TY - JOUR A1 - Kruse, Stefan A1 - Wieczorek, Mareike A1 - Jeltsch, Florian A1 - Herzschuh, Ulrike T1 - Treeline dynamics in Siberia under changing climates as inferred from an individual-based model for Larix JF - Ecological modelling : international journal on ecological modelling and engineering and systems ecolog KW - Forest change KW - IBM KW - ODD model description KW - Larix gmelinii KW - Permafrost ecosystem KW - Time-lag effects Y1 - 2016 U6 - https://doi.org/10.1016/j.ecolmodel.2016.08.003 SN - 0304-3800 SN - 1872-7026 VL - 338 SP - 101 EP - 121 PB - Elsevier CY - Amsterdam ER - TY - GEN A1 - Adelt, Anne A1 - Hanne, Sandra A1 - Stadie, Nicole T1 - Treatment of sentence comprehension and production in aphasia BT - is there cross-modal generalisation? N2 - Exploring generalisation following treatment of language deficits in aphasia can provide insights into the functional relation of the cognitive processing systems involved. In the present study, we first review treatment outcomes of interventions targeting sentence processing deficits and, second report a treatment study examining the occurrence of practice effects and generalisation in sentence comprehension and production. In order to explore the potential linkage between processing systems involved in comprehending and producing sentences, we investigated whether improvements generalise within (i.e., uni-modal generalisation in comprehension or in production) and/or across modalities (i.e., cross-modal generalisation from comprehension to production or vice versa). Two individuals with aphasia displaying co-occurring deficits in sentence comprehension and production were trained on complex, non-canonical sentences in both modalities. Two evidence-based treatment protocols were applied in a crossover intervention study with sequence of treatment phases being randomly allocated. Both participants benefited significantly from treatment, leading to uni-modal generalisation in both comprehension and production. However, cross-modal generalisation did not occur. The magnitude of uni-modal generalisation in sentence production was related to participants’ sentence comprehension performance prior to treatment. These findings support the assumption of modality-specific sub-systems for sentence comprehension and production, being linked uni-directionally from comprehension to production. T3 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe - 300 KW - sentence comprehension KW - sentence production KW - cross-modal generalisation KW - aphasia treatment Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-96365 ER - TY - JOUR A1 - Adelt, Anne A1 - Hanne, Sandra A1 - Stadie, Nicole T1 - Treatment of sentence comprehension and production in aphasia BT - is there cross-modal generalisation? JF - Neuropsychological rehabilitation N2 - Exploring generalisation following treatment of language deficits in aphasia can provide insights into the functional relation of the cognitive processing systems involved. In the present study, we first review treatment outcomes of interventions targeting sentence processing deficits and, second report a treatment study examining the occurrence of practice effects and generalisation in sentence comprehension and production. In order to explore the potential linkage between processing systems involved in comprehending and producing sentences, we investigated whether improvements generalise within (i.e., uni-modal generalisation in comprehension or in production) and/or across modalities (i.e., cross-modal generalisation from comprehension to production or vice versa). Two individuals with aphasia displaying co-occurring deficits in sentence comprehension and production were trained on complex, non-canonical sentences in both modalities. Two evidence-based treatment protocols were applied in a crossover intervention study with sequence of treatment phases being randomly allocated. Both participants benefited significantly from treatment, leading to uni-modal generalisation in both comprehension and production. However, cross-modal generalisation did not occur. The magnitude of uni-modal generalisation in sentence production was related to participants’ sentence comprehension performance prior to treatment. These findings support the assumption of modality-specific sub-systems for sentence comprehension and production, being linked uni-directionally from comprehension to production. KW - Sentence comprehension KW - sentence production KW - cross-modal generalisation KW - aphasia treatment Y1 - 2016 U6 - https://doi.org/10.1080/09602011.2016.1213176 SN - 0960-2011 SN - 1464-0694 VL - 28 IS - 6 SP - 937 EP - 965 PB - Routledge, Taylor & Francis Group CY - Abingdon ER - TY - JOUR A1 - Konrad, Marcel A1 - Jacob, Louis A1 - Rapp, Michael A. A1 - Kostev, Karel T1 - Treatment of depression in patients with cardiovascular diseases by German psychiatrists JF - International journal of clinical pharmacology and therapeutics N2 - Objective: To estimate the prevalence and the type of antidepressant medication prescribed by German psychiatrists to patients with depression and cardiovascular diseases (CVD). Methods: This study was a retrospective database analysis in Germany using the Disease Analyzer Database (IMS Health, Germany). The study population included 2,288 CVD patients between 40 and 90 years of age from 175 psychiatric practices. The observation period was between 2004 and 2013. Follow-up lasted up to 12 months and ended in April 2015. Also included were 2,288 non-CVD controls matched (1 : 1) to CVD cases on the basis of age, gender, health insurance coverage, depression severity, and diagnosing physician. Results: Mean age was 68.6 years. 46.2% of patients were men, and 5.9% had private health insurance coverage. Mild, moderate, or severe depression was present in 18.7%, 60.7%, and 20.6% of patients, respectively. Most patients had treatment within a year, many of them immediately after depression diagnosis. Patients with moderate and severe depression were more likely to receive treatment than patients with mild depression. There was no difference between CVD and non-CVD in the proportion of patients treated. Nonetheless, CVD patients received selective serotonin reuptake inhibitors / serotonin-noradrenaline reuptake inhibitors (SSRIs/SNRIs) significantly more frequently. Conversely, patients without CVD were more often treated with TCA. Conclusion: There was no association between CVD and the initiation of depression treatment. Furthermore, CVD patients received SSRIs/SNRIs more frequently. KW - depression KW - cardiovascular diseases KW - antidepressant therapy KW - psychiatric practices Y1 - 2016 U6 - https://doi.org/10.5414/CP202591 SN - 0946-1965 VL - 54 SP - 557 EP - 563 PB - Dustri-Verlag Dr. Karl Feistle CY - Deisenhofen-München ER - TY - INPR A1 - Gairing, Jan A1 - Högele, Michael A1 - Kosenkova, Tetiana T1 - Transportation distances and noise sensitivity of multiplicative Lévy SDE with applications N2 - This article assesses the distance between the laws of stochastic differential equations with multiplicative Lévy noise on path space in terms of their characteristics. The notion of transportation distance on the set of Lévy kernels introduced by Kosenkova and Kulik yields a natural and statistically tractable upper bound on the noise sensitivity. This extends recent results for the additive case in terms of coupling distances to the multiplicative case. The strength of this notion is shown in a statistical implementation for simulations and the example of a benchmark time series in paleoclimate. T3 - Preprints des Instituts für Mathematik der Universität Potsdam - 5 (2016) 2 KW - stochastic differential equations KW - multiplicative Lévy noise KW - Lévy type processes KW - heavy-tailed distributions KW - model selection KW - Wasserstein distance KW - time series Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-86693 SN - 2193-6943 VL - 5 IS - 2 PB - Universitätsverlag Potsdam CY - Potsdam ER - TY - JOUR A1 - Brose, Robert A1 - Telezhinsky, Igor O. A1 - Pohl, Martin T1 - Transport of magnetic turbulence in supernova remnants JF - Physical review letters N2 - Context. Supernova remnants are known as sources of Galactic cosmic rays for their nonthermal emission of radio waves, X-rays, and gamma rays. However, the observed soft broken power-law spectra are hard to reproduce within standard acceleration theory based on the assumption of Bohm diffusion and steady-state calculations. Aims. We point out that a time-dependent treatment of the acceleration process together with a self-consistent treatment of the scattering turbulence amplification is necessary. Methods. We numerically solve the coupled system of transport equations for cosmic rays and isotropic Alfvenic turbulence. The equations are coupled through the growth rate of turbulence determined by the cosmic-ray gradient and the spatial diffusion coefficient of cosmic rays determined by the energy density of the turbulence. The system is solved on a comoving expanding grid extending upstream for dozens of shock radii, allowing for the self-consistent study of cosmic-ray diffusion in the vicinity of their acceleration site. The transport equation for cosmic rays is solved in a test-particle approach. Results. We demonstrate that the system is typically not in a steady state. In fact, even after several thousand years of evolution, no equilibrium situation is reached. The resulting time-dependent particle spectra strongly differ from those derived assuming a steady state and Bohm diffusion. Our results indicate that proper accounting for the evolution of the scattering turbulence and hence the particle diffusion coefficient is crucial for the formation of the observed soft spectra. In any case, the need to continuously develop magnetic turbulence upstream of the shock introduces nonlinearity in addition to that imposed by cosmic-ray feedback. KW - ISM: supernova remnants KW - acceleration of particles KW - turbulence Y1 - 2016 U6 - https://doi.org/10.1051/0004-6361/201527345 SN - 1432-0746 VL - 593 PB - EDP Sciences CY - Les Ulis ER - TY - JOUR A1 - Terhalle, Maximilian T1 - Transnational Actors and Great Powers during Order Transition JF - International studies perspectives N2 - This article rests on the assumption of the “complexity, messiness, power relations, and contested character of the contemporary dualistic system,” which comprises great powers and “superimposed, functionally differentiated global subsystems of world society” (Cohen 2012:5). The article argues that this framework is being shaped by the current transition of global order. In turn, this raises the question how the state-led negotiation of today's order transition can be understood against the backdrop of a post-Westphalian environment. The article challenges the widespread argument pertaining to the “autonomy of transnational actors” by suggesting that the influence of nonstate actors is dependent on a particular institutional context in which the key political questions framing a social order are settled. Whereas research on international institutions and their design simply assumes that this is the case, here it is argued that unless these framing patterns are agreed upon by major powers, the respective order and its elements, that is, institutions and regimes, remain contested or deadlocked. When this happens, the political impact of non-state actors is largely neutralized or strongly weakened and their effective autonomy from great powers is minimized. KW - transnational actors KW - great powers KW - order transition KW - unqual power Y1 - 2016 U6 - https://doi.org/10.1111/insp.12077 SN - 1528-3577 SN - 1528-3585 VL - 17 SP - 287 EP - 306 PB - Oxford Univ. Press CY - Oxford ER - TY - BOOK A1 - Schreiber, Robin A1 - Krahn, Robert A1 - Ingalls, Daniel H. H. A1 - Hirschfeld, Robert T1 - Transmorphic T1 - Transmorphic BT - mapping direct manipulation to source code transformations BT - Abbilden von direkter Manipulation zu Transformationen im Programmtext N2 - Defining Graphical User Interfaces (GUIs) through functional abstractions can reduce the complexity that arises from mutable abstractions. Recent examples, such as Facebook's React GUI framework have shown, how modelling the view as a functional projection from the application state to a visual representation can reduce the number of interacting objects and thus help to improve the reliabiliy of the system. This however comes at the price of a more rigid, functional framework where programmers are forced to express visual entities with functional abstractions, detached from the way one intuitively thinks about the physical world. In contrast to that, the GUI Framework Morphic allows interactions in the graphical domain, such as grabbing, dragging or resizing of elements to evolve an application at runtime, providing liveness and directness in the development workflow. Modelling each visual entity through mutable abstractions however makes it difficult to ensure correctness when GUIs start to grow more complex. Furthermore, by evolving morphs at runtime through direct manipulation we diverge more and more from the symbolic description that corresponds to the morph. Given that both of these approaches have their merits and problems, is there a way to combine them in a meaningful way that preserves their respective benefits? As a solution for this problem, we propose to lift Morphic's concept of direct manipulation from the mutation of state to the transformation of source code. In particular, we will explore the design, implementation and integration of a bidirectional mapping between the graphical representation and a functional and declarative symbolic description of a graphical user interface within a self hosted development environment. We will present Transmorphic, a functional take on the Morphic GUI Framework, where the visual and structural properties of morphs are defined in a purely functional, declarative fashion. In Transmorphic, the developer is able to assemble different morphs at runtime through direct manipulation which is automatically translated into changes in the code of the application. In this way, the comprehensiveness and predictability of direct manipulation can be used in the context of a purely functional GUI, while the effects of the manipulation are reflected in a medium that is always in reach for the programmer and can even be used to incorporate the source transformations into the source files of the application. N2 - Das Definieren von graphischen Benutzeroberflächen mittels funktionaler Abstraktionen, kann die Komplexität der Verwaltung des Zustandes der Anwendung erheblich reduzieren. Aktuelle Beispiele, wie Facebook's Framework *React*, zeigen auf, wie das modellieren der visuellen Schnittstelle als eine funktionale Projektion vom Zustand der Anwendung zur graphischen Repräsentation, die Anzahl der agierenden Objekte erheblich reduzieren und so die Verlässlichkeit des Systems erhöhen kann. Der Preis für die so erreichte Stabilität, ist eine relativ statische graphische Repräsentation, die sich zur Laufzeit nicht dynamisch anpassen lässt und in der jede visuelle Entität nur mittles funktionaler Abstraktionen beschrieben werden kann, was nicht unserem intuitiven Verständnis der Welt entspricht. Im Gegensatz dazu, erlaubt das Rahmenwerk Morphic mittles Interaktionen wie Ziehen, Greifen oder Skalieren von visuellen Elementen, die grahische Darstellung der