - Azobenzene - functionalized polyelectrolyte nanolayers as ultrafast optoacoustic transducers JF - Nanoscale N2 - We introduce azobenzene-functionalized polyelectrolyte multilayers as efficient, inexpensive optoacoustic transducers for hyper-sound strain waves in the GHz range. By picosecond transient reflectivity measurements we study the creation of nanoscale strain waves, their reflection from interfaces, damping by scattering from nanoparticles and propagation in soft and hard adjacent materials like polymer layers, quartz and mica. The amplitude of the generated strain epsilon similar to 5 x 10(-4) is calibrated by ultrafast X-ray diffraction. Y1 - 2016 U6 - https://doi.org/10.1039/c6nr01448h SN - 2040-3364 SN - 2040-3372 VL - 8 SP - 13297 EP - 13302 PB - Royal Society of Chemistry CY - Cambridge ER - TY - JOUR A1 - Krstić, Miloš A1 - Weidling, Stefan A1 - Petrovic, Vladimir A1 - Sogomonyan, Egor S. T1 - Enhanced architectures for soft error detection and correction in combinational and sequential circuits JF - Microelectronics reliability N2 - In this paper two new methods for the design of fault-tolerant pipelined sequential and combinational circuits, called Error Detection and Partial Error Correction (EDPEC) and Full Error Detection and Correction (FEDC), are described. The proposed methods are based on an Error Detection Logic (EDC) in the combinational circuit part combined with fault tolerant memory elements implemented using fault tolerant master-slave flip-flops. If a transient error, due to a transient fault in the combinational circuit part is detected by the EDC, the error signal controls the latching stage of the flip-flops such that the previous correct state of the register stage is retained until the transient error disappears. The system can continue to work in its previous correct state and no additional recovery procedure (with typically reduced clock frequency) is necessary. The target applications are dataflow processing blocks, for which software-based recovery methods cannot be easily applied. The presented architectures address both single events as well as timing faults of arbitrarily long duration. An example of this architecture is developed and described, based on the carry look-ahead adder. The timing conditions are carefully investigated and simulated up to the layout level. The enhancement of the baseline architecture is demonstrated with respect to the achieved fault tolerance for the single event and timing faults. It is observed that the number of uncorrected single events is reduced by the EDPEC architecture by 2.36 times compared with previous solution. The FEDC architecture further reduces the number of uncorrected events to zero and outperforms the Triple Modular Redundancy (TMR) with respect to correction of timing faults. The power overhead of both new architectures is about 26-28% lower than the TMR. (C) 2015 Elsevier Ltd. All rights reserved. KW - Soft errors KW - Combinational logic KW - DMR KW - TMR KW - Predictor KW - Self-checking KW - Concurrent checking KW - Timing errors KW - Transient faults Y1 - 2016 U6 - https://doi.org/10.1016/j.microrel.2015.10.022 SN - 0026-2714 VL - 56 SP - 212 EP - 220 PB - Elsevier CY - Oxford ER - TY - THES A1 - Heinle, Karolin T1 - Identifizierung von Kohlenhydratbindungsstellen in β-Helix-Proteinen Y1 - 2016 ER - TY - JOUR A1 - Vorpahl, Daniel T1 - Vom Voraussetzen und Wiederentdecken des Narrativ BT - Die islamische Yūnus-Rezeption im Lichte jüdischer Jona-Traditionen JF - PaRDeS : Journal of the Association of Jewish Studies [22 (2016)] = Muslim-Jewish Dialogue JF - PaRDeS : Zeitschrift der Vereinigung für Jüdische Studien [22 (2016)] = Muslim-Jewish Dialogue N2 - Die Rezeption des Propheten Jona im Koran setzt dessen biblischen Narrativ im Wesentlichen voraus und deutet diesen vor allem dort aus, wo man um eine Korrektur seines Prophetenbildes bemüht ist. Im Fokus stehen dabei die Buße, Umkehr und Erlösung Yūnus’ und seines Volkes. Nachkoranische Prophetenerzählungen (qisas alanbiyā’) füllen die narrativen Leerstellen der ‚Jona-Suren‘ wiederum mit erklärendem Erzählmaterial auf und schöpfen dafür auch aus dem umfangreichen Fundus biblischer und rabbinischer Traditionen, die sie sich im äußeren Rahmen der koranischen Yūnus Überlieferung schöpferisch zu eigen machen. So entstehen Erzählkompositionen, die sich als dialogische Auseinandersetzung mit religiösen Themen von gemeinsamer Relevanz lesen lassen. Der Artikel reflektiert gezielt Entwicklung und Verhältnis der Rezeptionen Jonas im Koran sowie in den Prophetenerzählungen von Ibn-Muhammad at-Ta‛labī und Muhammad ibn ‛Abd Allāh al-Kisā’i, in stetiger Auseinandersetzung mit der jüdischen Jona-Tradition. N2 - The reception of the prophet Jonah within the Koran premises the knowledge of its biblical narrative while