TY - THES A1 - Lontsi, Agostiny Marrios T1 - 1D shallow sedimentary subsurface imaging using ambient noise and active seismic data T1 - 1D Bildgebung oberflächennaher Sedimente mit Hilfe von Daten der allgemeinen, seismischen Bodenunruhe und Daten der aktiven Seismik N2 - The Earth’s shallow subsurface with sedimentary cover acts as a waveguide to any incoming wavefield. Within the framework of my thesis, I focused on the characterization of this shallow subsurface within tens to few hundreds of meters of sediment cover. I imaged the seismic 1D shear wave velocity (and possibly the 1D compressional wave velocity). This information is not only required for any seismic risk assessment, geotechnical engineering or microzonation activities, but also for exploration and global seismology where site effects are often neglected in seismic waveform modeling. First, the conventional frequency-wavenumber (f - k) technique is used to derive the dispersion characteristic of the propagating surface waves recorded using distinct arrays of seismometers in 1D and 2D configurations. Further, the cross-correlation technique is applied to seismic array data to estimate the Green’s function between receivers pairs combination assuming one is the source and the other the receiver. With the consideration of a 1D media, the estimated cross-correlation Green’s functions are sorted with interstation distance in a virtual 1D active seismic experiment. The f - k technique is then used to estimate the dispersion curves. This integrated analysis is important for the interpretation of a large bandwidth of the phase velocity dispersion curves and therefore improving the resolution of the estimated 1D Vs profile. Second, the new theoretical approach based on the Diffuse Field Assumption (DFA) is used for the interpretation of the observed microtremors H/V spectral ratio. The theory is further extended in this research work to include not only the interpretation of the H/V measured at the surface, but also the H/V measured at depths and in marine environments. A modeling and inversion of synthetic H/V spectral ratio curves on simple predefined geological structures shows an almost perfect recovery of the model parameters (mainly Vs and to a lesser extent Vp). These results are obtained after information from a receiver at depth has been considered in the inversion. Finally, the Rayleigh wave phase velocity information, estimated from array data, and the H/V(z, f) spectral ratio, estimated from a single station data, are combined and inverted for the velocity profile information. Obtained results indicate an improved depth resolution in comparison to estimations using the phase velocity dispersion curves only. The overall estimated sediment thickness is comparable to estimations obtained by inverting the full micortremor H/V spectral ratio. N2 - Oberflächennahe Sedimente wirken oft als Verstärker für einfallende seismische Wellenfelder. Im Rahmen meiner Doktorarbeit konzentriere ich mich auf die Eigenschaften des oberflächennahen Untergrundes von einigen zehn bis zu hundert Metern Sedimentabdeckung. Dabei leite ich Tiefenprofile (1D) der seismische Scherwellengeschwindigkeit (Vs) und wenn möglich auch der Kompressionswellengeschwindigkeit (Vp) aus seismischen Daten ab. Diese Informationen sind nicht nur für jede Erdbebenrisikobewertung, Geotechnik- oder Mikrozonierungsaktivität erforderlich, sondern sind auch für die seismische Erkundung und globale Seismologie von Bedeutung, da Standorteffekte in seismischen Wellenformmodellierungen oft vernachlässigt werden. Zuerst wird die herkömmliche Frequenz-Wellenzahl (f - k) Technik verwendet, um die Dispersionskurven der Phasengeschwindigkeit von Oberflächenwellen abzuleiten. Die zugrundeliegenden Daten stammen von Seismometerarrays in unterschiedlichen 1D- und 2D-Konfigurationen. In einem weiteren Schritt wird die Green’s Funktion zwischen verschiedenen Empfängerpaaren aus den Daten des seismischen Arrays geschätzt. Dabei wird die Kreuzkorrelationstechnik verwendet. In einem virtuellen 1D Experiment der aktiven Seismik werden die abgeleiteten Green’s Funktionen der Interstationsdistanz nach geordnet. Dann wird die f-k Technik verwendet um wiederum Dispersionskurven abzuleiten. Dieser integrierte Ansatz ermöglicht die Analyse einer grösseren Bandbreite für die Dispersionskurven und daher eine verbesserte Auflösung des 1D Tiefenprofils der Scherwellengeschwindigkeit (Vs). In einem zweiten Schritt wird ein neuer