Anwendung zur Laufzeit in einer unmittelbaren ("live") und direkten Art und Weise weiter zu entwickeln. Um diese Flexibilität zu erreichen, modelliert Morphic allerdings jedes graphische Objekt mittels veränderlichem Zustand, was das Garantieren der Fehlerfreiheit von graphischen Oberfläche, insbesondere bei sehr komplexen Schnittstellen, deutlich erschwehrt. Hinzu kommt, dass die dynamischen Anpassungen zur Laufzeit dazu führen, dass sich die Oberfläche mehr und mehr von ihrer ursprünglichen symbolischen Definition entfernt, da Morphic von selbst die Änderungen in der Laufzeit nicht im Quellcode reflektieren kann. Die Frage ist also ob es eine Kombination beider Ansätze gibt, welche es vermag die Vorteile zu erhalten und Nachteile wenn möglich auszugleichen. Als Lösung für dieses Problem schlagen wir vor das Konzept der direkten Manipulation aus Morphic auf Transformationen im Quellcode zu übertragen. Hierfür werden wir das Design, die Implementierung und Integration einer bidirektionalen Abbildung zwischen graphischer Darstellung und einer funktionalen, deklarativen symbolischen Beschreibung in einer selbsterhaltenden Entwicklungsumgebung erörtern. Wir werden Transmorphic vorstellen, eine funktionale Variante des Morphic Frameworks, in der visuelle und strukturelle Eigenschaften in einer strikt funktionalen und daher deklarativen Art und Weise definiert werden. Innerhalb von Transmorphic hat der Entwickler die Möglichkeit verschieden Morphs zur Laufzeit mittels direkter Manipulation zusammenzusetzen, was direkt zu Änderungen im Quellcode der Anwendung übersetzt wird. Auf diese Weise kann die verständliche und nachvollziehbare direkte Interaktion aus Morphic, im Kontext einer vollständig funktional beschriebenen graphischen Benutzeroberfläche verwendet werden. T3 - Technische Berichte des Hasso-Plattner-Instituts für Digital Engineering an der Universität Potsdam - 110 KW - functional programming KW - morphic KW - functional lenses KW - direct manipulation KW - synchronization KW - FRP KW - reactive KW - immutable values KW - live programming KW - funktionale Programmierung KW - Morphic KW - Functional Lenses KW - direkte Manipulation KW - Synchronisation KW - FRP KW - reaktive Programmierung KW - Unveränderlichkeit KW - Live-Programmierung Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-98300 SN - 978-3-86956-387-9 SN - 1613-5652 SN - 2191-1665 IS - 110 PB - Universitätsverlag Potsdam CY - Potsdam ER - TY - JOUR A1 - Peitsch, Helmut A1 - Wiemann, Dirk T1 - Transformation of Culture: From Anti-Fascism to Anti-Totalitarianism JF - Comparative critical studies : the journal of the British Comparative Literature Association Y1 - 2016 U6 - https://doi.org/10.3366/ccs.2016.0198 SN - 1744-1854 SN - 1750-0109 VL - 13 SP - 173 EP - 192 PB - Edinburgh University Press CY - Edinburgh ER - TY - JOUR A1 - Allu, Annapurna Devi A1 - Brotman, Yariv A1 - Xue, Gang-Ping A1 - Balazadeh, Salma T1 - Transcription factor ANAC032 modulates JA/SA signalling in response to Pseudomonas syringae infection JF - EMBO reports N2 - Responses to pathogens, including host transcriptional reprogramming, require partially antagonistic signalling pathways dependent on the phytohormones salicylic (SA) and jasmonic (JA) acids. However, upstream factors modulating the interplay of these pathways are not well characterized. Here, we identify the transcription factor ANAC032 from Arabidopsis thaliana as one such regulator in response to the bacterial pathogen Pseudomonas syringae pv. tomato DC3000 (Pst). ANAC032 directly represses MYC2 activation upon Pst attack, resulting in blockage of coronatine-mediated stomatal reopening which restricts entry of bacteria into plant tissue. Furthermore, ANAC032 activates SA signalling by repressing NIMIN1, a key negative regulator of SA-dependent defence. Finally, ANAC032 reduces expression of JA-responsive genes, including PDF1.2A. Thus, ANAC032 enhances resistance to Pst by generating an orchestrated transcriptional output towards key SA- and JA-signalling genes coordinated through direct binding of ANAC032 to the MYC2, NIMIN1 and PDF1.2A promoters. KW - Arabidopsis KW - jasmonic acid KW - pathogens KW - salicylic acid KW - transcription factor Y1 - 2016 U6 - https://doi.org/10.15252/embr.201642197 SN - 1469-221X SN - 1469-3178 VL - 17 SP - 1578 EP - 1589 PB - Wiley-Blackwell CY - Hoboken ER - TY - JOUR A1 - Klauschies, Toni A1 - Vasseur, David A. A1 - Gaedke, Ursula T1 - Trait adaptation promotes species coexistence in diverse predator and prey communities JF - Ecology and evolution N2 - Species can adjust their traits in response to selection which may strongly influence species coexistence. Nevertheless, current theory mainly assumes distinct and time-invariant trait values. We examined the combined effects of the range and the speed of trait adaptation on species coexistence using an innovative multispecies predator–prey model. It allows for temporal trait changes of all predator and prey species and thus simultaneous coadaptation within and among trophic levels. We show that very small or slow trait adaptation did not facilitate coexistence because the stabilizing niche differences were not sufficient to offset the fitness differences. In contrast, sufficiently large and fast trait adaptation jointly promoted stable or neutrally stable species coexistence. Continuous trait adjustments in response to selection enabled a temporally variable convergence and divergence of species traits; that is, species became temporally more similar (neutral theory) or dissimilar (niche theory) depending on the selection pressure, resulting over time in a balance between niche differences stabilizing coexistence and fitness differences promoting competitive exclusion. Furthermore, coadaptation allowed prey and predator species to cluster into different functional groups. This equalized the fitness of similar species while maintaining sufficient niche differences among functionally different species delaying or preventing competitive exclusion. In contrast to pre- vious studies, the emergent feedback between biomass and trait dynamics enabled supersaturated coexistence for a broad range of potential trait adaptation and parameters. We conclude that accounting for trait adaptation may explain stable and supersaturated species coexistence for a broad range of environmental conditions in natural systems when the absence of such adaptive changes would preclude it. Small trait changes, coincident with those that may occur within many natural populations, greatly enlarged the number of coexisting species. KW - Coadaptation KW - equalizing and stabilizing mechanisms KW - maintenance of functional diversity KW - niche and fitness differences KW - supersaturated species coexistence KW - trait convergence and divergence Y1 - 2016 U6 - https://doi.org/10.1002/ece3.2172 SN - 2045-7758 PB - John Wiley & Sons, Inc. ER - TY - GEN A1 - Klauschies, Toni A1 - Vasseur, David A. A1 - Gaedke, Ursula T1 - Trait adaptation promotes species coexistence in diverse predator and prey communities N2 - Species can adjust their traits in response to selection which may strongly influence species coexistence. Nevertheless, current theory mainly assumes distinct and time-invariant trait values. We examined the combined effects of the range and the speed of trait adaptation on species coexistence using an innovative multispecies predator–prey model. It allows for temporal trait changes of all predator and prey species and thus simultaneous coadaptation within and among trophic levels. We show that very small or slow trait adaptation did not facilitate coexistence because the stabilizing niche differences were not sufficient to offset the fitness differences. In contrast, sufficiently large and fast trait adaptation jointly promoted stable or neutrally stable species coexistence. Continuous trait adjustments in response to selection enabled a temporally variable convergence and divergence of species traits; that is, species became temporally more similar (neutral theory) or dissimilar (niche theory) depending on the selection pressure, resulting over time in a balance between niche differences stabilizing coexistence and fitness differences promoting competitive exclusion. Furthermore, coadaptation allowed prey and predator species to cluster into different functional groups. This equalized the fitness of similar species while maintaining sufficient niche differences among functionally different species delaying or preventing competitive exclusion. In contrast to previous studies, the emergent feedback between biomass and trait dynamics enabled supersaturated coexistence for a broad range of potential trait adaptation and parameters. We conclude that accounting for trait adaptation may explain stable and supersaturated species coexistence for a broad range of environmental conditions in natural systems when the absence of such adaptive changes would preclude it. Small trait changes, coincident with those that may occur within many natural populations, greatly enlarged the number of coexisting species. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 227 KW - Coadaptation KW - equalizing and stabilizing mechanisms KW - maintenance of functional diversity KW - niche and fitness differences KW - supersaturated species coexistence KW - trait convergence and divergence Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-91498 SN - 1866-8372 ER - TY - JOUR A1 - Klauschies, Toni A1 - Vasseur, David A. A1 - Gaedke, Ursula T1 - Trait adaptation promotes species coexistence in diverse predator and prey communities JF - Ecology and evolution N2 - Species can adjust their traits in response to selection which may strongly influence species coexistence. Nevertheless, current theory mainly assumes distinct and time-invariant trait values. We examined the combined effects of the range and the speed of trait adaptation on species coexistence using an innovative multispecies predator-prey model. It allows for temporal trait changes of all predator and prey species and thus simultaneous coadaptation within and among trophic levels. We show that very small or slow trait adaptation did not facilitate coexistence because the stabilizing niche differences were not sufficient to offset the fitness differences. In contrast, sufficiently large and fast trait adaptation jointly promoted stable or neutrally stable species coexistence. Continuous trait adjustments in response to selection enabled a temporally variable convergence and divergence of species traits; that is, species became temporally more similar (neutral theory) or dissimilar (niche theory) depending on the selection pressure, resulting over time in a balance between niche differences stabilizing coexistence and fitness differences promoting competitive exclusion. Furthermore, coadaptation allowed prey and predator species to cluster into different functional groups. This equalized the fitness of similar species while maintaining sufficient niche differences among functionally different species delaying or preventing competitive exclusion. In contrast to previous studies, the emergent feedback between biomass and trait dynamics enabled supersaturated coexistence for a broad range of potential trait adaptation and parameters. We conclude that accounting for trait adaptation may explain stable and supersaturated species coexistence for a broad range of environmental conditions in natural systems when the absence of such adaptive changes would preclude it. Small trait changes, coincident with those that may occur within many natural populations, greatly enlarged the number of coexisting species. KW - Coadaptation KW - equalizing and stabilizing mechanisms KW - maintenance of functional diversity KW - niche and fitness differences KW - supersaturated species coexistence KW - trait convergence and divergence Y1 - 2016 U6 - https://doi.org/10.1002/ece3.2172 SN - 2045-7758 VL - 6 SP - 4141 EP - 4159 PB - Wiley CY - Hoboken ER - TY - GEN A1 - Kempert, Sebastian Benjamin A1 - Götz, Regina A1 - Blatter, Kristine A1 - Tibken, Catharina A1 - Artelt, Cordula A1 - Schneider, Wolfgang A1 - Stanat, Petra T1 - Training Early Literacy Related Skills BT - To Which Degree Does a Musical Training Contribute to Phonological Awareness Development? N2 - Well-developed phonological awareness skills are a core prerequisite for early literacy development. Although effective phonological awareness training programs exist, children at risk often do not reach similar levels of phonological awareness after the intervention as children with normally developed skills. Based on theoretical considerations and first promising results the present study explores effects of an early musical training in combination with a conventional phonological training in children with weak phonological awareness skills. Using a quasi-experimental pretest-posttest control group design and measurements across a period of 2 years, we tested the effects of two interventions: a consecutive combination of a musical and a phonological training and a phonological training alone. The design made it possible to disentangle effects of the musical training alone as well the effects of its combination with the phonological training. The outcome measures of these groups were compared with the control group with multivariate analyses, controlling for a number of background variables. The sample included N = 424 German-speaking children aged 4–5 years at the beginning of the study. We found a positive relationship between musical abilities and phonological awareness. Yet, whereas the well-established phonological training produced the expected effects, adding a musical training did not contribute significantly to phonological awareness development. Training effects were partly dependent on the initial level of phonological awareness. Possible reasons for the lack of training effects in the musical part of the combination condition as well as practical implications for early literacy education are discussed. T3 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe - 311 KW - early literacy KW - musical training KW - phonological awareness KW - phonological training KW - preschool children Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-101943 ER - TY - JOUR A1 - McGee, David A1 - Winckler, Gisela A1 - Borunda, Alejandra A1 - Serno, Sascha A1 - Anderson, Robert F. A1 - Recasens, Cristina A1 - Bory, Aloys A1 - Gaiero, Diego A1 - Jaccard, Samuel L. A1 - Kaplan, Michael A1 - McManus, Jerry F. A1 - Revel, Marie A1 - Sun, Youbin T1 - Tracking eolian dust with helium and thorium: Impacts of grain size and provenance JF - Geochimica et cosmochimica acta : journal of the Geochemical Society and the Meteoritical Society N2 - Reconstructions of the deposition rate of windblown mineral dust in ocean sediments offer an important means of tracking past climate changes and of assessing the radiative and biogeochemical impacts of dust in past climates. Dust flux estimates in ocean sediments have commonly been based on the operationally defined lithogenic fraction of sediment samples. More recently, dust fluxes have been estimated from measurements of helium and thorium, as rare isotopes of these elements (He-3 and Th-230) allow estimates of sediment flux, and the dominant isotopes (He-4 and Th-232) are uniquely associated with the lithogenic fraction of marine sediments. In order to improve the fidelity of dust flux reconstructions based