revising it whenever a correction of its prophet’s image is intended. The focus thereby is on the atonement, repentance and redemption of Yūnus and his people. Post-Koranic tales of the prophets (qisas al-anbiyā’ ) again fill up the narrative vacancies of the ‘Jonah-suras’ with explanatory narrative material, taken as well from the wide-ranging stock of Biblical and Rabbinical heritage, appropriated creatively within the outer framework of the Koranic Yūnus-tradition. That way narrative compositions are developed that are readable as dialogical arguments on religious topics of shared relevance. This article reflects purposefully on the development and relation of the reception of Jonah within the Koran and the tales of the prophets by Ibn-Muhammad at-Ta‛labī and Muhammad ibn ‛Abd Allāh al-Kisā’i, constantly analyzing the impact of the Jewish Jonah-tradition. Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-99601 SN - 978-3-86956-370-1 SN - 1614-6492 SN - 1862-7684 VL - 22 SP - 31 EP - 48 PB - Universitätsverlag Potsdam CY - Potsdam ER - TY - JOUR A1 - Scherer, Cedric A1 - Jeltsch, Florian A1 - Grimm, Volker A1 - Blaum, Niels T1 - Merging trait-based and individual-based modelling: An animal functional type approach to explore the responses of birds to climatic and land use changes in semi-arid African savannas JF - Ecological modelling : international journal on ecological modelling and engineering and systems ecolog N2 - Climate change and land use management practices are major drivers of biodiversity in terrestrial ecosystems. To understand and predict resulting changes in community structures, individual-based and spatially explicit population models are a useful tool but require detailed data sets for each species. More generic approaches are thus needed. Here we present a trait-based functional type approach to model savanna birds. The aim of our model is to explore the response of different bird functional types to modifications in habitat structure. The functional types are characterized by different traits, in particular body mass, which is related to life-history traits (reproduction and mortality) and spatial scales (home range area and dispersal ability), as well as the use of vegetation structures for foraging and nesting, which is related to habitat quality and suitability. We tested the performance of the functional types in artificial landscapes varying in shrub:grass ratio and clumping intensity of shrub patches. We found that an increase in shrub encroachment and a decrease in habitat quality caused by land use mismanagement and climate change endangered all simulated bird functional types. The strength of this effect was related to the preferred habitat. Furthermore, larger-bodied insectivores and omnivores were more prone to extinction due to shrub encroachment compared to small-bodied species. Insectivorous and omnivorous birds were more sensitive to clumping intensity of shrubs whereas herbivorous and carnivorous birds were most affected by a decreasing amount of grass cover. From an applied point of view, our findings emphasize that policies such as woody plant removal and a reduction in livestock stocking rates to prevent shrub encroachment should prioritize the enlargement of existing grassland patches. Overall, our results show that the combination of an individual-based modelling approach with carefully defined functional types can provide a powerful tool for exploring biodiversity responses to environmental changes. Furthermore, the increasing accumulation of worldwide data sets on species’ core and soft traits (surrogates to determine core traits indirectly) on one side and the refinement of conceptual frameworks for animal functional types on the other side will further improve functional type approaches which consider the sensitivities of multiple species to climate change, habitat loss, and fragmentation. KW - IBM KW - Functional types KW - Trait-based approach KW - Shrub encroachment KW - Birds Y1 - 2016 U6 - https://doi.org/10.1016/j.ecolmodel.2015.07.005 SN - 0304-3800 SN - 1872-7026 VL - 326 SP - 75 EP - 89 PB - Elsevier CY - Amsterdam ER - TY - JOUR A1 - Cassel, Michael A1 - Carlsohn, Anja A1 - Fröhlich, Katja A1 - John, Mareike A1 - Riegels, N. A1 - Mayer, Frank T1 - Tendon Adaptation to Sport-specific Loading in Adolescent Athletes JF - International journal of sports medicine N2 - Tendon adaptation due to mechanical loading is controversially discussed. However, data concerning the development of tendon thickness in adolescent athletes is sparse. The purpose of this study was to examine possible differences in Achilles (AT) and patellar tendon (PT) thickness in adolescent athletes while considering age, gender and sport-specific loading. In 500 adolescent competitive athletes of 16 different sports and 40 