Ansatz, basierend auf der diffusen Wellenfeldannahme (engl., Diffuse Field Assumption, DFA), zur Interpretation beobachteter horizontal zu vertikalen Spektralamplitudenverhältnissen (H/V-Spektralverhältnisse), die aus allgemeiner Bodenunruhe abgeleited wurden,genutzt. Diese Theorie wurde im Rahmen der vorliegenden Arbeit erweitert, um nicht nur an der Oberfläche gemessene H/V- Spektralverhältnisse interpretieren zu können sondern auch Messungen in der Tiefe (Bohrloch) und in mariner Umgebung (Ozeanboden). Eine Modellierung und Inversion von synthetischen HV- Spektralverhältnissen für vordefinierte, einfache geologische Strukturen zeigt eine nahezu perfekte Identifikation/Rekonstruktion der Modellparameter (im wesentlichen Vs und in geringerem Maße Vp), wenn die zusätzliche Information von HV- Spektralverhältnissen eines Empfängers in der Tiefe bei der Inversion berücksichtigt wird. Letztlich wurden (i) Phasengeschwindigkeiten von Rayleighwellen, die aus einem Arraydatensatz geschätzt wurden, mit (ii) H/V-Spektralverhältnissen einer Einzelstation kombiniert invertiert, um Tiefen-profile seismischer Geschwindigkeiten (Vs, Vp) zu bestimmen. Die Ergebnisse deuten daraufhin, dass sich mit einer kombinierte Inversion seismische Geschwindigkeiten bis in größere Tiefen bestimmen lassen, verglichen mit der Inversion von nur Phasengeschwindigkeiten allein. Die geschätzte Gesamtmächtigkeit von Oberflächensedimenten aufgrund der kombinierten Inversion ist vergleichbar mit der, abgleitet von nur H/V-Spektralverhältnissen. KW - active seismic KW - passive seismic KW - virtual active seismic KW - dispersion curves KW - inversion KW - Vs profiles KW - inverse theory KW - interferometry KW - site effects KW - aktive Seismik KW - passive Seismik KW - virtuelle aktive Seismik KW - Dispersionskurven KW - Inversion KW - Vs Profile KW - Inversionstheorie KW - Interferometrie KW - Standorteffekte Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-103807 ER - TY - GEN A1 - Hennemann, Anja T1 - A cognitive-constructionist approach to Spanish creo Ø and creo yo ‘[I] think’ T2 - Postprints der Universität Potsdam : Philosophische Reihe N2 - The present study approaches the Spanish postposed constructions creo Ø and creo yo ‘[p], [I] think’ from a cognitive-constructionist perspective. It is argued that both constructions are to be distinguished from one another because creo Ø has a subjective function, while in creo yo, it is the intersubjective dimension that is particularly prominent. The present investigation takes both a qualitative and a quantitative perspective. With regard to the latter, the problem of quantitative representativity is addressed. The discussion posed the question of how empirical research can feed back into theory, more precisely, into the framework of Cognitive Construction Grammar. The data to be analyzed here are retrieved from the corpora Corpus de Referencia del Español Actual and Corpus del Español. T3 - Zweitveröffentlichungen der Universität Potsdam : Philosophische Reihe - 121 KW - Cognitive Construction Grammar KW - parenthetic verbs KW - Spanish KW - corpus analysis KW - quantitativity/qualitativity Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-397485 SN - 1866-8380 IS - 121 ER - TY - JOUR A1 - Dulgheru, Elena T1 - A Conjunction of Mysteries BT - Tarkovskij’s Off ret and da Vinci’s Adoraz ione dei magi JF - Andrej Tarkovskij: Klassiker – Классик – Classic – Classico : Beiträge zum internationalen Tarkovskij-Symposium an der Universität Potsdam ; Band 1 Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-95594 SN - 978-3-86956-351-0 SP - 201 EP - 214 PB - Universität Potsdam CY - Potsdam ER - TY - GEN A1 - Ehlert, Christopher A1 - Holzweber, Markus A1 - Lippitz, Andreas A1 - Unger, Wolfgang E. S. A1 - Saalfrank, Peter T1 - A detailed assignment of NEXAFS resonances of imidazolium based ionic liquids N2 - In Near Edge X-Ray Absorption Fine Structure (NEXAFS) spectroscopy X-Ray photons are used to excite tightly bound core electrons to low-lying unoccupied orbitals of the system. This technique offers insight into the electronic structure of the system as well as useful structural information. In this work, we apply NEXAFS to two kinds of imidazolium based ionic liquids ([CnC1im]+[NTf2]- and [C4C1im]+[I]-). A combination of measurements and quantum chemical calculations of C K and N K NEXAFS resonances is presented. The simulations, based on the transition potential density functional theory method (TP-DFT), reproduce all characteristic features observed by the experiment. Furthermore, a detailed assignment of resonance features to excitation centers (carbon or nitrogen atoms) leads to a consistent interpretation of the spectra. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 315 KW - ray absorption-spectroscopy KW - fine-structure KW - spectra KW - simulations KW - molecules KW - dynamics KW - graphene KW - surface KW - salts Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-394417 SP - 8654 EP - 8661 ER - TY - GEN A1 - Mao, Hailiang A1 - Nakamura, Moritaka A1 - Viotti, Corrado A1 - Grebe, Markus T1 - A framework for lateral membrane trafficking and polar tethering of the PEN3 ATP-Binding cassette transporter T2 - Postprints der Universität Potsdam : Mathematisch Naturwissenschaftliche Reihe N2 - The outermost cell layer of plants, the epidermis, and its outer (lateral) membrane domain facing the environment are continuously challenged by biotic and abiotic stresses. Therefore, the epidermis and the outer membrane domain provide important selective and protective barriers. However, only a small number of specifically outer membrane-localized proteins are known. Similarly, molecular mechanisms underlying the trafficking and the polar placement of outer membrane domain proteins require further exploration. Here, we demonstrate that ACTIN7 (ACT7) mediates trafficking of the PENETRATION3 (PEN3) outer membrane protein from the trans-Golgi network (TGN) to the plasma membrane in the root epidermis of Arabidopsis (Arabidopsis thaliana) and that actin function contributes to PEN3 endocytic recycling. In contrast to such generic ACT7-dependent trafficking from the TGN, the EXOCYST84b (EXO84b) tethering factor mediates PEN3 outer-membrane polarity. Moreover, precise EXO84b placement at the outer membrane domain itself requires ACT7 function. Hence, our results uncover spatially and mechanistically distinct requirements for ACT7 function during outer lateral membrane cargo trafficking and polarity establishment. They further identify an exocyst tethering complex mediator of outer lateral membrane cargo polarity. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 909 KW - precursor indole-3-butyric acid KW - GNOM ARF-GEF KW - plasma-membrane KW - exocyst complex KW - auxin transport KW - planar polarity KW - Arabidopsis-thaliana KW - fluorescent protein KW - soil interface KW - cell polarity Y1 - 2020 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-441302 SN - 1866-8372 IS - 909 SP - 2245 EP - 2260 ER - TY - GEN A1 - Liaimer, Anton A1 - Jensen, John B. A1 - Dittmann-Thünemann, Elke T1 - A genetic and chemical perspective on symbiotic recruitment of cyanobacteria of the genus Nostoc into the host plant Blasia pusilla L. T2 - Frontiers in microbiology N2 - Liverwort Blasia pusilla L. recruits soil nitrogen-fixing cyanobacteria of genus Nostoc as symbiotic partners. In this work we compared Nostoc community composition inside the plants and in the soil around them from two distant locations in Northern Norway. STRR fingerprinting and 16S rDNA phylogeny reconstruction showed a remarkable local diversity among isolates assigned to several Nostoc clades. An extensive web of negative allelopathic interactions was recorded at an agricultural site, but not at the undisturbed natural site. The cell extracts of the cyanobacteria did not show antimicrobial activities, but four isolates were shown to be cytotoxic to human cells. The secondary metabolite profiles of the isolates were mapped by MALDI-TOF MS, and the most prominent ions were further analyzed by Q-TOF for MS/MS aided identification. Symbiotic isolates produced a great variety of small peptide-like substances, most of which lack any record in the databases. Among identified compounds we found microcystin and nodularin variants toxic to eukaryotic cells. Microcystin producing chemotypes were dominating as symbiotic recruits but not in the free-living community. In addition, we were able to identify several novel aeruginosins and banyaside-like compounds, as well as nostocyclopeptides and nosperin. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 434 KW - cyanobacteria KW - secondary metabolites KW - symbiosis KW - Blasia KW - Nostoc KW - allelopathy Y1 - 2018 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-407179 ER - TY - INPR A1 - Alsaedy, Ammar A1 - Tarkhanov, Nikolai Nikolaevich T1 - A Hilbert boundary value problem for generalised Cauchy-Riemann equations N2 - We elaborate a boundary Fourier method for studying an analogue of the Hilbert problem for analytic functions within the framework of generalised Cauchy-Riemann equations. The boundary value problem need not satisfy the Shapiro-Lopatinskij condition and so it fails to be Fredholm in Sobolev spaces. We show a solvability condition of the Hilbert problem, which looks like those for ill-posed problems, and construct an explicit formula for approximate solutions. T3 - Preprints des Instituts für Mathematik der Universität Potsdam - 5 (2016) 1 KW - Dirac operator KW - Clifford algebra KW - Riemann-Hilbert problem KW - Fredholm operator Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-86109 SN - 2193-6943 VL - 5 IS - 1 PB - Universitätsverlag Potsdam CY - Potsdam ER - TY - GEN A1 - Clusella, Pau A1 - Politi, Antonio A1 - Rosenblum, Michael T1 - A minimal model of self-consistent partial synchrony T2 - Postprints der Universität Potsdam : Mathematisch Naturwissenschaftliche Reihe N2 - We show that self-consistent partial synchrony in globally coupled oscillatory ensembles is a general phenomenon. We analyze in detail appearance and stability properties of this state in possibly the simplest setup of a biharmonic Kuramoto-Daido phase model as well as demonstrate the effect in limit-cycle relaxational Rayleigh oscillators. Such a regime extends the notion of splay state from a uniform distribution of phases to an oscillating one. Suitable collective observables such as the Kuramoto order parameter allow detecting the presence of an inhomogeneous distribution. The characteristic and most peculiar property of self-consistent partial synchrony is the difference between the frequency of single units and that of the macroscopic field. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 890 KW - synchronization KW - collective dynamics KW - coupled oscillators Y1 - 2020 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-436266 SN - 1866-8372 IS - 890 ER - TY - GEN A1 - Krupinski, Pawel A1 - Bozorg, Behruz A1 - Larsson, André A1 - Pietra, Stefano A1 - Grebe, Markus A1 - Jönsson, Henrik T1 - A model analysis of mechanisms for radial microtubular patterns at root hair initiation sites T2 - Frontiers in plant science N2 - Plant cells have two main modes of growth generating anisotropic structures. Diffuse growth where whole cell walls extend in specific directions, guided by anisotropically positioned cellulose fibers, and tip growth, with inhomogeneous addition of new cell wall material at the tip of the structure. Cells are known to regulate these processes via molecular signals and the cytoskeleton. Mechanical stress has been proposed to provide an input to the positioning of the cellulose fibers via cortical microtubules in diffuse growth. In particular, a stress feedback model predicts a circumferential pattern of fibers surrounding apical tissues and growing primordia, guided by the anisotropic curvature in such tissues. In contrast, during the initiation of tip growing root hairs, a star-like radial pattern has recently been observed. Here, we use detailed finite element models to analyze how a change in mechanical properties at the root hair initiation site can lead to star-like stress patterns in order to understand whether a stress-based feedback model can also explain the microtubule patterns seen during root hair initiation. We show that two independent mechanisms, individually or combined, can be sufficient to generate radial patterns. In the first, new material is added locally at the position of the root hair. In the second, increased tension in the initiation area provides a mechanism. Finally, we describe how a molecular model of Rho-of-plant (ROP) GTPases activation driven by auxin can position a patch of activated ROP protein basally along a 2D root epidermal cell plasma membrane, paving the way for models where mechanical and molecular mechanisms cooperate in the initial placement and outgrowth of root hairs. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 435 KW - plant cell wall KW - finite element modeling KW - computational morphodynamics KW - root hair initiation KW - microtubules KW - cellulose fibers KW - composite material Y1 - 2018 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-407181 ER - TY - GEN A1 - Ziegler, Moritz O. A1 - Heidbach, Oliver A1 - Reinecker, John A1 - Przybycin, Anna M. A1 - Scheck-Wenderoth, Magdalena T1 - A multi-stage 3-D stress field modelling approach exemplified in the Bavarian Molasse Basin T2 - Postprints der Universität Potsdam Mathematisch-Naturwissenschaftliche Reihe N2 - The knowledge of the contemporary in situ stress state is a key issue for safe and sustainable subsurface engineering. However, information on the orientation and magnitudes of the stress state is limited and often not available for the areas of interest. Therefore 3-D geomechanical-numerical modelling is used to estimate the in situ stress state and the distance of faults from failure for application in subsurface engineering. The main challenge in this approach is to bridge the gap in scale between the widely scattered data used for calibration of the model and the high resolution in the target area required for the application. We present a multi-stage 3-D geomechanical-numerical approach which provides a state-of-the-art model of the stress field for a reservoir-scale area from widely scattered data records. Therefore, we first use a large-scale regional model which is calibrated by available stress data and provides the full 3-D stress tensor at discrete points in the entire model volume. The modelled stress state is used subsequently for the calibration of a smaller-scale model located within the large-scale model in an area without any observed stress data records. We exemplify this approach with two-stages for the area around Munich in the German Molasse Basin. As an example of application, we estimate the scalar values for slip tendency and fracture potential from the model results as measures for the criticality of fault reactivation in the reservoir-scale model. The modelling results show that variations due to uncertainties in the input data are mainly introduced by the uncertain material properties and missing S-Hmax magnitude estimates needed for a more reliable model calibration. This leads to the conclusion that at this stage the model's reliability depends only on the amount and quality of available stress information rather than on the modelling technique itself or on local details of the model geometry. Any improvements in modelling and increases in model reliability can only be achieved using more high-quality data for calibration. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 556 KW - in-situ stress KW - induced seismicity KW - geothermal-reservoirs KW - geomechanical model KW - fault reactivation KW - alpine foreland KW - map project KW - km depth KW - orientation KW - system Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-409806 SN - 1866-8372 IS - 556 ER - TY - GEN A1 - Neher, Dieter A1 - Kniepert, Juliane A1 - Elimelech, Arik A1 - Koster, L. Jan Anton T1 - A New Figure of Merit for Organic Solar Cells with Transport-limited Photocurrents N2 - Compared to their inorganic counterparts, organic semiconductors suffer from relatively low charge carrier mobilities. Therefore, expressions derived for inorganic solar cells to correlate characteristic performance parameters to material properties are prone to fail when applied to organic devices. This is especially true for the classical Shockley-equation commonly used to describe current-voltage (JV)-curves, as it assumes a high electrical conductivity of the charge transporting material. Here, an analytical expression for the JV-curves of organic solar cells is derived based on a previously published analytical model. This expression, bearing a similar functional dependence as the Shockley-equation, delivers a new figure of merit α to express the balance between free charge recombination and extraction in low mobility photoactive materials. This figure of merit is shown to determine critical device parameters such as the apparent series resistance and the fill factor. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 225 KW - Electronic and spintronic devices KW - Semiconductors Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-91414 ER - TY - THES A1 - Falter, Daniela T1 - A novel approach for large-scale flood risk assessments T1 - Ein neuartiger Ansatz für großskalige Hochwasserrisikoanalysen BT - continuous and long-term simulation of the full flood risk chain BT - kontinuierliche Langzeitsimulation der gesamten Hochwasserrisikokette N2 - In the past, floods were basically managed by flood control mechanisms. The focus was set on the reduction of flood hazard. The potential consequences were of minor interest. Nowadays river flooding is increasingly seen from the risk perspective, including possible consequences. Moreover, the large-scale