on He and Th, we present a survey of He and Th concentrations in sediments from dust source areas in East Asia, Australia and South America. Our data show systematic relationships between He and Th concentrations and grain size, with He concentrations decreasing and Th concentrations increasing with decreasing grain size. We find consistent He and Th concentrations in the fine fraction (<5 mu m) of samples from East Asia, Australia and Central South America (Puna-Central West Argentina), with Th concentrations averaging 14 mu g/g and He concentrations averaging 2 mu cc STP/g. We recommend use of these values for estimating dust fluxes in sediments where dust is dominantly fine-grained, and suggest that previous studies may have systematically overestimated Th-based dust fluxes by 30%. Source areas in Patagonia appear to have lower He and Th contents than other regions, as fine fraction concentrations average 0.8 mu cc STP/g and 9 mu g/g for He-4 and Th-232, respectively. The impact of grain size on lithogenic He and Th concentrations should be taken into account in sediments proximal to dust sources where dust grain size may vary considerably. Our data also have important implications for the hosts of He in long-traveled dust and for the He-3/He-4 ratio used for terrigenous He in studies of extraterrestrial He in sediments and ice. We also investigate the use of He/Th ratios as a provenance tracer. Our results suggest differences in fine fraction He/Th ratios between East Asia, Australia, central South America and Patagonia, with ratios showing a positive relationship with the geological age of source rocks. He/Th ratios may thus provide useful provenance information, for example allowing separation of Patagonian sources from Puna-Central West Argentina or Australian dust sources. He/Th ratios in open-ocean marine sediments are similar to ratios in the fine fraction of upwind dust source areas. He/Th ratios in mid-latitude South Atlantic sediments suggest that dust in this region primarily derives from the Puna-Central West Argentina region (23-32 degrees S) rather than Patagonia (>38 degrees S). In the equatorial Pacific, He/Th ratios are much lower than in extratropical Pacific sediments or potential source areas measured as a part of this study (East Asia, South America, Australia) for reasons that are at present unclear, complicating their use as provenance tracers in this region. (C) 2015 Elsevier Ltd. All rights reserved. Y1 - 2016 U6 - https://doi.org/10.1016/j.gca.2015.11.023 SN - 0016-7037 SN - 1872-9533 VL - 175 SP - 47 EP - 67 PB - Elsevier CY - Oxford ER - TY - THES A1 - Wutke, Saskia T1 - Tracing Changes in Space and Time BT - Paternal Diversity and Phenotypic Traits during Horse Domestication N2 - The horse is a fascinating animal symbolizing power, beauty, strength and grace. Among all the animal species domesticated the horse had the largest impact on the course of human history due to its importance for warfare and transportation. Studying the process of horse domestication contributes to the knowledge about the history of horses and even of our own species. Research based on molecular methods has increasingly focused on the genetic basis of horse domestication. Mitochondrial DNA (mtDNA) analyses of modern and ancient horses detected immense maternal diversity, probably due to many mares that contributed to the domestic population. However, mtDNA does not provide an informative phylogeographic structure. In contrast, Y chromosome analyses displayed almost complete uniformity in modern stallions but relatively high diversity in a few ancient horses. Further molecular markers that seem to be well suited to infer the domestication history of horses or genetic and phenotypic changes during this process are loci associated with phenotypic traits. This doctoral thesis consists of three different parts for which I analyzed various single nucleotide polymorphisms (SNPs) associated with coat color, locomotion or Y chromosomal variation of horses. These SNPs were genotyped in 350 ancient horses from the Chalcolithic (5,000 BC) to the Middle Ages (11th century). The distribution of the samples ranges from China to the Iberian Peninsula and Iceland. By applying multiplexed next-generation sequencing (NGS) I sequenced short amplicons covering the relevant positions: i) eight coat-color-associated mutations in six genes to deduce the coat color phenotype; ii) the so-called ’Gait-keeper’ SNP in the DMRT3 gene to screen for the ability to amble; iii) 16 SNPs previously detected in ancient horses to infer the corresponding haplotype. Based on these data I investigated the occurrence and frequencies of alleles underlying the respective phenotypes as well as Y chromosome haplotypes at different times and regions. Also, selection coefficients for several Y chromosome lineages or phenotypes were estimated. Concerning coat color differences in ancient horses my work constitutes the most comprehensive study to date. I detected an increase of chestnut horses in the Middle Ages as well as differential selection for spotted and solid phenotypes over time which reflects changing human preferences. With regard to ambling horses, the corresponding allele was present in medieval English and Icelandic horses. Based on these results I argue that Norse settlers, who frequently invaded parts of Britain, brought ambling individuals to Iceland from the British Isles which can be regarded the origin of this trait. Moreover, these settlers appear to have selected for ambling in Icelandic horses. Relating to the third trait, the paternal diversity, these findings represent the largest ancient dataset of Y chromosome variation in non-humans. I proved the existence of several Y chromosome haplotypes in early domestic horses. The decline of Y chromosome variation coincides with the movement of nomadic peoples from the Eurasian steppes and later with different breeding practices in the Roman period. In conclusion, positive selection was estimated for several phenotypes/lineages in different regions or times which indicates that these were preferred by humans. Furthermore, I could successfully infer the distribution and dispersal of horses in association with human movements and actions. Thereby, a better understanding of the influence of people on the changing appearance and genetic diversity of domestic horses could be gained. My results also emphasize the close relationship of ancient genetics and archeology or history and that only in combination well-founded conclusions can be reached. KW - ancient DNA KW - domestication KW - horse KW - equus caballus KW - locomotion KW - Y chromosome KW - coat colour Y1 - 2016 ER - TY - BOOK A1 - Wassermann, Lars A1 - Felgentreff, Tim A1 - Pape, Tobias A1 - Bolz, Carl Friedrich A1 - Hirschfeld, Robert T1 - Tracing Algorithmic Primitives in RSqueak/VM N2 - When realizing a programming language as VM, implementing behavior as part of the VM, as primitive, usually results in reduced execution times. But supporting and developing primitive functions requires more effort than maintaining and using code in the hosted language since debugging is harder, and the turn-around times for VM parts are higher. Furthermore, source artifacts of primitive functions are seldom reused in new implementations of the same language. And if they are reused, the existing API usually is emulated, reducing the performance gains. Because of recent results in tracing dynamic compilation, the trade-off between performance and ease of implementation, reuse, and changeability might now be decided adversely. In this work, we investigate the trade-offs when creating primitives, and in particular how large a difference remains between primitive and hosted function run times in VMs with tracing just-in-time compiler. To that end, we implemented the algorithmic primitive BitBlt three times for RSqueak/VM. RSqueak/VM is a Smalltalk VM utilizing the PyPy RPython toolchain. We compare primitive implementations in C, RPython, and Smalltalk, showing that due to the tracing just-in-time compiler, the performance gap has lessened by one magnitude to one magnitude. N2 - Wenn man eine Programmiersprache als Virtuelle Maschine (VM) realisiert, dann wird Verhalten, das man als Teil der VM, also primitiv, implementiert normalerweise schneller ausgeführt, als vergleichbare Funktionen die in der implementierten Sprache verfasst wurden. Aber die Entwicklung und Wartung von primitiven Funktionen erfordert mehr Anstrengung als die Wartung und Benutzung von Funktionen der implementierten Sprache, da Fehlerbehebung schwerer ist, und die Entwicklungszyklen für VM-Teile länger sind. Im Gegensatz zu Programmen, die in der implementierten Programmiersprache geschrieben sind, wird Quelltext von Primitiven selten wiederverwendet. Und falls sie wiederverwendet werden, dann wird die Schnittstelle zur VM meist emuliert, was den Geschwindigkeitsvorteil reduziert. Aber aufgrund von neueren Resultaten der ablaufverfolgenden dynamischen Kompilierung, könnte die Abwägung zwischen Geschwindigkeit einerseits und Implementierungsaufwand, Wiederverwendbarkeit und Änderbarkeit andererseits nun zugunsten von letzteren ausfallen. In dieser Arbeit untersuchen wir, welche Abstriche bei der Implementierung von Verhalten als Primitive gemacht werden müssen, insbesondere wie hoch die Laufzeitunterschiede zwischen Primitiven und gehosteten Funktionen noch sind. Um das zu erreichen haben wir die algorithmische Primitive BitBlt drei mal für RSqueak/VM implementiert. RSqueak/VM ist eine Smalltalk VM, die die PyPy RPython-Toolkette verwendet. Wir vergleichen die Primitivenimplementierungen in C, RPython und Smalltalk, und zeigen, dass aufgrund eines ablaufverfolgenden just-in-time-Übersetzers der Geschwindigkeitsunterschied um eine Größenordnung auf eine Größenordnung gefallen ist. T3 - Technische Berichte des Hasso-Plattner-Instituts für Digital Engineering an der Universität Potsdam - 104 KW - virtual machines KW - collection types KW - memory optimization KW - dynamic typing KW - virtuelle Maschinen KW - Sammlungsdatentypen KW - Speicheroptimierungen KW - dynamische Sprachen Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-91277 SN - 978-3-86956-355-8 SN - 1613-5652 SN - 2191-1665 IS - 104 PB - Universitätsverlag Potsdam CY - Potsdam ER - TY - JOUR A1 - Ebert, Franziska A1 - Meyer, Sören A1 - Leffers, Larissa A1 - Raber, Georg A1 - Francesconi, Kevin A. A1 - Schwerdtle, Tanja T1 - Toxicological characterisation of a thio-arsenosugar-glycerol in human cells JF - Journal of trace elements in medicine and biology N2 - Arsenosugars are water-soluble arsenic species predominant in marine algae and other seafood including mussels and oysters. They typically occur at levels ranging from 2 to 50 mg arsenic/kg dry weight. Most of the arsenosugars contain arsenic as a dimethylarsinoyl group (Me2As(O)-), commonly referred to as the oxo forms, but thio analogues have also been identified in marine organisms and as metabolic products of oxo-arsenosugars. So far, no data regarding toxicity and toxicokinetics of thio-arsenosugars are available. This in vitro-based study indicates that thio-dimethylarsenosugar-glycerol exerts neither pronounced cytotoxicity nor genotoxicity even though this arsenical was bioavailable to human hepatic (HepG2) and urothelial (UROtsa) cells. Experiments with the Caco-2 intestinal barrier model mimicking human absorption indicate for the thio-arsenosugar-glycerol higher intestinal bioavailability as compared to the oxo-arsenosugars. Nevertheless, absorption estimates were much lower in comparison to other arsenicals including arsenite and arsenic-containing hydrocarbons. Arsenic speciation in cell lysates revealed that HepG2 cells are able to metabolise the thio-arsenosugar-glycerol to some extent to dimethylarsinic acid (DMA). These first in vitro data cannot fully exclude risks to human health related to the presence of thio-arsenosugars in food. (C) 2016 Elsevier GmbH. All rights reserved. KW - Arsenic KW - Thio-arsenosugar-glycerol KW - Toxicity KW - Toxicokinetics KW - Genotoxicity KW - Metabolism Y1 - 2016 U6 - https://doi.org/10.1016/j.jtemb.2016.04.013 SN - 0946-672X VL - 38 SP - 150 EP - 156 PB - Springer Publishing Company CY - Jena ER - TY - JOUR A1 - Acevedo, Walter A1 - Reich, Sebastian A1 - Cubasch, Ulrich T1 - Towards the assimilation of tree-ring-width records using ensemble Kalman filtering techniques JF - Climate dynamics : observational, theoretical and computational research on the climate system N2 - This paper investigates the applicability of the Vaganov–Shashkin–Lite (VSL) forward model for tree-ring-width chronologies as observation operator within a proxy data assimilation (DA) setting. Based on the principle of limiting factors, VSL combines temperature and moisture time series in a nonlinear fashion to obtain simulated TRW chronologies. When used as observation operator, this modelling approach implies three compounding, challenging features: (1) time averaging, (2) “switching recording” of 2 variables and (3) bounded response windows leading to “thresholded response”. We generate pseudo-TRW observations from a chaotic 2-scale dynamical system, used as a cartoon of the atmosphere-land system, and attempt to assimilate them via ensemble Kalman filtering techniques. Results within our simplified setting reveal that VSL’s nonlinearities may lead to considerable loss of assimilation skill, as compared to the utilization of a time-averaged (TA) linear observation operator. In order to understand this undesired effect, we embed VSL’s formulation into the framework of fuzzy logic (FL) theory, which thereby exposes multiple representations of the principle of limiting factors. DA experiments employing three alternative growth rate functions disclose a strong link between the lack of smoothness of the growth rate function and the loss of optimality in the estimate of the TA state. Accordingly, VSL’s performance as observation operator can be enhanced by resorting to smoother FL representations of the principle of limiting factors. This finding fosters new interpretations of tree-ring-growth limitation processes. KW - Proxy forward modeling KW - Data assimilation KW - Fuzzy logic KW - Ensemble Kalman filter KW - Paleoclimate reconstruction Y1 - 2016 U6 - https://doi.org/10.1007/s00382-015-2683-1 SN - 0930-7575 SN - 1432-0894 VL - 46 SP - 1909 EP - 1920 PB - Springer CY - New York ER - TY - THES A1 - Schoellner, Karsten T1 - Towards a Wittgensteinian metaethics T1 - Metaethik nach Wittgenstein N2 - This doctoral thesis seeks to elaborate how Wittgenstein’s very sparse writings on ethics and ethical thought, together with his later work on the more general problem of normativity and his approach to philosophical problems as a whole, can be applied to contemporary meta-ethical debates about the nature of moral thought and language and the sources of moral obligation. I begin with a discussion of Wittgenstein’s early “Lecture on Ethics”, distinguishing the thesis of a strict fact/value dichotomy that Wittgenstein defends there from the related thesis that all ethical discourse is essentially and intentionally nonsensical, an attempt to go beyond the limits of sense. The first chapter discusses and defends Wittgenstein’s argument that moral valuation always goes beyond any ascertaining of fact; the second chapter seeks to draw out the valuable insights from Wittgenstein’s (early) insistence that value