recreational controls both ATs and PTs were sonographically measured. Subjects were divided into 2 age groups (< 13; ≥ 13 years) and 6 sport type categories (ball, combat, and water sports, combined disciplines, cycling, controls). In addition, 3 risk groups (low, moderate, high) were created according to the athlete’s risk of developing tendinopathy. AT and PT thickness did not significantly differ between age groups (AT/PT:<13: 5.4±0.7 mm/3.6±0.5 mm;≥13: 5.3±0.7 mm/3.6±0.5 mm). In both age groups males presented higher tendon thickness than females (p<0.001). AT thickness was highest in ball sports/cyclists and lowest in controls (p≤0.002). PT thickness was greatest in water sports and lowest in controls (p=0.02). High risk athletes presented slightly higher AT thickness compared to the low risk group (p=0.03). Increased AT and PT thickness in certain sport types compared to controls supports the hypothesis of structural tendon adaptation due to sport-specific loading. KW - achilles and patellar tendon KW - training adaptation KW - tendon thickness KW - standard values KW - sonography Y1 - 2016 U6 - https://doi.org/10.1055/s-0035-1559772 SN - 0172-4622 SN - 1439-3964 VL - 37 SP - 159 EP - 164 PB - Thieme CY - Stuttgart ER - TY - GEN A1 - Martinez-Valdes, Eduardo A1 - Negro, Francesco A1 - Laine, Christopher M. A1 - Falla, Deborah L. A1 - Mayer, Frank A1 - Farina, Dario T1 - Identifying motor units in longitudinal studies with high-density surface electromyography T2 - Converging clinical and engineering research on neurorehabilitation II N2 - We investigated the possibility to identify motor units (MUs) with high-density surface electromyography (HDEMG) over experimental sessions in different days. 10 subjects performed submaximal knee extensions across three sessions in three days separated by one week, while EMG was recorded from the vastus medialis muscle with high-density electrode grids. The shapes of the MU action potentials (MUAPs) over multiple channels extracted from HDEMG decomposition were matched across sessions by cross-correlation. Forty and twenty percent of the MUs decomposed could be tracked across two and three sessions, respectively (average cross correlation 0.85 +/- 0.04). The estimated properties of the matched motor units were similar across the sessions. For example, mean discharge rate and recruitment thresholds were measured with an intra-class correlation coefficient (ICCs) > 0.80. These results strongly suggest that the same MUs were indeed identified across sessions. This possibility will allow monitoring changes in MU properties following interventions or during the progression of neuromuscular disorders. Y1 - 2016 SN - 978-3-319-46669-9 SN - 978-3-319-46668-2 U6 - https://doi.org/10.1007/978-3-319-46669-9_27 SN - 2195-3562 VL - 15 SP - 147 EP - 151 PB - Springer CY - Cham ER - TY - JOUR A1 - Müller, Juliane A1 - Müller, Steffen A1 - Stoll, Josefine A1 - Rector, Michael V. A1 - Baur, Heiner A1 - Mayer, Frank T1 - Influence of Load on Three-Dimensional Segmental Trunk Kinematics in One-Handed Lifting: A Pilot Study JF - Journal of applied biomechanics N2 - Stability of the trunk is relevant in determining trunk response to different loading in everyday tasks initiated by the limbs. Descriptions of the trunk’s mechanical movement patterns in response to different loads while lifting objects are still under debate. Hence, the aim of this study was to analyze the influence of weight on 3-dimensional segmental motion of the trunk during 1-handed lifting. Ten asymptomatic subjects were included (29 ± 3 y; 1.79 ± 0.09 m; 75 ± 14 kg). Subjects lifted 3× a light and heavy load from the ground up onto a table. Three-dimensional segmental trunk motion was measured (12 markers; 3 segments: upper thoracic area [UTA], lower thoracic area [LTA], lumbar area [LA]). Outcomes were total motion amplitudes (ROM;[°]) for anterior flexion, lateral flexion, and rotation of each segment. The highest ROM was observed in the LTA segment (anterior flexion), and the smallest ROM in the UTA segment (lateral flexion). ROM differed for all planes between the 3 segments for both tasks (P < .001). There were no differences in ROM between light and heavy loads (P > .05). No interaction effects (load × segment) were observed, as ROM did not reveal differences between loading tasks. Regardless of weight, the 3 segments did reflect differences, supporting the relevance of multisegmental analysis. KW - trunk motion KW - kinematic trunk model KW - everyday task KW - MiSpEx* Y1 - 2016 U6 - https://doi.org/10.1123/jab.2015-0227 SN - 1065-8483 SN - 1543-2688 VL - 32 SP - 520 EP - 525 PB - Human Kinetics Publ. CY - Champaign ER - TY - JOUR A1 - Eldridge, Tilly A1 - Langowski, Lukasz A1 - Stacey, Nicola A1 - Jantzen, Friederike A1 - Moubayidin, Laila A1 - Sicard, Adrien