picture of flood risk became increasingly important for disaster management planning, national risk developments and the (re-) insurance industry. Therefore, it is widely accepted that risk-orientated flood management ap-proaches at the basin-scale are needed. However, large-scale flood risk assessment methods for areas of several 10,000 km² are still in early stages. Traditional flood risk assessments are performed reach wise, assuming constant probabilities for the entire reach or basin. This might be helpful on a local basis, but where large-scale patterns are important this approach is of limited use. Assuming a T-year flood (e.g. 100 years) for the entire river network is unrealistic and would lead to an overestimation of flood risk at the large scale. Due to the lack of damage data, additionally, the probability of peak discharge or rainfall is usually used as proxy for damage probability to derive flood risk. With a continuous and long term simulation of the entire flood risk chain, the spatial variability of probabilities could be consider and flood risk could be directly derived from damage data in a consistent way. The objective of this study is the development and application of a full flood risk chain, appropriate for the large scale and based on long term and continuous simulation. The novel approach of ‘derived flood risk based on continuous simulations’ is introduced, where the synthetic discharge time series is used as input into flood impact models and flood risk is directly derived from the resulting synthetic damage time series. The bottleneck at this scale is the hydrodynamic simu-lation. To find suitable hydrodynamic approaches for the large-scale a benchmark study with simplified 2D hydrodynamic models was performed. A raster-based approach with inertia formulation and a relatively high resolution of 100 m in combination with a fast 1D channel routing model was chosen. To investigate the suitability of the continuous simulation of a full flood risk chain for the large scale, all model parts were integrated into a new framework, the Regional Flood Model (RFM). RFM consists of the hydrological model SWIM, a 1D hydrodynamic river network model, a 2D raster based inundation model and the flood loss model FELMOps+r. Subsequently, the model chain was applied to the Elbe catchment, one of the largest catchments in Germany. For the proof-of-concept, a continuous simulation was per-formed for the period of 1990-2003. Results were evaluated / validated as far as possible with available observed data in this period. Although each model part introduced its own uncertainties, results and runtime were generally found to be adequate for the purpose of continuous simulation at the large catchment scale. Finally, RFM was applied to a meso-scale catchment in the east of Germany to firstly perform a flood risk assessment with the novel approach of ‘derived flood risk assessment based on continuous simulations’. Therefore, RFM was driven by long term synthetic meteorological input data generated by a weather generator. Thereby, a virtual time series of climate data of 100 x 100 years was generated and served as input to RFM providing subsequent 100 x 100 years of spatially consistent river discharge series, inundation patterns and damage values. On this basis, flood risk curves and expected annual damage could be derived directly from damage data, providing a large-scale picture of flood risk. In contrast to traditional flood risk analysis, where homogenous return periods are assumed for the entire basin, the presented approach provides a coherent large-scale picture of flood risk. The spatial variability of occurrence probability is respected. Additionally, data and methods are consistent. Catchment and floodplain processes are repre-sented in a holistic way. Antecedent catchment conditions are implicitly taken into account, as well as physical processes like storage effects, flood attenuation or channel–floodplain interactions and related damage influencing effects. Finally, the simulation of a virtual period of 100 x 100 years and consequently large data set on flood loss events enabled the calculation of flood risk directly from damage distributions. Problems associated with the transfer of probabilities in rainfall or peak runoff to probabilities in damage, as often used in traditional approaches, are bypassed. RFM and the ‘derived flood risk approach based on continuous simulations’ has the potential to provide flood