discourse is nonsensical while also arguing that this thesis is ultimately untenable and also incompatible with later Wittgensteinian understanding of language. On the basis of this discussion I then take up the writings of the American philosopher Cora Diamond, who has worked out an ethical approach in a very closely Wittgensteinian spirit, and show how this approach shares many of the valuable insights of the moral expressivism and constructivism of contemporary authors such as Blackburn and Korsgaard while suggesting a way to avoid some of the problems and limitations of their approaches. Subsequently I turn to a criticism of the attempts by Lovibond and McDowell to enlist Wittgenstein in the support for a non-naturalist moral realism. A concluding chapter treats the ways that a broadly Wittgensteinian conception expands the subject of metaethics itself by questioning the primacy of discursive argument in moral thought and of moral propositions as the basic units of moral belief. N2 - Die folgende Arbeit verbindet die wenigen Schriften und Bemerkungen Wittgensteins zu Ethik und moralischem Denken, seine späteren Arbeiten zum allgemeineren Problem der Normativität und seine therapeutische Behandlung philosophischer Probleme überhaupt, mit den zeitgenössischen metaethischen Debatten über das Wesen moralischen Denkens und die Quelle des moralischen Sollens. Im Rahmen einer einleitenden Diskussion von Wittgensteins früher Schrift „A Lecture on Ethics” unterscheide ich zwischen der Fakt/Wert-Dichotomie, die er dort vertritt, und der damit verwandten These, moralische Aussagen seien alle wesentlich und absichtlich unsinnig und stellten alle einen Versuch dar, über die Grenzen des Sinnes hinaus zu gelangen. In einem ersten Kapitel erläutere und verteidige ich sein Argument, dass moralische Bewertungen immer über faktische Feststellungen hinausgehen; in einem zweiten Kapitel versuche ich, der These der Unsinnigkeit wichtige und zentrale Einsichten über den moralischen Diskurs abzugewinnen, zeige aber gleichzeitig, dass diese These letztendlich unhaltbar ist und auch mit der späteren wittgensteinschen Sprachauffassung unvereinbar ist. Auf Grundlage dieser Diskussion wende ich mich den moralphilosophischen Arbeiten der amerikanischen Philosophin Cora Diamond zu, die deutlich von Wittgenstein beeinflusst sind; dabei zeigt sich, wie Diamonds wittgensteinscher Ansatz zu moralischen Phänomenen die wichtigsten Einsichten von Expressivismus und Konstruktivismus teilen kann – exemplarisch dargestellt anhand von Simon Blackburn und Christine Korsgaard – und zugleich die Probleme und Beschränkungen dieser Theorien überwinden kann. Danach kritisiere ich die Versuche von Lovibond und McDowell, Wittgenstein für eine Verteidigung eines non-naturalistischen Realismus zu beanspruchen. Ein abschließendes Kapitel diskutiert die Weisen, in denen eine im weitesten Sinne Wittgensteinsche Auffassung der Moral das Thema der Metaethik selber erweitert durch eine Infragestellung des Primats von Argumentation im moralischen Denken und von moralischen Aussagesätze für moralische Überzeugungen. KW - Wittgenstein KW - metaethics KW - Wittgenstein KW - Metaethik KW - Moraltheorie KW - moral theory KW - Cora Diamond KW - Cora Diamond KW - expressivism KW - Expressivismus KW - constructivism KW - Konstruktivismus Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-409288 ER - TY - JOUR A1 - Bacskai-Atkari, Julia T1 - Towards a cross-linguistic typology of marking polarity in embedded degree clauses JF - Acta linguistica Hungarica : an international journal of linguistics N2 - The article focuses on comparative complementisers in comparative clauses expressing inequality in various languages, with particular attention paid to their role as lexicalising negative polarity. I argue that the relevant property follows from degree semantics, in that the comparative subclause encodes the inequality of the degree expressed by a matrix clausal element and the one expressed by the comparative operator. Just like ordinary negation, this has to be encoded overtly; however, as it does not constitute an instance of genuine clausal negation, the property cannot be encoded by an operator, and hence must be realised on a functional head, which is either the complementiser or a separate polarity head. KW - comparative subclauses KW - complementisers KW - CP-periphery KW - negative polarity KW - overtness Y1 - 2016 U6 - https://doi.org/10.1556/064.2016.63.4.1 SN - 1216-8076 SN - 1588-2624 VL - 63 SP - 389 EP - 409 PB - Akadémiai Kiadó CY - Budapest 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 - TY - JOUR A1 - Ette, Ottmar T1 - Toward a Polylogical Philology of the Literatures of the World JF - Modern language quarterly : a journal of literary history N2 - As the world cannot be adequately understood from the vantage point of a single language, the literatures of the world can no longer be trimmed to a single world literature in the Goethean sense. This recognition bodes well for the future of philology and of literary production. Through multiperspectival writing, knowledge of life may be attainable without being reduced to a single political, medial, cartographical, geocultural, or aesthetic logic. As a laboratory for polylogical thinking, literature does not represent reality, as Erich Auerbach put it. Rather, it represents multiple lived, experienced, or relivable realities. Whoever is open to a polylogical reception of the literatures of the world can perceive and experience how life knowledge transforms into lived knowledge and how knowledge for survival turns into knowledge for living together. However, literature can be more than it is only if it stays aware of the void, of lack, of privation, of the interminable: aware of the end that never is an end. Such a planetary concept of the literatures of the world offers valuable opportunities to all those who do not fall into the trap of contenting themselves with a supposed abundance of text. KW - literatures of the world KW - multiperspectival writing KW - polylogical philology KW - transculturation KW - knowledge for living Y1 - 2016 U6 - https://doi.org/10.1215/00267929-3464841 SN - 0026-7929 VL - 77 SP - 143 EP - 173 PB - Duke Univ. Press CY - Durham ER - TY - BOOK A1 - Steinbrink, Malte A1 - Buning, Michael A1 - Legant, Martin A1 - Schauwinhold, Berenike A1 - Süßenguth, Tore T1 - Touring Katutura! BT - Poverty, Tourism, and Poverty Tourism in Windhoek, Namibia N2 - Guided sightseeing tours of the former township of Katutura have been offered in Windhoek since the mid-1990s. City tourism in the Namibian capital had thus become, at quite an early point in time, part of the trend towards utilising poor urban areas for purposes of tourism – a trend that set in at the beginning of the same decade. Frequently referred to as “slum tourism” or “poverty tourism”, the phenomenon of guided tours around places of poverty has not only been causing some media sensation and much public outrage since its emergence; in the past few years, it has developed into a vital field of scientific research, too. “Global Slumming” provides the grounds for a rethinking of the relationship between poverty and tourism in world society. This book is the outcome of a study project of the Institute of Geography at the School of Cultural Studies and Social Science of the University of Osnabrueck, Germany. It represents the first empirical case study on township tourism in Namibia. It focuses on four aspects: 1. Emergence, development and (market) structure of township tourism in Windhoek 2. Expectations/imaginations, representations as well as perceptions of the township and its inhabitants from the tourist’s perspective 3. Perception and assessment of township tourism from the residents’ perspective 4. Local economic effects and the poverty-alleviating impact of township tourism The aim is to make an empirical contribution to the discussion around the tourism-poverty nexus and to an understanding of the global phenomenon of urban poverty tourism. T3 - Potsdamer Geographische Praxis - 11 KW - Katutura KW - Namibia KW - Windhoek KW - authenticity KW - poverty KW - slum tourism KW - slumming KW - tourism KW - township KW - township tourism KW - Armut KW - Authentizität KW - Katutura KW - Namibia KW - Slumming KW - Slumtourismus KW - Tourismus KW - Township KW - Townshiptourismus KW - Windhoek Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-95917 SN - 978-3-86956-384-8 SN - 2194-1599 SN - 2194-1602 PB - Universitätsverlag Potsdam CY - Potsdam ER - TY - JOUR A1 - Cywinski, Piotr J. A1 - Pietraszkiewicz, Marek A1 - Maciejczyk, Michal A1 - Gorski, Krzysztof A1 - Hammann, Tommy A1 - Liermann, Konstanze A1 - Paulke, Bernd-Reiner A1 - Löhmannsröben, Hans-Gerd T1 - Total protein concentration quantification using nanobeads with a new highly luminescent terbium(III) complex JF - RSC Advances N2 - Total protein concentration (TPC) is a key parameter in many biochemical experiments and its quantification is often necessary for isolation, separation, and analysis of proteins. A sensitive and rapid nanobead-based TPC quantification assay based on Forster Resonance Energy Transfer (FRET) has been developed. A new, highly luminescent Tb(III) complex has been synthesised and applied as donor in this FRET assay with an organic dye (Cy5) as acceptor. FRET-induced changes in luminescence have been investigated both at donor and acceptor emission wavelength using time-resolved luminescence spectroscopy with time-gated detection. In the assay, the Tb(III) complex and fine-tuned polyglycidyl methacrylate (PGMA) nanobeads ensure that an improvement in sensitivity and background reduction is achieved. Using 40 nm large PGMA nanobeads loaded with the Tb(III) complex, it is possible to determine TPC down to 50 ng mL(-1) in just 10 minutes. Through specific assay components the sensitivity has been improved when compared to existing nanobead-based assays and to currently known commercial methods. Additionally, the assay is relatively insensitive to the presence of contaminants, such as non-ionic detergents commonly found in biological samples. Due to no need for any centrifugal steps, this mix-and-measure bioassay can easily be implemented into routine TPC quantification protocols in biochemical laboratories. Y1 - 2016 U6 - https://doi.org/10.1039/c6ra23207h SN - 2046-2069 VL - 6 SP - 115068 EP - 115073 PB - Royal Society of Chemistry CY - Cambridge ER - TY - THES A1 - Trutkowski, Ewa T1 - Topic Drop and Null Subjects in German T2 - Linguistics & Philosophy ; 6 N2 - This study presents new insights into null subjects, topic drop and the interpretation of topic-dropped elements. Besides providing an empirical data survey, it offers explanations to well-known problems, e.g. syncretisms in the context of null-subject licensing or the marginality of dropping an element which carries oblique case. The book constitutes a valuable source for both empirically and theoretically interested (generative) linguists. Y1 - 2016 SN - 978-3-11-044413-1 PB - de Gruyter CY - Berlin ER - TY - JOUR A1 - Beta, Carsten T1 - To turn or not to turn? JF - NEW JOURNAL OF PHYSICS N2 - Bacteria typically swim in straight runs, interruped by sudden turning events. In particular, some species are limited to a reversal in the swimming direction as the only turning maneuver at their disposal. In a recent article, Grossmann et al (2016 New J. Phys. 18 043009) introduce a theoretical framework to analyze the diffusive properties of active particles following this type of run-and-reverse pattern. Based on a stochastic clock model to mimic the regulatory pathway that triggers reversal events, they show that a run-and-reverse swimmer can optimize its diffusive spreading by tuning the reversal rate according to the level of rotational noise. With their approach, they open up promising new perspectives of how to incorporate the dynamics of intracellular signaling into coarse-grained active particle descriptions. KW - bacterial swimming KW - random walks KW - diffusion KW - stochastic models Y1 - 2016 U6 - https://doi.org/10.1088/1367-2630/18/5/051003 SN - 1367-2630 VL - 18 SP - 1 EP - 17 PB - IOP Publ. Ltd. CY - Bristol ER - TY - JOUR A1 - Stolbova, Veronika A1 - Surovyatkina, Elena A1 - Bookhagen, Bodo A1 - Kurths, Jürgen T1 - Tipping elements of the Indian monsoon: Prediction of onset and withdrawal JF - Geophysical research letters N2 - Forecasting the onset and withdrawal of the Indian summer monsoon is crucial for the life and prosperity of more than one billion inhabitants of the Indian subcontinent. However, accurate prediction of monsoon timing remains a challenge, despite numerous efforts. Here we present a method for prediction of monsoon timing based on a critical transition precursor. We identify geographic regions-tipping elements of the monsoon-and use them as observation locations for predicting onset and withdrawal dates. Unlike most predictability methods, our approach does not rely on precipitation analysis but on air temperature and relative humidity, which are well represented both in models and observations. The proposed method allows to predict onset 2 weeks earlier and withdrawal dates 1.5 months earlier than existing methods. In addition, it enables to correctly forecast monsoon duration for some anomalous years, often associated with El Nino-Southern Oscillation. Y1 - 2016 U6 - https://doi.org/10.1002/2016GL068392 SN - 0094-8276 SN - 1944-8007 VL - 43 SP - 3982 EP - 3990 PB - American Geophysical Union CY - Washington ER - TY - JOUR A1 - Doerr, Benjamin A1 - Neumann, Frank A1 - Sutton, Andrew M. T1 - Time Complexity Analysis of Evolutionary Algorithms on Random Satisfiable k-CNF Formulas JF - Algorithmica : an international journal in computer science N2 - We contribute to the theoretical understanding of randomized search heuristics by investigating their optimization behavior on satisfiable random k-satisfiability instances both in the planted solution model and the uniform model conditional on satisfiability. Denoting the number of variables by n, our main technical result is that the simple () evolutionary algorithm with high probability finds a satisfying assignment in time when the clause-variable density is at least logarithmic. For low density instances, evolutionary algorithms seem to be less effective, and all we can show is a subexponential upper bound on the runtime for densities below . We complement these mathematical results with numerical experiments on a broader density spectrum. They indicate that, indeed, the () EA is less efficient on lower densities. Our experiments also suggest that the implicit constants hidden in our main runtime guarantee are low. Our main result extends and considerably improves the result obtained by Sutton and Neumann (Lect Notes Comput Sci 8672:942-951, 2014) in terms of runtime, minimum density, and clause length. These improvements are made possible by establishing a close fitness-distance correlation in certain parts of the search space. This approach might be of independent interest and could be useful for other average-case analyses of randomized search heuristics. While the notion of a fitness-distance correlation has been around for a long time, to the best of our knowledge, this is the first time that fitness-distance correlation is explicitly used to rigorously prove a performance statement for an evolutionary algorithm. KW - Runtime analysis KW - Satisfiability KW - Fitness-distance correlation Y1 - 2016 U6 - https://doi.org/10.1007/s00453-016-0190-3 SN - 0178-4617 SN - 1432-0541 VL - 78 SP - 561 EP - 586 PB - Springer CY - New York ER - TY - JOUR A1 - Kayser, Daniela Niesta A1 - Graupmann, Verena A1 - Fryer, James W. A1 - Frey, Dieter T1 - Threat to Freedom and the Detrimental Effect of Avoidance Goal Frames: Reactance as a Mediating Variable JF - Frontiers in psychology N2 - Two experiments examined how individuals respond to a restriction presented within an approach versus an avoidance frame. In Study 1, working on a problem-solving task, participants were initially free to choose their strategy, but for a second task were told to change their strategy. The message to change was embedded in either an approach or avoidance frame. When confronted with an avoidance compared to an approach frame, the participants’ reactance toward the request was greater and, in turn, led to impaired performance. The role of reactance as a response to threat to freedom was explicitly examined in Study 2, in which participants evaluated a potential change in policy affecting their program of study herein explicitly varying whether a restriction was present or absent and whether the message was embedded in an approach versus avoidance frame. When communicated with an avoidance frame and as a restriction, participants showed the highest resistance in terms of reactance, message agreement and evaluation of the communicator. The difference in agreement with the change was mediated by reactance only when a restriction was present. Overall, avoidance goal frames were associated with more resistance to change on different levels of experience (reactance, performance, and person perception). Reactance mediated the effect of goal frame on other outcomes only when a restriction was present. KW - freedom restriction KW - goal frames KW - avoidance KW - approach KW - reactance KW - self threat KW - change Y1 - 2016 U6 - https://doi.org/10.3389/fpsyg.2016.00632 SN - 1664-1078 VL - 7 PB - Frontiers Research Foundation CY - Lausanne ER - TY - GEN A1 - Kayser, Daniela Niesta A1 - Graupmann, Verena A1 - Fryer, James W. A1 - Frey, Dieter T1 - Threat to Freedom and the Detrimental Effect of Avoidance Goal Frames BT - Reactance as a Mediating Variable N2 - Two experiments examined how individuals respond to a restriction presented within an approach versus an avoidance frame. In Study 1, working on a problem-solving task, participants were initially free to choose their strategy, but for a second task were told to change their strategy. The message to change was embedded in either an approach or avoidance frame. When confronted with an avoidance compared to an approach frame, the participants’ reactance toward the request was greater and, in turn, led to impaired performance. The role of reactance as a response to threat to freedom was explicitly examined in Study 2, in which participants evaluated a potential change in policy affecting their program of study herein explicitly varying whether a restriction was present or absent and whether the message was embedded in an approach versus avoidance frame. When communicated with an avoidance frame and as a restriction, participants showed the highest resistance in terms of reactance, message agreement and evaluation of the communicator. The difference in agreement with the change was mediated by reactance only when a restriction was present. Overall, avoidance goal frames were associated with more resistance to change on different levels of experience (reactance, performance, and person perception). Reactance mediated the effect of goal frame on other outcomes only when a restriction was present. T3 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe - 292 KW - approach KW - avoidance KW - change KW - freedom restriction KW - goal frames KW - reactance KW - self threat Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-91510 ER - TY - JOUR A1 - Kayser, Daniela Niesta A1 - Graupmann, Verena A1 - Fryer, James W. A1 - Frey, Dieter T1 - Threat to Freedom and the Detrimental Effect of Avoidance Goal Frames BT - Reactance as a Mediating Variable JF - Frontiers in psychology N2 - Two experiments examined how individuals respond to a restriction presented within an approach versus an avoidance frame. In Study 1, working on a problem-solving task, participants were initially free to choose their strategy, but for a second task were told to change their strategy. The message to change was embedded in either an approach or avoidance frame. When confronted with an avoidance compared to an approach frame, the participants’ reactance toward the request was greater and, in turn, led to impaired performance. The role of reactance as a response to threat to freedom was explicitly examined in Study 2, in which participants evaluated a potential change in policy affecting their program of study herein explicitly varying whether a restriction was present or absent and whether the message was embedded in an approach versus avoidance frame. When communicated with an avoidance frame and as a restriction, participants showed the highest resistance in terms of reactance, message agreement and evaluation of the communicator. The difference in agreement with the change was mediated by reactance only when a restriction was present. Overall, avoidance goal frames were associated with more resistance to change on different levels of experience (reactance, performance, and person perception). Reactance mediated the effect of goal frame on other outcomes only when a restriction was present. KW - freedom restriction KW - goal frames KW - avoidance KW - approach KW - reactance KW - self threat KW - change Y1 - 2016 U6 - https://doi.org/10.3389/fpsyg.2016.00632 SN - 1664-1078 VL - 7 PB - Frontiers Research Foundation CY - Lausanne ER - TY - JOUR A1 - Poduzova, Ekaterina T1 - Theses JF - Dritte Woche des Russischen Rechts, Potsdam, 13.–17.10.2014, mit der Moskauer Staatlichen Juristischen O. E. Kutafin Universität (Akademie) JF - Третья неделя российского права, 13.–17.10.2014, с участием Московского государственного юридического университета имени О. E. Кутафина (МГЮА) Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-92015 SN - 978-3-86956-340-4 SN - 2199-9686 SN - 2199-9694 VL - 3 SP - 129 EP - 131 PB - Universitätsverlag Potsdam CY - Potsdam ER - TY - JOUR A1 - Couturier, Jean-Philippe A1 - Wischerhoff, Erik A1 - Bernin, Robert A1 - Hettrich, Cornelia A1 - Koetz, Joachim A1 - Sutterlin, Martin A1 - Tiersch, Brigitte A1 - Laschewsky, Andre T1 - Thermoresponsive Polymers and Inverse Opal Hydrogels for the Detection of Diols JF - Langmuir N2 - Responsive inverse opal hydrogels functionalized by boroxole moieties were synthesized and explored as sensor platforms for various low molar mass as well as polymeric diols and polyols, including saccharides, glycopolymers and catechols, by exploiting the diol induced modulation of their structural color. The underlying thermoresponsive water-soluble copolymers and hydrogels exhibit a coil-to-globule or volume phase transition, respectively, of the LCST-type. They were prepared from oligoethylene oxide methacrylate (macro)monomers and functionalized via copolymerization to bear benzoboroxole moieties. The resulting copolymers represent weak polyacids, which can bind specifically to diols within an appropriate pH window. Due to the resulting modulation of the overall hydrophilicity of the systems and the consequent shift of their phase transition temperature, the usefulness of such systems for indicating the presence of catechols, saccharides, and glycopolymers was studied, exploiting the diol/polyol induced shifts of the soluble polymers’ cloud point, or the induced changes of the hydrogels’ swelling. In particular, the increased acidity of benzoboroxoles compared to standard phenylboronic acids allowed performing the studies in PBS buffer (phosphate buffered saline) at the physiologically relevant pH of 7.4. The inverse opals constructed of these thermo- and analyte-responsive hydrogels enabled following the binding of specific diols by the induced shift of the optical stop band. Their highly porous structure enabled the facile and specific optical detection of not only low molar mass but also of high molar mass diol/polyol analytes such as glycopolymers. Accordingly, such thermoresponsive inverse opal systems functionalized with recognition units represent attractive and promising platforms for the facile sensing of even rather big analytes by simple optical means, or even by the bare eye. Y1 - 2016 U6 - https://doi.org/10.1021/acs.langmuir.6b00803 SN - 0743-7463 VL - 32 SP - 4333 EP - 4345 PB - American Chemical Society CY - Washington ER - TY - GEN A1 - Hoogenboom, Richard A1 - Schlaad, Helmut T1 - Thermoresponsive poly(2-oxazoline)s, polypeptoids, and polypeptides N2 - This review covers the recent advances in the emerging field of thermoresponsive polyamides or polymeric amides, i.e., poly(2-oxazoline)s, polypeptoids, and polypeptides, with a specific focus on structure–thermoresponsive property relationships, self-assembly, and applications. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 328 Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-395022 ER - TY - JOUR A1 - Pinyou, Piyanut A1 - Ruff, Adrian A1 - Poeller, Sascha A1 - Barwe, Stefan A1 - Nebel, Michaela A1 - Alburquerque, Natalia Guerrero A1 - Wischerhoff, Erik A1 - Laschewsky, Andre A1 - Schmaderer, Sebastian A1 - Szeponik, Jan A1 - Plumere, Nicolas A1 - Schuhmann, Wolfgang T1 - Thermoresponsive amperometric glucose biosensor JF - Biointerphases N2 - The authors report on the fabrication of a thermoresponsive biosensor for the amperometric detection of glucose. Screen printed electrodes with heatable gold working electrodes were modified by a thermoresponsive statistical copolymer [polymer I: poly(omega-ethoxytriethylenglycol methacrylate-omega-3-(N,N-dimethyl-N-2-methacryloyloxyethyl ammonio) propanesulfonate-co-omega-butoxydiethylenglycol methacrylate-co-2-(4-benzoyl-phenoxy)ethyl methacrylate)] with a lower critical solution temperature of around 28 degrees C in aqueous solution via electrochemically induced codeposition with a pH-responsive redox-polymer [polymer II: poly(glycidyl methacrylate-co-allyl methacrylate-co-poly(ethylene glycol) methacrylate-co-butyl acrylate-co-2-(dimethylamino) ethyl methacrylate)-[Os(bpy)(2)(4-(((2-(2-(2-aminoethoxy) ethoxy) ethyl) amino) methyl)-N,N-dimethylpicolinamide)](2+)] and pyrroloquinoline quinone-soluble glucose dehydrogenase acting as biological recognition element. Polymer II bears covalently bound Os-complexes that act as redox mediators for shuttling electrons between the enzyme and the electrode surface. Polymer I acts as a temperature triggered immobilization matrix. Probing the catalytic current as a function of the working electrode temperature shows that the activity of the biosensor is dramatically reduced above the phase transition temperature of polymer I. Thus, the local modulation of the temperature at the interphase between the electrode and the bioactive layer allows switching the biosensor from an on-to an off-state without heating of the surrounding analyte solution. (C) 2015 American Vacuum Society. Y1 - 2016 U6 - https://doi.org/10.1116/1.4938382 SN - 1934-8630 SN - 1559-4106 VL - 11 PB - American Institute of Physics CY - Melville ER - TY - JOUR A1 - Herfurth, Christoph A1 - Laschewsky, Andre A1 - Noirez, Laurence A1 - von Lospichl, Benjamin A1 - Gradzielski, Michael T1 - Thermoresponsive (star) block copolymers from one-pot sequential RAFT polymerizations and their self-assembly in aqueous solution JF - Polymer : the international journal for the science and technology of polymers N2 - A series of hydrophobically end-capped linear triblock copolymers as well as of three-arm and four-arm star block copolymers was synthesized in a one-pot procedure from N,N-dimethylacrylamide (DMA) and N, N-diethylacrylamide (DEA). The sequential reversible addition-fragmentation chain transfer (RAFT) polymerization of these monomers via the R-approach using bi-, tri- and tetrafunctional chain transfer agents (CrAs) bearing hydrophobic dodecyl moieties proceeded in a well-controlled manner up to almost quantitative conversion. Polymers with molar masses up to 150 kDa, narrow molar mass distribution (PDI <= 1.3) and high end group functionality were obtained, which are thermoresponsive in aqueous solution showing a LCST (lower critical solution temperature) transition. The temperature-dependent associative behavior of the polymers was examined using turbidimetry, static and dynamic light scattering (SLS, DLS), and small angle neutron scattering (SANS) for structural analysis. At 25 degrees C, the polymers form weak transient networks, and rather small hydrophobic domains are already present for polymer concentrations of 5 wt%. However, when heating above the LCST transition (35-40 degrees C) of the PDEA blocks, the enhanced formation of hydrophobic domains is observed by means of light and neutron scattering. These domains have a size of about 12-15 nm and must be effectively physically cross-linked as they induce high viscosity for the more concentrated samples. SANS shows that these domains are ordered as evidenced by the appearance of a correlation peak. The copolymer architecture affects in particular the extent of ordering as the four-arm star block copolymer shows much more repulsive interactions compared to the analogous copolymers with a lower number of arms. (C) 2016 Elsevier Ltd. All rights reserved. KW - RAFT polymerization KW - Block copolymers KW - Thermosensitivity KW - LCST KW - SANS KW - Light scattering Y1 - 2016 U6 - https://doi.org/10.1016/j.polymer.2016.09.089 SN - 0032-3861 SN - 1873-2291 VL - 107 SP - 422 EP - 433 PB - Elsevier CY - Oxford ER - TY - THES A1 - Daschewski, Maxim T1 - Thermophony in real gases T1 - Das Thermophon BT - theory and applications BT - Theorie und Anwendung N2 - A thermophone is an electrical device for sound generation. The advantages of thermophones over conventional sound transducers such as electromagnetic, electrostatic or piezoelectric transducers are their operational principle which does not require any moving parts, their resonance-free behavior, their simple construction and their low production costs. In this PhD thesis, a novel theoretical model of thermophonic sound generation in real gases has been developed. The model is experimentally validated in a frequency range from 2 kHz to 1 MHz by testing more then fifty thermophones of different materials, including Carbon nano-wires, Titanium, Indium-Tin-Oxide, different sizes and shapes for sound generation in gases such as air, argon, helium, oxygen, nitrogen and sulfur hexafluoride. Unlike previous approaches, the presented model can be applied to different kinds of thermophones and various gases, taking into account the thermodynamic properties of thermophone materials and of adjacent gases, degrees of freedom and the volume occupied by the gas atoms and molecules, as well as sound attenuation effects, the shape and size of the thermophone surface and the reduction of the generated acoustic power due to photonic emission. As a result, the model features better prediction accuracy than the existing models by a factor up to 100. Moreover, the new model explains previous experimental findings on thermophones which can not be explained with the existing models. The acoustic