A1 - Southam, Paul A1 - Kennaway, Richard A1 - Lenhard, Michael A1 - Coen, Enrico S. A1 - Ostergaard, Lars T1 - Fruit shape diversity in the Brassicaceae is generated by varying patterns of anisotropy JF - Development : Company of Biologists N2 - Fruits exhibit a vast array of different 3D shapes, from simple spheres and cylinders to more complex curved forms; however, the mechanism by which growth is oriented and coordinated to generate this diversity of forms is unclear. Here, we compare the growth patterns and orientations for two very different fruit shapes in the Brassicaceae: the heart-shaped Capsella rubella silicle and the near-cylindrical Arabidopsis thaliana silique. We show, through a combination of clonal and morphological analyses, that the different shapes involve different patterns of anisotropic growth during three phases. These experimental data can be accounted for by a tissue level model in which specified growth rates vary in space and time and are oriented by a proximodistal polarity field. The resulting tissue conflicts lead to deformation of the tissue as it grows. The model allows us to identify tissue-specific and temporally specific activities required to obtain the individual shapes. One such activity may be provided by the valve-identity gene FRUITFULL, which we show through comparative mutant analysis to modulate fruit shape during post-fertilisation growth of both species. Simple modulations of the model presented here can also broadly account for the variety of shapes in other Brassicaceae species, thus providing a simplified framework for fruit development and shape diversity. KW - Brassicaceae KW - Capsella KW - Arabidopsis KW - Fruit shape KW - Modelling KW - Anisotropic growth Y1 - 2016 U6 - https://doi.org/10.1242/dev.135327 SN - 0950-1991 SN - 1477-9129 VL - 143 SP - 3394 EP - 3406 PB - Company of Biologists Limited CY - Cambridge ER - TY - JOUR A1 - Cuong Nguyen Huu, A1 - Kappel, Christian A1 - Keller, Barbara A1 - Sicard, Adrien A1 - Takebayashi, Yumiko A1 - Breuninger, Holger A1 - Nowak, Michael D. A1 - Bäurle, Isabel A1 - Himmelbach, Axel A1 - Burkart, Michael A1 - Ebbing-Lohaus, Thomas A1 - Sakakibara, Hitoshi A1 - Altschmied, Lothar A1 - Conti, Elena A1 - Lenhard, Michael T1 - Presence versus absence of CYP734A50 underlies the style-length dimorphism in primroses JF - eLife N2 - Heterostyly is a wide-spread floral adaptation to promote outbreeding, yet its genetic basis and evolutionary origin remain poorly understood. In Primula (primroses), heterostyly is controlled by the S-locus supergene that determines the reciprocal arrangement of reproductive organs and incompatibility between the two morphs. However, the identities of the component genes remain unknown. Here, we identify the Primula CYP734A50 gene, encoding a putative brassinosteroid-degrading enzyme, as the G locus that determines the style-length dimorphism. CYP734A50 is only present on the short-styled S-morph haplotype, it is specifically expressed in S-morph styles, and its loss or inactivation leads to long styles. The gene arose by a duplication specific to the Primulaceae lineage and shows an accelerated rate of molecular evolution. Thus, our results provide a mechanistic explanation for the Primula style-length dimorphism and begin to shed light on the evolution of the S-locus as a prime model for a complex plant supergene. Y1 - 2016 U6 - https://doi.org/10.7554/eLife.17956 SN - 2050-084X VL - 5 PB - eLife Sciences Publications CY - Cambridge ER - TY - GEN A1 - Hohenstein, Sven A1 - Matuschek, Hannes A1 - Kliegl, Reinhold T1 - Linked linear mixed models BT - a joint analysis of fixation locations and fixation durations in natural reading T2 - Postprints der Universität Potsdam Humanwissenschaftliche Reihe N2 - The complexity of eye-movement control during reading allows measurement of many dependent variables, the most prominent ones being fixation durations and their locations in words. In current practice, either variable may serve as dependent variable or covariate for the other in linear mixed models (LMMs) featuring also psycholinguistic covariates of word recognition and sentence comprehension. Rather than analyzing fixation location and duration with separate LMMs, we propose linking the two according to their sequential dependency. Specifically, we include predicted fixation location (estimated in the first LMM from psycholinguistic covariates) and its associated residual fixation location as covariates in the second, fixation-duration LMM. This linked LMM affords a distinction between direct and indirect effects (mediated through fixation location) of psycholinguistic covariates on fixation durations. Results confirm the robustness of distributed processing in the perceptual span. They also offer a resolution of the paradox of