risk statements for national planning, re-insurance aspects or other questions where spatially consistent, large-scale assessments are required. N2 - In der Vergangenheit standen bei der Betrachtung von Hochwasser insbesondere technische Schutzmaßnahmen und die Reduzierung der Hochwassergefahr im Mittelpunkt. Inzwischen wird Hochwasser zunehmend aus der Risikoperspektive betrachtet, d.h. neben der Gefährdung werden auch die Auswirkungen berücksichtigt. In diesem Zuge wurde auch die Notwendigkeit von großräumigen Hochwasserrisikoanalysen für das Management von Naturgefahren und als Planungsgrundlage auf nationaler Ebene sowie für die Rückversicherungsindustrie erkannt. Insbesondere durch die Einführung der Europäischen Hochwasserrisikomanagement Richtlinie sind risikoorientierte Managementpläne auf Einzugsgebietsebene obligatorisch. Allerdings befinden sich großräumige Hochwasserrisikoanalysen von mehreren 10.000 km², noch in den Anfängen. Traditionell werden Hochwasserrisikoanalysen für Gewässerabschnitte durchgeführt, wobei homogene Wiederkehrintervalle für das ganze Untersuchungsgebiet angenommen werden. Für lokale Fragestellungen ist diese Vorgehensweise sinnvoll, dies gilt allerdings nicht für die großräumige Analyse des Hochwasserrisikos. Die Annahme eines beispielsweise 100-jährigen Hochwassers im gesamten Gebiet ist unrealistisch und das Hochwasserrisiko würde dabei stark überschätzt werden. Aufgrund unzureichender Schadensdaten werden bei der Berechnung des Risikos oftmals die Wahrscheinlichkeiten des Niederschlags oder der Hochwasserscheitelabflüsse als Annäherung für die Wahrscheinlichkeit des Schadens angenommen. Durch eine kontinuierliche Langzeit-Simulation der gesamten Hochwasserrisikokette könnte sowohl die räumliche Verteilung der Wiederkehrintervalle berücksichtig werden, als auch das Hochwasserrisiko direkt aus Schadenszeitreihen abgeleitet werden. Die Zielsetzung dieser Arbeit ist die Entwicklung und Anwendung einer, für großräumige Gebiete geeigneten, kontinuierlichen Hochwasserrisikomodellkette. Damit wird ein neuartiger Ansatz des ‚abgeleiteten Hochwasserrisikos basierend auf kontinuierlichen Simulationen‘ eingeführt, der das Hochwasserrisiko direkt aus den simulierten Abflusszeitreichen und den daraus resultierenden Schadenzeitreihen ableitet. Die größte Herausforderung der Hochwasserrisikokette liegt bei den sehr rechenintensiven, detaillierten hydraulischen Simulationen. Um geeignete hydraulische Modelle für die großräumige Anwendung zu identifizieren, wurde eine Benchmark-Studie mit 2D Modellen unterschiedlicher Komplexität durchgeführt. Auf dieser Grundlage wurde für die Hochwasserrisikomodellkette ein rasterbasierter Ansatz mit einer relativ hohen Auflösung von 100 m in Kombination mit einem schnellen 1D Fließgewässermodell ausgewählt. Um die Eignung einer kontinuierlichen Simulation der gesamten Hochwasserrisikokette für großräumige Anwendungen zu prüfen, wurden zunächst alle Komponenten der Modellkette im ‚Regional Flood Model‘ (RFM) zusammengeführt. RFM besteht aus dem hydrologischen Modell SWIM, 1D und 2D hydraulischen Modellen, sowie dem Schadensmodell FELMOps+r. Nachfolgend wurde die Modellkette für das Elbe-Einzugsgebiet (>60.000 km²) angewendet. Es wurde eine kontinuierliche Simulation für den Zeitraum 1990-2003 durchgeführt. Die Ergebnisse wurden nach Möglichkeit mit vorhandenen Messdaten validiert/evaluiert. Auch wenn jede Komponente zu Unsicherheiten in den Ergebnissen der Modellkette beiträgt, sind die Ergebnisse und Rechenzeiten für die Anwendung auf großskaliger Einzugsgebietsebene als adäquat anzusehen. Schließlich wurde RFM in einem mesoskaligen Einzugsgebiet (6.000 km²) im Osten von Deutschland angewendet, um erstmals eine Hochwasserrisikoanalyse mit dem neuartigen Ansatz des ‚abgeleiteten Hochwasserrisikos basierend auf kontinuierlichen Simulationen‘ durchzuführen. Als Input wurde eine 100 x 100-jährige Zeitreihe meteorologischer Daten von einem Wettergenerator erzeugt. Die somit erzeugte 100 x 100-jährige konsistente Abflusszeitreihe, Überschwemmungsmuster und Schadenswerte dienten als Basis für die nachfolgende Erstellung von Hochwasserrisikokurven und Schadenserwartungswerten für das Untersuchungsgebiet. Diese ermöglichen eine großräumige Analyse des Hochwasserrisikos. Dabei wurde die räumliche Variation der Wahrscheinlichkeiten berücksichtigt. Die verwendeten Daten und Methoden waren außerdem im gesamten Untersuchungsgebiet einheitlich. Einzugsgebietsprozesse und Prozesse