properties of the thermophones have been tested in several gases using unique, highly precise experimental setups comprising a Laser-Doppler-Vibrometer combined with a thin polyethylene film which acts as a broadband and resonance-free sound-pressure detector. Several outstanding properties of the thermophones have been demonstrated for the first time, including the ability to generate arbitrarily shaped acoustic signals, a greater acoustic efficiency compared to conventional piezoelectric and electrostatic airborne ultrasound transducers, and applicability as powerful and tunable sound sources with a bandwidth up to the megahertz range and beyond. Additionally, new applications of thermophones such as the study of physical properties of gases, the thermo-acoustic gas spectroscopy, broad-band characterization of transfer functions of sound and ultrasound detection systems, and applications in non-destructive materials testing are discussed and experimentally demonstrated. N2 - Ein Thermophon ist ein elektrisches Gerät zur Schallerzeugung. Aufgrund der fehlenden beweglichen Teile verfügen Thermophone über mehrere Vorteile gegenüber den herkömmlichen elektromagnetischen, elektrostatischen oder piezoelektrischen Schallwandlern. Besonders bemerkenswert sind das resonanz- und nachschwingungsfreie Verhalten, die einfache Konstruktion und die niedrigen Herstellungskosten. Im Rahmen dieser Doktorarbeit wurde ein neuartiges theoretisches Modell der thermophonischen Schallerzeugung in Gasen entwickelt und experimentell verifiziert. Zur Validierung des Modells wurden mehr als fünfzig Thermophone unterschiedlicher Größen, Formen und Materialien, darunter Kohlenstoff-Nanodrähte, Titan und Indium-Zinnoxid zur Erzeugung von Schall in Gasen wie Luft, Argon, Helium, Sauerstoff, Stickstoff und Schwefelhexafluorid in einem Frequenzbereich von 2 kHz bis 1 MHz eingesetzt. Das präsentierte Modell unterscheidet sich von den bisherigen Ansätzen durch seine hohe Flexibilität, wobei die thermodynamischen Eigenschaften des Thermophons und des umgebenden Gases, die Freiheitsgrade und das Eigenvolumen der Gasatome und Moleküle, die Schallschwächungseffekte, die Form und Größe des Thermophons, sowie die Verringerung der erzeugten akustischen Leistung aufgrund der Photonenemission berücksichtigt werden. Infolgedessen zeigt das entwickelte Modell eine um bis zu einem Faktor 100 höhere Vorhersagegenauigkeit als die bisher veröffentlichten Modelle. Das präsentierte Modell liefert darüber hinaus eine Erklärung zu den Ergebnissen aus den Vorarbeiten, die von den bisherigen Modellen nicht abschließend geklärt werden konnten. Die akustischen Eigenschaften der Thermophone wurden unter Verwendung von einzigartigen hochpräzisen Versuchsaufbauten getestet. Dafür wurde ein Laser-Doppler-Vibrometer in Kombination mit einer dünnen Polyethylenfolie verwendet, welche als breitbrandiger und resonanzfreier Schalldruckdetektor fungiert. Somit konnten mehrere herausragende akustische Eigenschaften der Thermophone zum ersten Mal demonstriert werden, einschließlich der Möglichkeit, beliebig geformte akustische Signale zu erzeugen, eine größere akustische Wirksamkeit im Vergleich zu herkömmlichen Luftultraschallwandlern und die Anwendbarkeit als leistungsfähige beliebig abstimmbare Schallquellen mit einer Bandbreite bis in den Megahertz-Bereich. Zusätzlich werden neue Anwendungen von Thermophonen wie die Untersuchung der physikalischen Eigenschaften von Gasen, die thermoakustische Gasspektroskopie, eine breitbandige Charakterisierung der Übertragungsfunktionen von Schall- und Ultraschallmesssystemen und Anwendungen in der zerstörungsfreien Materialprüfung demonstriert. KW - thermophone KW - thermoacoustics KW - thermoacoustic effect KW - photoacoustic effect KW - Thermophon KW - Thermoakustik KW - thermoakustischer Effekt KW - photoakustischer Effekt Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-98866 ER - TY - THES A1 - Lenz, Josefine T1 - Thermokarst dynamics in central-eastern Beringia T1 - Thermokarstdynamik im zentral-östlichen Beringia BT - insights from permafrost and lacustrine sediment cores BT - Einblicke durch Permafrost- und Seesedimentkerne N2 - Widespread landscape changes are presently observed in the Arctic and are most likely to accelerate in the future, in particular in permafrost regions which are sensitive to climate warming. To assess current and future developments, it is crucial to understand past environmental dynamics in these landscapes. Causes and interactions of environmental variability can hardly be resolved by instrumental records covering modern time scales. However, long-term environmental variability is recorded in paleoenvironmental archives. Lake sediments are important archives that allow reconstruction of local limnogeological processes as well as past environmental changes driven directly or indirectly by climate dynamics. This study aims at reconstructing Late Quaternary permafrost and thermokarst dynamics in central-eastern Beringia, the terrestrial land mass connecting Eurasia and North America during glacial sea-level low stands. In order to investigate development, processes and influence of thermokarst dynamics, several sediment cores from extant lakes and drained lake basins were analyzed to answer the following research questions: 1. When did permafrost degradation and thermokarst lake development take place and what were enhancing and inhibiting environmental factors? 2. What are the dominant processes during thermokarst lake development and how are they reflected in proxy records? 3. How did, and still do, thermokarst dynamics contribute to the inventory and properties of organic matter in sediments and the carbon cycle? Methods applied in this study are based upon a multi-proxy approach combining sedimentological, geochemical, geochronological, and micropaleontological analyses, as well as analyses of stable isotopes and hydrochemistry of pore-water and ice. Modern field observations of water quality and basin morphometrics complete the environmental investigations. The investigated sediment cores reveal permafrost degradation and thermokarst dynamics on different time scales. The analysis of a sediment core from GG basin on the northern Seward Peninsula (Alaska) shows prevalent terrestrial accumulation of yedoma throughout the Early to Mid Wisconsin with intermediate wet conditions at around 44.5 to 41.5 ka BP. This first wetland development was terminated by the accumulation of a 1-meter-thick airfall tephra most likely originating from the South Killeak Maar eruption at 42 ka BP. A depositional hiatus between 22.5 and 0.23 ka BP may indicate thermokarst lake formation in the surrounding of the site which forms a yedoma upland till today. The thermokarst lake forming GG basin initiated 230 ± 30 cal a BP and drained in Spring 2005 AD. Four years after drainage the lake talik was still unfrozen below 268 cm depth. A permafrost core from Mama Rhonda basin on the northern Seward Peninsula preserved a full lacustrine record including several lake phases. The first lake generation developed at 11.8 cal ka BP during the Lateglacial-Early Holocene transition; its old basin (Grandma Rhonda) is still partially preserved at the southern margin of the study basin. Around 9.0 cal ka BP a shallow and more dynamic thermokarst lake developed with actively eroding shorelines and potentially intermediate shallow water or wetland phases (Mama Rhonda). Mama Rhonda lake drainage at 1.1 cal ka BP was followed by gradual accumulation of terrestrial peat and top-down refreezing of the lake talik. A significant lower organic carbon content was measured in Grandma Rhonda deposits (mean TOC of 2.5 wt%) than in Mama Rhonda deposits (mean TOC of 7.9 wt%) highlighting the impact of thermokarst dynamics on biogeochemical cycling in different lake generations by thawing and mobilization of organic carbon into the lake system. Proximal and distal sediment cores from Peatball Lake on the Arctic Coastal Plain of Alaska revealed young thermokarst dynamics since about 1,400 years along a depositional gradient based on reconstructions from shoreline expansion rates and absolute dating results. After its initiation as a remnant pond of a previous drained lake basin, a rapidly deepening lake with increasing oxygenation of the water column is evident from laminated sediments, and higher Fe/Ti and Fe/S ratios in the sediment. The sediment record archived characterizing shifts in depositional regimes and sediment sources from upland deposits and re-deposited sediments from drained thaw lake basins depending on the gradually changing shoreline configuration. These changes are evident from alternating organic inputs into the lake system which highlights the potential for thermokarst lakes to recycle old carbon from degrading permafrost deposits of its catchment. The lake sediment record from Herschel Island in the Yukon (Canada) covers the full Holocene period. After its initiation as a thermokarst lake at 11.7 cal ka BP and intense thermokarst activity until 10.0 cal ka BP, the steady sedimentation was interrupted by a depositional hiatus at 1.6 cal ka BP which likely resulted from lake drainage or allochthonous slumping due to collapsing shore lines. The specific setting of the lake on a push moraine composed of marine deposits is reflected in the sedimentary record. Freshening of the maturing lake is indicated by decreasing electrical conductivity in pore-water. Alternation of marine to freshwater ostracods and foraminifera confirms decreasing salinity as well but also reflects episodical re-deposition of allochthonous marine sediments. Based on permafrost and lacustrine sediment records, this thesis shows examples of the Late Quaternary evolution of typical Arctic permafrost landscapes in central-eastern Beringia and the complex interaction of local disturbance processes, regional environmental dynamics and global climate patterns. This study confirms that thermokarst lakes are important agents of organic matter recycling in complex and continuously changing landscapes. N2 - Derzeit werden deutliche Landschaftsveränderungen in der Arktis beobachtet, welche sich höchstwahrscheinlich zukünftig v.a. in den Permafrostregionen verstärken, da diese besonders empfindlich auf Klimaveränderungen reagieren. Um derzeitige und zukünftige Entwicklungen einschätzen zu können, ist es wichtig vergangene Umweltprozesse zu verstehen. Ursachen und Wechselwirkungen von Umweltveränderungen können nur bedingt durch instrumentelle Aufzeichnungen erklärt werden, doch Paleo-Umweltarchive können weit in die Vergangenheit reichende Umweltdynamiken aufzeichnen. Seesedimente sind wichtige Archive, die lokale limnogeologische Prozesse, aber auch direkt oder indirekt klimatisch gesteuerte Umweltveränderungen der Vergangenheit aufzeichnen. Ziel der vorliegenden Arbeit ist es, spätquartäre Permafrost- und Thermokarstdynamik im zentral-östlichen Beringia zu rekonstruieren. Beringia umfasst jene terrestrische Landmasse, welche Eurasien und Nord-Amerika zu Zeiten von Meeresspiegeltiefständen verband. Um die Entwicklung, die Prozesse und den Einfluss von Thermokarstdynamik zu untersuchen, wurden mehrere Sedimentkerne von rezenten Seen und ausgelaufenen Seebecken analysiert, um folgende Forschungsfragen zu beantworten: 1. Zu welcher Zeit degradierte Permafrost und wann entwickelten sich Thermokarstseen? Was waren hemmende oder verstärkende Faktoren? 2. Was sind dominierende Prozesse während der Entwicklung von Thermokarstseen und wie spiegeln sich diese in Proxy-Aufzeichnungen wieder? 3. Wie hat Thermokarstdynamik damals und heute zur Bedeutung von organischer Substanz in Sedimenten und im Kohlenstoffkreislauf beigetragen? Die in dieser Arbeit angewandten Methoden basieren auf einem sogenannten „multi-proxy“ Ansatz, der sedimentologische, geochemische, geochronologische und mikropaläontologische Analysen, sowie die Untersuchung von stabilen Isotopen und die Hydrochemie von Porenwasser und -eis, verbindet. Feldmessungen der modernen Wasserqualität und Beckenmorphometrie komplettieren die Umweltuntersuchungen. Auf Grundlage der untersuchten Sedimentkerne lässt sich die Degradation von Permafrost und die Dynamik von Thermokarst auf zeitlich verschiedenen Skalen rekonstruieren. Die Analyse eines Sedimentkerns vom GG-Becken auf der nördlichen Seward-Halbinsel (Alaska) zeigt eine vorwiegend terrestrische Akkumulation von Yedoma während des Früh- und Mittel-Wisconsin mit zwischenzeitlich feuchteren Verhältnissen zwischen 44,5 und 41,5 ka BP. Diese frühe Feuchtgebietsphase wurde durch die Akkumulation einer 1 m dicken Tephra-Lage beendet, welche sehr wahrscheinlich von der Eruption des heutigen South Killeak Maar vor etwa 42.000 Jahren stammt. Eine Schichtlücke im Sedimentkern von etwa 22,5 und 0,23 ka BP gibt einen Hinweis auf Thermokarstentwicklung in der Umgebung der Kernlokation, welche bis heute ein Yedoma-Rudiment bildet. Der Thermokarstsee, der GG-Becken formte, entstand 230 ± 30 cal a BP und drainierte im Frühling 2005 AD. Vier Jahre nach der Drainage war der Talik des Sees in einer Tiefe von 268 cm noch ungefroren. Ein Permafrostkern vom Mama Rhonda-Becken auf der nördlichen Seward-Halbinsel archivierte eine vollständige limnische Fazies mit mehreren Seephasen. Die erste Seegeneration entstand am Übergang vom Spätglazial zum Frühholozän um etwa 11,8 cal ka BP; das alte Seebecken (Grandma Rhonda) ist bis heute südlich der Kernlokation erhalten. Etwa um 9,0 cal ka BP entwickelte sich ein eher flaches und dynamisches Seesystem mit aktiv erodierenden Ufern und potenziell zwischengeschalteten Flachwasser- oder Feuchtgebietsphasen (Mama Rhonda). Die Drainage vom Mama Rhonda-See etwa 1,1 cal ka BP wurde gefolgt von gradueller Torfakkumulation und einem von oben zurückfrierenden See-Talik Es wurde ein deutlich geringerer organischer Kohlenstoff-Gehalt in Grandma Rhonda-Ablagerungen (TOC im Mittel 2,5 Gew.-%) festgestellt, als in Mama Rhonda Ablagerungen (TOC im Mittel 7,9 Gew.