the inverted optimal viewing position (IOVP) effect (i.e., longer fixation durations in the center than at the beginning and end of words) although the opposite (i.e., an OVP effect) is predicted from default assumptions of psycholinguistic processing efficiency: The IOVP effect in fixation durations is due to the residual fixation-location covariate, presumably driven primarily by saccadic error, and the OVP effect (at least the left part of it) is uncovered with the predicted fixation-location covariate, capturing the indirect effects of psycholinguistic covariates. We expect that linked LMMs will be useful for the analysis of other dynamically related multiple outcomes, a conundrum of most psychonomic research. T3 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe - 552 KW - linear mixed model KW - model linkage KW - eye movements KW - reading Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-428281 SN - 1866-8364 IS - 552 ER - TY - THES A1 - Jöst, Jan Moritz Michael T1 - Broad leaves, narrow leaves or no leaves at all - a genetic and phenotypic dissection of barley leaf size mutants Y1 - 2016 ER - TY - THES A1 - Sas, Claudia T1 - Evolution of the selfing syndrome in the genus capsella BT - an investigation into floral UV absorption and scent emission Y1 - 2016 ER - TY - THES A1 - Haendler, Yair T1 - Effects of embedded pronouns on relative clause processing T1 - Effekte eingebauter Pronomen auf Relativsatzverarbeitung BT - cross-linguistic evidence from children and adults BT - Hinweise zwischensprachlischer Daten von Kindern und Erwachsenen N2 - Difficulties with object relative clauses (ORC), as compared to subject relative clauses (SR), are widely attested across different languages, both in adults and in children. This SR-ORC asymmetry is reduced, or even eliminated, when the embedded constituent in the ORC is a pronoun, rather than a lexical noun phrase. The studies included in this thesis were designed to explore under what circumstances the pronoun facilitation occurs; whether all pronouns have the same effect; whether SRs are also affected by embedded pronouns; whether children perform like adults on such structures; and whether performance is related to cognitive abilities such as memory or grammatical knowledge. Several theoretical approaches that explain the pronoun facilitation in relative clauses are evaluated. The experimental data have been collected in three languages–German, Italian and Hebrew–stemming from both children and adults. In the German study (Chapter 2), ORCs with embedded 1st- or 3rd-person pronouns are compared to ORCs with an embedded lexical noun phrase. Eye-movement data from 5-year-old children show that the 1st-person pronoun facilitates processing, but not the 3rd-person pronoun. Moreover, children’s performance is modulated by additive effects of their memory and grammatical skills. In the Italian study (Chapter 3), the 1st-person pronoun advantage over the 3rd-person pronoun is tested in ORCs and SRs that display a similar word order. Eye-movement data from 5-year-olds and adult controls and reading times data from adults are pitted against the outcome of a corpus analysis, showing that the 1st-/3rd-person pronoun asymmetry emerges in the two relative clause types to an equal extent. In the Hebrew study (Chapter 4), the goal is to test the effect of a special kind of pronoun–a non-referential arbitrary subject pronoun–on ORC comprehension, in the light of potential confounds in previous studies that used this pronoun. Data from a referent-identification task with 4- to 5-year-olds indicate that, when the experimental material is controlled, the non-referential pronoun does not necessarily facilitate ORC comprehension. Importantly, however, children have even more difficulties when the embedded constituent is a referential pronoun. The non-referentiality / referentiality asymmetry is emphasized by the relation between children’s performance on the experimental task and their memory skills. Together, the data presented in this thesis indicate that sentence processing is not only driven by structural (or syntactic) factors, but also by discourse-related ones, like pronouns’ referential properties or their discourse accessibility mechanism, which is defined as the level of ease or difficulty with which referents of pronouns are identified and retrieved from the discourse model. Although independent in essence, these structural and discourse factors can in some cases interact in a way that affects sentence processing. Moreover, both types of factors appear to be strongly related to memory. The data also support the idea that, from early on, children are sensitive to the same factors that affect adults’ sentence processing, and that the processing strategies of both populations are qualitatively similar. In