-%). Dies zeigt den bedeutenden Einfluss von Thermokarst auf biogeochemische Kreisläufe, da in verschiedenen Seegenerationen organischen Kohlenstoff durch Permafrost-Tauen im Seesystem mobilisiert wird. Seesedimentkerne aus der Uferzone und dem zentralen Bereich von Peatball Lake auf der Arktischen Küstenebene von Alaska, ergaben eine junge Thermokarstdynamik von 1.400 Jahren, welche auf der Basis von absoluten Datierungen und Uferexpansionsraten rekonstruiert wurde. Nach der Seeinitiierung als Rest-See eines zuvor ausgelaufenen Seebeckens, vertiefte sich Peatball Lake verhältnismäßig schnell mit zunehmender Sauerstoffanreicherung der Wassersäule, wie aus laminierten Sedimenten und hohen Fe/Ti- und Fe/S-Verhältnissen im Sediment ersichtlich ist. Die Sedimente von Peatball Lake archivierten einen Wechsel des Ablagerungsregimes bei Ausdehnung der Seefläche und einen Wechsel der Sedimentquelle von ursprünglichen, rein terrestrischen Ablagerungen und bereits umgelagerten Sedimenten aus drainierten Seebecken. Angezeigt wird dieser Wechsel durch eine Veränderung im Eintrag organischen Materials in das Seesystem, was wiederum das Potential von Thermokarstseen bei der Aufarbeitung alten Kohlenstoffs aus degradierendem Permafrost im Einzugsgebiet verdeutlicht. Der Seesedimentkern von der Herschel Insel im Yukon (Kanada) deckt das gesamte Holozän ab. Nach der Seeentstehung um 11,7 cal ka BP und einer Zeit intensiver Thermokarstaktivität bis 11,0 cal ka BP, wird die Phase einer eher kontinuierlichen Sedimentation von einer Schichtlücke um 1,6 cal ka BP unterbrochen. Diese wurde entweder durch die Drainage des Sees oder einer allochthonen Rutschung instabiler Uferlinien verursacht. Die spezielle Situation des Sees auf einer Stauchendmoräne aus marinem Material spiegelt sich auch in dem Seesedimentarchiv wieder. Das Aussüßen des wachsenden Sees wird durch die abnehmende elektrische Leitfähigkeit im Porenwasser angezeigt. Der Wechsel von marinen und Süßwasserostrakoden- und Foraminiferengemeinschaften bestätigt zum einen die abnehmende Salinität des Sees, aber zeigt zum anderen auch episodische Umlagerung von allochthonem, marinem Sediment. Auf der Grundlange von Permafrost- und Seesedimentkernen zeigt diese Arbeit Beispiele spätquartärer Entwicklungsgeschichte typischer Arktischer Permafrostlandschaften im zentral-östlichen Beringia. Es werden komplexe Zusammenhänge zwischen lokalen Störungsprozessen, regionaler Umweltdynamik und globalen Klimaveränderungen aufgezeigt. Thermokarstseen spielen dabei eine wichtige Rolle im sich kontinuierlich verändernden Landschaftsbild der hohen Breiten und im Stoffkreislauf bei der Aufarbeitung organischer Substanz. KW - paleolimnology KW - permafrost degradation KW - periglacial landscape evolution KW - thermokarst processes KW - carbon cycling KW - central-eastern Beringia KW - Paläolimnologie KW - Permafrostdegradation KW - periglaziale Landschaftsentwicklung KW - Thermokarstprozesse KW - Kohlenstoffkreislauf KW - zentral-östliches Beringia Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-101364 ER - TY - THES A1 - Konrad-Schmolke, Matthias T1 - Thermodynamic and geochemical modeling in metamorphic geology T1 - Thermodynamische und geochemische Modellierungen in metamorpher Geologie N2 - Quantitative thermodynamic and geochemical modeling is today applied in a variety of geological environments from the petrogenesis of igneous rocks to the oceanic realm. Thermodynamic calculations are used, for example, to get better insight into lithosphere dynamics, to constrain melting processes in crust and mantle as well as to study fluid-rock interaction. The development of thermodynamic databases and computer programs to calculate equilibrium phase diagrams have greatly advanced our ability to model geodynamic processes from subduction to orogenesis. However, a well-known problem is that despite its broad application the use and interpretation of thermodynamic models applied to natural rocks is far from straightforward. For example, chemical disequilibrium and/or unknown rock properties, such as fluid activities, complicate the application of equilibrium thermodynamics. One major aspect of the publications presented in this Habilitationsschrift are new approaches to unravel dynamic and chemical histories of rocks that include applications to chemically open system behaviour. This approach is especially important in rocks that are affected by element fractionation due to fractional crystallisation and fluid loss during dehydration reactions. Furthermore, chemically open system behaviour has also to be considered for studying fluid-rock interaction processes and for extracting information from compositionally zoned metamorphic minerals. In this Habilitationsschrift several publications are presented where I incorporate such open system behaviour in the forward models by incrementing the calculations and considering changing reacting rock compositions during metamorphism. I apply thermodynamic forward modelling incorporating the effects of element fractionation in a variety of geodynamic and geochemical applications in order to better understand lithosphere dynamics and mass transfer in solid rocks. In three of the presented publications I combine thermodynamic forward models with trace element calculations in order to enlarge the application of geochemical numerical forward modeling. In these publications a combination of thermodynamic and trace element forward modeling is used to study and quantify processes in metamorphic petrology at spatial scales from µm to km. In the thermodynamic forward models I utilize Gibbs energy minimization to quantify mineralogical changes along a reaction path of a chemically open fluid/rock system. These results are combined with mass balanced trace element calculations to determine the trace element distribution between rock and melt/fluid during the metamorphic evolution. Thus, effects of mineral reactions, fluid-rock interaction and element transport in metamorphic rocks on the trace element and isotopic composition of minerals, rocks and percolating fluids or melts can be predicted. One of the included publications shows that trace element growth zonations in metamorphic garnet porphyroblasts can be used to get crucial information about the reaction path of the investigated sample. In order to interpret the major and trace element distribution and zoning patterns in terms of the reaction history of the samples, we combined thermodynamic forward models with mass-balance rare earth element calculations. Such combined thermodynamic and mass-balance calculations of the rare earth element distribution among the modelled stable phases yielded characteristic zonation patterns in garnet that closely resemble those in the natural samples. We can show in that paper that garnet growth and trace element incorporation occurred in near thermodynamic equilibrium with matrix phases during subduction and that the rare earth element patterns in garnet exhibit distinct enrichment zones that fingerprint the minerals involved in the garnet-forming reactions. In two of the presented publications I illustrate the capacities of combined thermodynamic-geochemical modeling based on examples relevant to mass transfer in subduction zones. The first example focuses on fluid-rock interaction in and around a blueschist-facies shear zone in felsic gneisses, where fluid-induced mineral reactions and their effects on boron (B) concentrations and isotopic compositions in white mica are modeled. In the second example, fluid release from a subducted slab and associated transport of B and variations in B concentrations and isotopic compositions in liberated fluids and residual rocks are modeled. I show that, combined with experimental data on elemental partitioning and isotopic fractionation, thermodynamic forward modeling unfolds enormous capacities that are far from exhausted. In my publications presented in this Habilitationsschrift I compare the modeled results to geochemical data of natural minerals and rocks and demonstrate that the combination of thermodynamic and geochemical models enables quantification of metamorphic processes and insights into element cycling that would have been unattainable so far. Thus, the contributions to the science community presented in this Habilitatonsschrift concern the fields of petrology, geochemistry, geochronology but also ore geology that all use thermodynamic and geochemical models to solve various problems related to geo-materials. N2 - Große Teile des Planeten auf dem wir leben sind für direkte Beobachtungen unzugänglich. Dieser Umstand umfasst nicht nur eine räumliche Komponente, so wie dies z.B. in den Tiefseegräben der Ozeane oder im Erdinneren der Fall ist sondern auch eine zeitliche Komponente, da viele für uns lebenswichtigen Prozesse, wie z.B. die Verschiebung der Kontinentalplatten, in für uns kaum beobachtbaren Raten stattfinden. Daher sind sogenannte Proxies, d.h. Archive in denen Informationen über die untersuchten Prozesse aus der längeren Vergangenheit gespeichert sind für die Geowissenschaften von sehr großer Bedeutung. Der wohl bekannteste Proxy ist zur Zeit CO2, dessen Konzentration in der Atmosphäre mit der Lufttemperatur korreliert wird. Als Archive für diesen Proxy dienen in der Regel Luftblasen in den Schichten der Eisschilde. Ist der Prozess bekannt, der den Proxy mit der gesuchten Information verbindet, im Falle von CO2 ist das der weitgehend bekannte sogenannte Treibhaus-Effekt, der die Oberflächentemperatur auf der Erde kontrolliert, kann man aus den Daten der Vergangenheit auf die Zukunft rückschließen. Wichtig ist dabei natürlich, dass der Prozess, der den Proxy kontrolliert genau bekannt ist, denn sonst führen dessen Messungen und die Interpretation der Daten zu falschen Rückschlüssen. In der von mir vorgelegten Habilitationsschrift geht es um Prozesse, die bestimmte Proxies in Gesteinen kontrollieren und darum, aus den Messungen der Proxies Rückschlüsse über Prozesse machen zu können, die weit außerhalb unseres direkt beobachtbaren Raumes liegen. Bei den untersuchten Prozessen handelt es sich um die sogenannte Lithosphärendynamik, die Bewegung der Gesteine in den obersten etwa 100km unseres Planeten. Diese Dynamik und die damit verbundenen Massenbewegungen sind weder räumlich noch zeitlich gut zu beobachten, die Prozesse laufen meist in größeren Tiefen und im Maßstab von Millionen von Jahren ab, sind aber dennoch für die Menschen von größter Bedeutung, da sie für Erdbeben, Vulkanausbrüche aber auch für die Lagerstättenbildung verantwortlich sind. Bewegungen der Gesteine in der Lithosphäre gehen mit Druck- und Temperaturänderungen in den Gesteinen einher. Die Gesteine versuchen sich diesen Änderungen anzupassen, was durch chemische Veränderungen in den Mineralen aus denen die Gesteine bestehen, geschieht. Solche Veränderungen infolge der Anpassung an sich ändernde Umweltbedingungen sind uns allen bekannt: Eis schmilzt, wenn die Umgebungstemperatur über dem Gefrierpunkt liegt und die Kraft, die wir im Verbrennungsmotor aus der chemischen Reaktion zwischen Benzin und Luft gewinnen setzen wir in Bewegung um. Die Berechnung solcher chemischer Anpassungen an sich ändernde Umgebungsbedingungen erfolgt mit Hilfe der Thermodynamik. Mit thermodynamischen Modellen können wir voraussagen welche Veränderungen in einem chemischen System auftreten, wenn sich die Umgebungsbedingungen ändern. Im Bezug auf Gesteine bedeutet dies, dass wir die chemische Zusammensetzung der Minerale bei bestimmten Druck und Temperaturbedingungen voraussagen können und umgekehrt auch aus der chemischen Zusammensetzung der Minerale auf die Druck- und Temperaturbedingungen bei ihrer Entstehung rückschließen können. Einige Minerale, wie z.B. Granat oder Feldspat weisen in Gesteinen oft eine chemische Zonierung auf, d.h. wie die Jahresringe in einem Baum haben solche Minerale konzentrische Anwachssäume, die sich in ihrer chemischen Zusammensetzung unterscheiden und so ein Archiv über die erfahrenen Druck- und Temperaturveränderungen in der Geschichte des Gesteins darstellen. Zur Interpretation dieser Zonierungen bedarf es komplexer thermodynamischer Modellierungen mit denen ich mich in den hier zusammengefassten publizierten Arbeiten beschäftigt habe. In den in dieser Habilitationsschrift zusammengefassten Arbeiten arbeite ich vor allem heraus, dass sowohl die Haupt- als auch die Spurenelementzonierungen in den Mineralen Granat und Hellglimmer hervorragende Indikatoren für Elementtransportprozesse in den Gesteinen sind. In Granat können Haupt- und Seltenerdelementzonierungen herangezogen werden um Elementfraktionierungsprozesse während der Gesteinsentwicklung zu detektieren. In den Hellglimmern ist die Konzentration und isotopische Zusammensetzung von Bor indikativ für eine Fluid-Gesteins-Wechselwirkung. Ich zeige, dass mit von mir und meinen Co-Autoren entwickelten thermodynamisch-geochemischen Modellen solche Elementtransportprozesse quantifiziert werden können. In den hier vorgelegten Arbeiten verwende ich solche numerischen Modelle um Prozesse vom µm bis km Maßstab zu quantifizieren. KW - geology KW - petrology KW - thermodynamic modelling KW - Geologie KW - Petrologie KW - thermodynamische Modellierungen Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-101805 ER - TY - JOUR A1 - Secker, Christian A1 - Voelkel, Antje A1 - Tiersch, Brigitte A1 - Koetz, Joachim A1 - Schlaad, Helmut T1 - Thermo-Induced Aggregation and Crystallization of Block Copolypeptoids in Water JF - Macromolecules : a publication of the American Chemical Society N2 - Block copolypeptoids comprising a thermosensitive, crystallizable poly(N-(n-propyl)glycine) block and a watersoluble poly(N-methylglycine) block, P70My (y = 23, 42, 76, 153, and 290), were synthesized bY ring-opening polymerization of the corresponding N-alkylglycine N-carboxyanhydrides (NCAs) and examined according to their thermo-induced aggregation and crystallization in water by turbidimetty, micro-differential scanning calorimetry (micro-DSC); cryogenic scanning electron microscopy (cryo-SEM), analytical ultracentrifugation (AUC), and static light scattering (SLS). At a temperature above the cloud point temperature, the initially formed micellar aggregates started to crystallize and grow into larger complex assemblies of about 100-500 nm, exhibiting flower-like (P70M23), ellipsoidal (P70M42 and P70M72) or irregular shapes (P70M153 and.P70M290). Y1 - 2016 U6 - https://doi.org/10.1021/acs.macromol.5b02481 SN - 0024-9297 SN - 1520-5835 VL - 49 SP - 979 EP - 985 PB - American Chemical Society CY - Washington ER - TY - JOUR A1 - Qiu, Xunlin A1 - Wirges, Werner A1 - Gerhard, Reimund T1 - Thermal poling of ferroelectrets: How does the gas temperature influence dielectric barrier discharges in cavities? JF - Applied physics letters N2 - The influence of the temperature in the gas-filled cavities on the charging process of ferroelectret film systems has been studied in hysteresis measurements. The threshold voltage and the effective polarization of the ferroelectrets were determined as functions of the charging temperature TP. With increasing TP, the threshold voltage for triggering dielectric barrier discharges in ferroelectrets decreases. Thus, increasing the temperature facilitates the charging of ferroelectrets. However, a lower threshold voltage reduces the attainable remanent polarization because back discharges occur at lower charge levels, as soon as the charging voltage is turned off. The results are discussed in view of Paschen's law for electrical breakdown, taking into account the respective gas temperature and a simplified model for ferroelectrets. Our results indicate that the thermal poling scheme widely used for conventional ferroelectrics is also useful for electrically charging ferroelectrets. Ferroelectrets (sometimes also called piezoelectrets) are relatively new members of the family of piezo-, pyro-, and ferroelectric materials.1–5 As their name indicates, ferroelectrets are space-charge electrets that show ferroic behavior. They are non-uniform electret materials or materials systems with electrically charged internal cavities. As space-charge electrets, ferroelectrets usually do not contain any molecular dipoles. However, the cavities inside the material can be turned into macroscopic dipoles through a series of micro-plasma discharges at high electric fields, so-called dielectric barrier discharges (DBDs).6–8 The gas inside the cavities is ionized when the internal electric field exceeds the threshold for electrical breakdown, generating charges of both polarities.9 The positive and negative charges travel in opposite directions, and are eventually trapped at the internal top and bottom surfaces of the cavities, respectively. After charging, the cavities may be regarded as macroscopic dipoles that can be switched by reversing the applied voltage. An electric-polarization-vs.