sum, this thesis suggests that a comprehensive theory of human sentence processing needs to account for effects that are due to both structural and discourse-related factors, which operate as a function of memory capacity. N2 - Zahlreiche Studien haben gefunden, dass sowohl Erwachsene als auch Kinder über Sprachen hinweg größere Schwierigkeiten mit Objektrelativsätzen (ORS) als mit Subjektrelativsätzen (SRS) haben. Diese SRS-ORS-Asymmetrie wird reduziert oder sogar ausgelöscht, wenn das eingebaute Subjekt im ORS keine lexikalische Nominalphrase, sondern ein Pronomen ist. Die Experimente in dieser Dissertation erforschen unter welchen Umständen die Begünstigung des Pronomens geschieht; ob alle Pronomen denselben Effekt haben; ob SRS ebenso von eingebauten Pronomen beeinflusst werden; ob Erwachsene und Kinder in Bezug auf diese Strukturen eine ähnlich Leistung zeigen; und ob die Leistung von Versuchspersonen eine Verbindung mit kognitiven Fähigkeiten hat, wie zum Beispiel mit dem Arbeitsgedächtnis oder mit grammatikalischer Kenntnis. Verschiedene theoretische Rahmen, die die Pronomenvereinfachung in Relativsätzen erklären, werden evaluiert. Die Daten wurden in drei Sprachen–Deutsch, Italienisch und Hebräisch–mit Kindern und Erwachsenen erhoben. In der Studie auf Deutsch (Kapitel 2) werden ORS mit einem eingebauten Pronomen der ersten oder der dritten Person mit ORS verglichen, die eine eingebaute lexikalische Nominalphrase haben. Blickbewegungsdaten von 5-jährigen Kindern zeigen, dass das Pronomen der ersten Person die Satzverarbeitung vereinfacht, nicht jedoch das Pronomen der dritten Person. Die Performance von Kindern wird durch zusätzliche Effekte wie Gedächtnis und grammatikalische Fähigkeiten beeinflusst. In der Studie auf Italienisch (Kapitel 3) wird der Vereinfachungsvorteil des Pronomens der ersten Person, im Vergleich mit dem der dritten Person, in ORS und SRS, die eine ähnliche Wortstellung haben, untersucht. Blickbewegungsdaten von 5-jährigen Kindern und von einer Kontrollgruppe von Erwachsenen sowie Lesezeiten von Erwachsenen, werden mit dem Ergebnis einer Korpusanalyse verglichen. Sie zeigen denselben asymmetrischen Effekt der zwei Pronomen in beiden Relativsatztypen. In der Studie auf Hebräisch (Kapitel 4) war das Ziel, den Effekt eines besonderen Pronomens, nämlich eines nicht-referentiellen beliebigen Subjektspronomens, auf das Verständnis von ORS zu untersuchen, anhand methodischer Problematiken in vergangenen Studien, die dieses Pronomen verwendet haben. Daten von 4- und 5-jährigen Kindern, die eine Referentenerkennungsaufgabe gemacht haben, zeigen, dass mit kontrolliertem Versuchsmaterial das nicht-referentielle Pronomen nicht unbedingt das Verständnis von ORS erleichtert. Jedoch hatten die Kinder aber noch mehr Schwierigkeiten, wenn das eingebaute Pronomen ein referentielles Pronomen war. Die Asymmetrie zwischen nicht-referentiellen und referentiellen Pronomen wird durch die Verbindung zwischen der Performance in der experimentellen Aufgabe und den Gedächtnisfähigkeiten der Kinder hervorgehoben. In ihrer Gesamtheit zeigen die in dieser Arbeit präsentierten Daten, dass Sprachverarbeitung nicht nur durch strukturelle (oder syntaktische) Faktoren beeinträchtigt wird, sondern auch durch Diskurs-gebundene Faktoren, wie die referentiellen Eigenschaften von Pronomen oder den Mechanismus von Diskurszugänglichkeit (discourse accessibility). Diese wird definiert als das Leichtigkeits- oder Schwierigkeitslevel mit dem Referenten von Pronomen im Diskursmodell erkannt und abgerufen werden. Diese strukturellen und diskursgebundenen Faktoren, obwohl sie im Wesentlichen unabhängig voneinander sind, können in manchen Fällen aufeinander einwirken und zusammen die Sprachverarbeitung beeinträchtigen. Darüber hinaus scheinen beide Faktoren eine Verbindung mit dem Gedächtnis zu haben. Die Daten unterstützen auch die Idee, dass Kinder von früh an auf dieselben Faktoren empfindlich reagieren, die die Sprachverarbeitung von Erwachsenen bestimmen und dass die Sprachverarbeitungsstrategien von beiden Altersgruppen qualitativ ähnlich sind. Zusammengefasst weist diese Dissertation darauf hin, dass eine umfassende Theorie der menschlichen Sprachverarbeitung in der Lage sein sollte, Effekte zu erklären, die sowohl durch Satzstruktur als auch durch Diskurs bedingt werden und die in Abhängigkeit von Gedächtnisfähigkeit funktionieren. KW - relative clauses KW - pronouns KW - discourse KW - sentence processing KW - eye-tracking KW - language development KW - Relativsätze KW - Pronomen KW - Diskurs KW - Sprachverarbeitung KW - Blickbewegungen KW - Sprachentwicklung Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-396883 ER - TY - GEN A1 - Beurskens, Rainer A1 - Haeger, Matthias A1 - Kliegl, Reinhold A1 - Roecker, Kai A1 - Granacher, Urs T1 - Postural Control in Dual-Task Situations BT - Does Whole-Body Fatigue Matter? N2 - Postural control is important to cope with demands of everyday life. It has been shown that both attentional demand (i.e., cognitive processing) and fatigue affect postural control in young adults. However, their combined effect is still unresolved. Therefore, we investigated the effects of fatigue on single- (ST) and dual-task (DT) postural control. Twenty young subjects (age: 23.7 ± 2.7) performed an all-out incremental treadmill protocol. After each completed stage, one-legged-stance performance on a force platform under ST (i.e., one-legged-stance only) and DT conditions (i.e., one-legged-stance while subtracting serial 3s) was registered. On a second test day, subjects conducted the same balance tasks for the control condition (i.e., non-fatigued). Results showed that heart rate, lactate, and ventilation increased following fatigue (all p < 0.001; d = 4.2–21). Postural sway and sway velocity increased during DT compared to ST (all p < 0.001; d = 1.9–2.0) and fatigued compared to non-fatigued condition (all p < 0.001; d = 3.3–4.2). In addition, postural control deteriorated with each completed stage during the treadmill protocol (all p < 0.01; d = 1.9–3.3). The addition of an attention-demanding interference task did not further impede one-legged-stance performance. Although both additional attentional demand and physical fatigue affected postural control in healthy young adults, there was no evidence for an overadditive effect (i.e., fatigue-related performance decrements in postural control were similar under ST and DT conditions). Thus, attentional resources were sufficient to cope with the DT situations in the fatigue condition of this experiment. T3 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe - 303 Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-96638 SP - 1 EP - 15 ER - TY - THES A1 - Engelmann, Felix T1 - Toward an integrated model of sentence processing in reading T1 - Grundlage eines integrierten Modells der Satzverarbeitung beim Lesen N2 - In experiments investigating sentence processing, eye movement measures such as fixation durations and regression proportions while reading are commonly used to draw conclusions about processing difficulties. However, these measures are the result of an interaction of multiple cognitive levels and processing strategies and thus are only indirect indicators of processing difficulty. In order to properly interpret an eye movement response, one has to understand the underlying principles of adaptive processing such as trade-off mechanisms between reading speed and depth of comprehension that interact with task demands and individual differences. Therefore, it is necessary to establish explicit models of the respective mechanisms as well as their causal relationship with observable behavior. There are models of lexical processing and eye movement control on the one side and models on sentence parsing and memory processes on the other. However, no model so far combines both sides with explicitly defined linking assumptions. In this thesis, a model is developed that integrates oculomotor control with a parsing mechanism and a theory of cue-based memory retrieval. On the basis of previous empirical findings and independently motivated principles, adaptive, resource-preserving mechanisms of underspecification are proposed both on the level of memory access and on the level of syntactic parsing. The thesis first investigates the model of cue-based retrieval in sentence comprehension of Lewis & Vasishth (2005) with a comprehensive literature review and computational modeling of retrieval interference in dependency processing. The results reveal a great variability in the data that is not explained by the theory. Therefore, two principles, 'distractor prominence' and 'cue confusion', are proposed as an extension to the theory, thus providing a more adequate description of systematic variance in empirical results as a consequence of experimental design, linguistic environment, and individual differences. In the remainder of the thesis, four interfaces between parsing and eye movement control are defined: Time Out, Reanalysis, Underspecification, and Subvocalization. By comparing computationally derived predictions with experimental results from the literature, it is investigated to what extent these four interfaces constitute an appropriate elementary set of assumptions for explaining specific eye movement patterns during sentence processing. Through simulations, it is shown how this system of in itself simple assumptions results in predictions of complex, adaptive behavior. In conclusion, it is argued that, on all levels, the sentence comprehension mechanism seeks a balance between necessary processing effort and reading speed on the basis