-electric-field (P(E)) hysteresis is considered as an essential criterion for ferroelectricity. P(E)-hysteresis curves are usually characterized by the spontaneous polarization, the coercive field, and the remanent polarization. Recently, we have demonstrated P(E)-hysteresis loops on two different types of ferroelectrets, namely, cellular polypropylene ferroelectrets and tubular-channel fluoroethylene-polypropylene copolymer ferroelectrets.10,11 The P(E)-hysteresis loops not only prove the ferroic behavior of ferroelectrets, but also allow us to determine such parameters as the coercive field and the remanent polarization. It is widely accepted that Paschen breakdown is the underlying mechanism for the inception of DBDs in ferroelectrets.12–14 On this basis, the charging behavior and the resulting piezoelectricity of ferroelectrets in different gases at various pressures have been studied.15–17 Paschen's law describes the conditions for electrical breakdown in a gas at a constant temperature (usually room temperature), and it needs to be modified for gas breakdown at other temperatures. The temperature stability of the piezoelectricity in ferroelectrets after charging at elevated temperatures was investigated by several researchers.18–21 Recently, a preliminary report about the effects of the charging temperature on the hysteresis loops in ferroelectrets has been presented.22 In this letter, the influence of the gas temperature on the charging of ferroelectret systems is investigated in more detail by means of quasi-ferroelectric hysteresis-loop measurements. Teflon™ fluoroethylenepropylene (FEP) copolymer samples with tubular channels were prepared via thermal lamination as described previously.23 To this end, two FEP films with a thickness of 50 μm each were laminated at 300 ° C around a 100 μm thick polytetrafluoroethylene (PTFE) template (total area 35 mm × 45 mm) that contains parallel rectangular openings (area 1.5 mm × 40 mm each). After lamination, the template was removed, which results in an FEP film system with open tubular channels. The samples were metallized on both surfaces with aluminum electrodes of 20 mm diameter. P(E)-hysteresis loops were obtained with a modified Sawyer–Tower (ST) circuit.10,11 A high-voltage (HV) capacitor C1 (3 nF) and a large standard capacitor Cm (1 μF) were connected in series with the sample. A bipolar sinusoidal voltage with a frequency of 10 mHz was applied from an HV power supply (FUG HCB 7-6500) controlled by an arbitrary-waveform generator (HP 33120a). The voltage Vout on Cm is measured by means of an electrometer (HP 3458a), and the charge flowing through the circuit is determined as Q(t)=CmVout(t) . The experiments were carried out at isothermal conditions in a Novocontrol® Quatro cryosystem. With the modified ST circuit, Q–V loops have been measured on a tubular-channel FEP ferroelectret system at different temperatures. The sample capacitance of about 34.5 pF is determined by a linear fit of the initial part of the Q–V curve recorded at 20 °C , where the voltage has been raised up from zero on a fresh sample. The hysteresis loops are obtained from the Q–V curves by subtracting the contribution that results from charging of the sample capacitance.10 Figure 1 shows the hysteresis loops of the sample at −100, 0, and +100 ° C, respectively. According to previous theoretical and experimental studies,24,25 the length of each of the horizontal sides of the parallelogram-like hysteresis loops is given by 2Vth where Vth is the threshold voltage. As the charging temperature decreases, the hysteresis loop becomes wider and less high, i.e., the threshold voltage increases, while the polarization at maximum voltage decreases. Y1 - 2016 U6 - https://doi.org/10.1063/1.4954263 SN - 0003-6951 SN - 1077-3118 VL - 108 SP - 1687 EP - 1697 PB - American Institute of Physics CY - Melville ER - TY - JOUR A1 - Ripepi, Vincenzo A1 - Marconi, M. A1 - Moretti, M. I. A1 - Clementini, Gisella A1 - Cioni, Maria-Rosa L. A1 - de Grijs, Richard A1 - Emerson, J. P. A1 - Groenewegen, M. A. T. A1 - Ivanov, V. D. A1 - Piatti, A. E. T1 - THE VMC SURVEY. XIX. CLASSICAL CEPHEIDS IN THE SMALL MAGELLANIC CLOUD JF - The astrophysical journal : an international review of spectroscopy and astronomical physics ; Supplement series N2 - The "VISTA near-infrared YJK(s) survey of the Magellanic Clouds System" (VMC) is collecting deep K-s-band time-series photometry of pulsating variable stars hosted by the two Magellanic Clouds and their connecting Bridge. In this paper, we present Y, J, K-s light curves for a sample of 4172 Small Magellanic Cloud (SMC) Classical Cepheids (CCs). These data, complemented with literature V values, allowed us to construct a variety of period-luminosity (PL), period-luminosity-color (PLC), and period-Wesenheit (PW) relationships, which are valid for Fundamental (F), First Overtone (FO), and Second Overtone (SO) pulsators. The relations involving the V, J, K-s bands are in agreement with their counterparts in the literature. As for the Y band, to our knowledge, we present the first CC PL, PW, and PLC relations ever derived using this filter. We also present the first near-infrared PL, PW, and PLC relations for SO pulsators to date. We used PW(V, K-s) to estimate the relative SMC-LMC distance and, in turn, the absolute distance to the SMC. For the former quantity, we find a value of Delta mu = 0.55. +/- 0.04 mag, which is in rather good agreement with other evaluations based on CCs, but significantly larger than the results obtained from older population II distance indicators. This discrepancy might be due to the different geometric distributions of young and old tracers in both Clouds. As for the absolute distance to the SMC, our best estimates are mu(SMC) = 19.01 +/- 0.05 mag and mu(SMC) = 19.04 +/- 0.06 mag, based on two distance measurements to the LMC which rely on accurate CC and eclipsing Cepheid binary data, respectively. KW - distance scale KW - Magellanic Clouds KW - stars: oscillations KW - stars: variables: Cepheids Y1 - 2016 U6 - https://doi.org/10.3847/0067-0049/224/2/21 SN - 0067-0049 SN - 1538-4365 VL - 224 SP - 199 EP - 229 PB - IOP Publ. Ltd. CY - Bristol ER - TY - JOUR A1 - Piatti, Andres E. A1 - Ivanov, Valentin D. A1 - Rubele, Stefano A1 - Marconi, Marcella A1 - Ripepi, Vincenzo A1 - Cioni, Maria-Rosa L. A1 - Oliveira, Joana M. A1 - Bekki, Kenji T1 - The VMC Survey - XXI. New star cluster candidates discovered from infrared photometry in the Small Magellanic Cloud JF - Monthly notices of the Royal Astronomical Society KW - techniques: photometric KW - galaxies: individual: SMC KW - Magellanic Clouds Y1 - 2016 U6 - https://doi.org/10.1093/mnras/stw1000 SN - 0035-8711 SN - 1365-2966 VL - 460 SP - 383 EP - 395 PB - Oxford Univ. Press CY - Oxford ER - TY - JOUR A1 - Moretti, M. I. A1 - Clementini, Gisella A1 - Marconi, V. Ripepi M. A1 - Rubele, S. A1 - Cioni, Maria-Rosa L. A1 - Muraveva, T. A1 - Groenewegen, M. A. T. A1 - Cross, N. J. G. A1 - Ivanov, V. D. A1 - Piatti, A. E. A1 - de Grijs, Richard T1 - The VMC survey - XX. Identification of new Cepheids in the Small Magellanic Cloud JF - Monthly notices of the Royal Astronomical Society N2 - We present K-s-band light curves for 299 Cepheids in the Small Magellanic Cloud (SMC) of which 288 are new discoveries that we have identified using multi-epoch near-infrared photometry obtained by the VISTA survey of the Magellanic Clouds system (VMC). The new Cepheids have periods in the range from 0.34 to 9.1 d and cover the magnitude interval 12.9 <= currency sign < K-s > <= currency sign 17.6 mag. Our method was developed using variable stars previously identified by the optical microlensing survey OGLE. We focus on searching new Cepheids in external regions of the SMC for which complete VMC K-s-band observations are available and no comprehensive identification of different types of variable stars from other surveys exists yet. KW - methods: data analysis KW - surveys KW - stars: variables: Cepheids KW - Magellanic Clouds Y1 - 2016 U6 - https://doi.org/10.1093/mnras/stw716 SN - 0035-8711 SN - 1365-2966 VL - 459 SP - 1687 EP - 1697 PB - Oxford Univ. Press CY - Oxford ER - TY - JOUR A1 - Seidel, Esther T1 - The Vision of another Kind of Judaism: Selected Writings JF - Plant Methods Y1 - 2016 SN - 0031-8221 SN - 1527-943X VL - 66 SP - 685 EP - 694 PB - University of Hawaii Press CY - Honolulu ER - TY - JOUR A1 - Fietz, Joanna A1 - Langer, Franz A1 - Havenstein, Nadine A1 - Matuschka, Franz-Rainer A1 - Richter, Dania T1 - The vector tick Ixodes ricinus feeding on an arboreal rodent-the edible dormouse Glis glis JF - Parasitology research N2 - The reservoir competence and long life expectancy of edible dormice, Glis glis, suggest that they serve as efficient reservoir hosts for Lyme disease (LD) spirochetes. Their arboreality, however, may reduce the probability to encounter sufficient questing Ixodes ricinus ticks to acquire and perpetuate LD spirochetes. To define the potential role of this small arboreal hibernator in the transmission cycle of LD spirochetes, we examined their rate and density of infestation with subadult ticks throughout the season of activity. Of the 1081 edible dormice that we captured at five study sites in Southern Germany and inspected for ticks at 2946 capture occasions, 26 % were infested with at least one and as many as 26 subadult ticks on their ear pinnae. The distribution of ticks feeding on edible dormice was highly aggregated. Although only few individuals harbored nymphal ticks soon after their emergence from hibernation, the rate of nymphal infestation increased steadily throughout the season and reached about 35 % in September. Dormice inhabiting a site with few conspecifics seemed more likely to be infested by numerous ticks, particularly nymphs, than those individuals living in densely populated sites. Male dormice were more likely to be parasitized by numerous nymphs than were females, independent of their age and body mass. Our observation that season, population density, and sex affect the rates of ticks feeding on edible dormice suggests that the contribution of edible dormice to the transmission cycle of LD spirochetes depends mainly on their ranging behavior and level of activity. KW - Edible dormouse KW - Ixodes ricinus KW - Reservoir host Y1 - 2016 U6 - https://doi.org/10.1007/s00436-015-4877-1 SN - 0932-0113 SN - 1432-1955 VL - 115 SP - 1435 EP - 1442 PB - Springer CY - New York ER - TY - JOUR A1 - Lutz, Johannes T1 - The Validity of Crowdsourcing Data in Studying Anger and Aggressive Behavior A Comparison of Online and Laboratory Data JF - Social psychology N2 - Crowdsourcing platforms provide an affordable approach for recruiting large and diverse samples in a short time. Past research has shown that researchers can obtain reliable data from these sources, at least in domains of research that are not affectively involving. The goal of the present study was to test if crowdsourcing platforms can also be used to conduct experiments that incorporate the induction of aversive affective states. First, a laboratory experiment with German university students was conducted in which a frustrating task induced anger and aggressive behavior. This experiment was then replicated online using five crowdsourcing samples. The results suggest that participants in the online samples reacted very similarly to the anger manipulation as participants in the laboratory experiments. However, effect sizes were smaller in crowdsourcing samples with non-German participants while a crowdsourcing sample with exclusively German participants yielded virtually the same effect size as in the laboratory. KW - crowdsourcing KW - online research KW - anger KW - aggression KW - frustration KW - mechanical turk Y1 - 2016 U6 - https://doi.org/10.1027/1864-9335/a000256 SN - 1864-9335 SN - 2151-2590 VL - 47 SP - 38 EP - 51 PB - Taylor & Francis Group CY - Göttingen ER - TY - JOUR A1 - Castro, José Pedro A1 - Grune, Tilman A1 - Speckmann, Bodo T1 - The two faces of reactive oxygen species (ROS) in adipocyte function and dysfunction JF - Biological chemistry N2 - White adipose tissue (WAT) is actively involved in the regulation of whole-body energy homeostasis via storage/ release of lipids and adipokine secretion. Current research links WAT dysfunction to the development of metabolic syndrome (MetS) and type 2 diabetes (T2D). The expansion of WAT during oversupply of nutrients prevents ectopic fat accumulation and requires proper preadipocyte-to-adipocyte differentiation. An assumed link between excess levels of reactive oxygen species (ROS), WAT dysfunction and T2D has been discussed controversially. While oxidative stress conditions have conclusively been detected in WAT of T2D patients and related animal models, clinical trials with antioxidants failed to prevent T2D or to improve glucose homeostasis. Furthermore, animal studies yielded inconsistent results regarding the role of oxidative stress in the development of diabetes. Here, we discuss the contribution of ROS to the (patho) physiology of adipocyte function and differentiation, with particular emphasis on sources and nutritional modulators of adipocyte ROS and their functions in signaling mechanisms controlling adipogenesis and functions of mature fat cells. We propose a concept of ROS balance that is required for normal functioning of WAT. We explain how both excessive and diminished levels of ROS, e. g. resulting from over supplementation with antioxidants, contribute to WAT dysfunction and subsequently insulin resistance. KW - adipogenesis KW - adipose tissue dysregulation KW - antioxidants KW - metabolic disorders KW - oxidative stress Y1 - 2016 U6 - https://doi.org/10.1515/hsz-2015-0305 SN - 1431-6730 SN - 1437-4315 VL - 397 SP - 709 EP - 724 PB - De Gruyter CY - Berlin ER - TY - JOUR A1 - Nixon, Jessie S. A1 - van Rij, Jacolien A1 - Mok, Peggy A1 - Baayen, Harald R. A1 - Chen, Yiya T1 - The temporal dynamics of perceptual uncertainty: eye movement evidence from Cantonese segment and tone perception JF - Journal of memory and language N2 - Two visual world eyetracking experiments investigated how acoustic cue value and statistical variance affect perceptual uncertainty during Cantonese consonant (Experiment 1) and tone perception (Experiment 2). Participants heard low- or high-variance acoustic stimuli. Euclidean distance of fixations from target and competitor pictures over time was analysed using Generalised Additive Mixed Modelling. Distance of fixations from target and competitor pictures varied as a function of acoustic cue, providing evidence for gradient, nonlinear sensitivity to cue values. Moreover, cue value effects significantly interacted with statistical variance, indicating that the cue distribution directly affects perceptual uncertainty. Interestingly, the time course of effects differed between target distance and competitor distance models. The pattern of effects over time suggests a global strategy in response to the level of uncertainty: as uncertainty increases, verification looks increase accordingly. Low variance generally creates less uncertainty, but can lead to greater uncertainty in the face of unexpected speech tokens. (C) 2016 Elsevier Inc. All rights reserved. KW - Discriminative learning KW - Statistical learning KW - Speech perception KW - Cantonese KW - Lexical tone Y1 - 2016 U6 - https://doi.org/10.1016/j.jml.2016.03.005 SN - 0749-596X SN - 1096-0821 VL - 90 SP - 103 EP - 125 PB - Elsevier CY - San Diego ER -