of experience, task demands, and resource limitations. Theories of linguistic processing therefore need to be explicitly defined and implemented, in particular with respect to linking assumptions between observable behavior and underlying cognitive processes. The comprehensive model developed here integrates multiple levels of sentence processing that hitherto have only been studied in isolation. The model is made publicly available as an expandable framework for future studies of the interactions between parsing, memory access, and eye movement control. N2 - In experimentellen Studien zur Satzverarbeitung werden für gewöhnlich Blickbewegungsmaße wie Fixationsdauern oder Regressionshäufigkeiten beim Lesen herangezogen, um auf Verarbeitungsschwierigkeiten zu schließen. Jedoch resultieren diese Signale aus der Interaktion mehrerer kognitiver Ebenen und Verarbeitungsstrategien und sind daher nur indirekte Indikatoren von Verarbeitungsschwierigkeit. Um ein Blickbewegungssignal richtig zu interpretieren, müssen die zugrundeliegenden Prinzipien adaptiver Verarbeitungsprozesse verstanden werden, wie zum Beispiel Ausgleichmechanismen zwischen Lesegeschwindigkeit und Verarbeitungstiefe, welche mit der gegenwärtigen Verarbeitungsanforderung und individuellen Unterschieden interagieren. Es ist daher notwendig, explizite Modelle dieser Mechanismen und ihrer kausalen Beziehung zu behavioralen Signalen wie Blickbewegungen zu etablieren. Es existieren Modelle der lexikalischen Verarbeitung und Blicksteuerung auf der einen Seite und Modelle der Satzverarbeitung und Gedächtnismechanismen auf der anderen. Jedoch existiert noch kein Modell, welches beide Seiten durch explizit formulierte Annahmen verbindet. In der vorliegenden Dissertation wird ein Modell entwickelt, welches Okulomotorik mit Satzverarbeitungsmechanismen und einer Theorie des assoziativen Gedächtniszugriffs integriert. Auf der Grundlage bisheriger empirischer Ergebnisse und unabhängig motivierter Prinzipien werden adaptive ressourcenschonende Mechanismen der Unterspezifikation sowohl auf der Ebene des Gedächtniszugriffs als auch auf der Ebene der syntaktischen Verarbeitung vorgeschlagen. Die Dissertation untersucht zunächst das Modell des assoziativen Gedächtniszugriffs bei der Satzverarbeitung von Lewis & Vasishth (2005) mithilfe eines umfassenden Literaturreviews sowie Computermodellierung von Interferenzeffekten im Gedächtniszugriff während der Verarbeitung syntaktischer Abhängigkeiten. Die Ergebnisse zeigen eine hohe Variabilität der Daten auf, die von der Theorie nicht erklärt werden kann. Daher werden zwei Prinzipien, ‘distractor prominence’ und ‘cue confusion’, als Erweiterung des Modells vorgeschlagen, wodurch eine genauere Vorhersage systematischer Varianz als Folge von Experimentaldesign, linguistischer Umgebung und individuellen Unterschieden erreicht wird. Im verbleibenden Teil der Dissertation werden vier Schnittstellen zwischen linguistischer Verarbeitung und Blicksteuerung definiert: Time Out, Reanalyse, Unterspezifikation und Subvokalisation. Durch Vergleich von computational hergeleiteten Vorhersagen und experimentellen Ergebnissen aus der Literatur wird der Frage nachgegangen, inwieweit diese vier Mechanismen ein angemessenes elementares System von Annahmen darstellen, welches spezifische Blickbewegungsmuster während der Satzverarbeitung erklären kann. Durch Simulationen wird gezeigt, wie dieses System aus für sich genommen simplen Annahmen im Ergebnis komplexes und adaptives Verhalten vorhersagt. In Konklusion wird argumentiert, dass der Satzverarbeitungsapparat auf allen Ebenen eine Balance zwischen notwendigem Verarbeitungsaufwand und Lesegeschwindigkeit auf der Basis von Erfahrung, Anforderung und limitierten Ressourcen anstrebt. Deshalb sollten Theorien der Sprachverarbeitung explizit formuliert und implementiert werden, insbesondere in Bezug auf die kausale Verbindung zwischen experimentell beobachtbarem Verhalten und den zugrundeliegenden kognitiven Prozessen. Das hier entwickelte Modell integriert mehrere Ebenen der Satzverarbeitung, die bisher ausschließlich unabhängig voneinander untersucht wurden. Das Modell steht öffentlich als erweiterungsfähiges Framework für zukünftige Studien der Interaktion zwischen Sprachverarbeitung, Gedächtniszugriff und Blickbewegung zur Verfügung. KW - working memory KW - sentence processing KW - cue confusion KW - cognitive modeling KW - psycholinguistics KW - eye movement control KW - ACT-R KW - cue-based retrieval KW - underspecification KW - dependency resolution KW - Satzverarbeitung KW - Arbeitsgedächtnis KW - Blickbewegungen KW - kognitive Modellierung KW - Lesen KW - reading KW - Unterspezifikation KW - retrieval interference KW - adaptive processing KW - adaptive Verarbeitung Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-100864 ER -