der Überschwemmungsflächen werden holistisch dargestellt. Die Vorbedingungen im Einzugsgebiet sowie physikalische Prozesse, wie Rückhalteeffekte, Überlagerungseffekte im Gewässernetz oder Interaktionen zwischen Fluss und Überschwemmungsflächen, werden implizit berücksichtigt. Die Simulation von 100 x 100 Jahren und die daraus resultierende große Anzahl an Schadensdaten ermöglichen die direkte Berechnung des Hochwasserrisikos aus Schadenswahrscheinlichkeiten. Die Probleme, die durch die Übertragung von Wahrscheinlichkeiten von Niederschlag oder Scheitelabfluss auf die Wahrscheinlichkeiten im Schaden resultieren, werden umgangen. RFM und der Ansatz des ‚abgeleiteten Hochwasserrisikos basierend auf kontinuierlichen Simulationen‘ haben das Potential Hochwasserrisikoaussagen für nationale Planungen, Rückversicherungsaspekte oder andere Fragestellungen, bei denen räumlich konsistente und großräumige Analysen nötig sind, zu treffen. KW - flood risk KW - hydraulic simulation KW - flood risk analysis KW - risk model chain KW - floodplain inundation KW - Hochwasserrisikoanalysen KW - Hochwasserrisikokette KW - Überschwemmungsflächen KW - kontinuierlicher Simulationsansatz Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-90239 ER - TY - JOUR A1 - Salvestroni, Simonetta T1 - A Recurring Theme in Tarkovsky’s Cinema BT - The Window as the Entrance to Another Dimension JF - Andrej Tarkovskij: Klassiker – Классик – Classic – Classico : Beiträge zum internationalen Tarkovskij-Symposium an der Universität Potsdam ; Band 2 Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-100472 SN - 978-3-86956-352-7 SP - 399 EP - 407 PB - Universitätsverlag Potsdam CY - Potsdam ER - TY - GEN A1 - Levermann, Anders A1 - Winkelmann, Ricarda T1 - A simple equation for the melt elevation feedback of ice sheets T2 - Postprints der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe N2 - In recent decades, the Greenland Ice Sheet has been losing mass and has thereby contributed to global sea-level rise. The rate of ice loss is highly relevant for coastal protection worldwide. The ice loss is likely to increase under future warming. Beyond a critical temperature threshold, a meltdown of the Greenland Ice Sheet is induced by the self-enforcing feedback between its lowering surface elevation and its increasing surface mass loss: the more ice that is lost, the lower the ice surface and the warmer the surface air temperature, which fosters further melting and ice loss. The computation of this rate so far relies on complex numerical models which are the appropriate tools for capturing the complexity of the problem. By contrast we aim here at gaining a conceptual understanding by deriving a purposefully simple equation for the self-enforcing feedback which is then used to estimate the melt time for different levels of warming using three observable characteristics of the ice sheet itself and its surroundings. The analysis is purely conceptual in nature. It is missing important processes like ice dynamics for it to be useful for applications to sea-level rise on centennial timescales, but if the volume loss is dominated by the feedback, the resulting logarithmic equation unifies existing numerical simulations and shows that the melt time depends strongly on the level of warming with a critical slow-down near the threshold: the median time to lose 10% of the present-day ice volume varies between about 3500 years for a temperature level of 0.5 degrees C above the threshold and 500 years for 5 degrees C. Unless future observations show a significantly higher melting sensitivity than currently observed, a complete meltdown is unlikely within the next 2000 years without significant ice-dynamical contributions. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 529 KW - sea-level rise KW - mass-balance KW - climate-change KW - Greenland KW - model KW - glacier KW - projections KW - dynamics KW - impact KW - 21st-Century Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-409834 SN - 1866-8372 IS - 529 ER - TY - THES A1 - Wack, Christian T1 - Acceptance criteria as part of the German energy turnaround T1 - Akzeptanzkriterien als Teil der deutschen Energiewende BT - a contribution to the implementation of and citizen participation in the major planning project “Suedlink” BT - ein Beitrag zur Planung und Durchführung der Windstromleitung SuedLink unter Berücksichtigung der Bürgerbeteiligung N2 - Die vorliegende Arbeit ist eine Fallstudie zum Netzausbauprojekt „Suedlink“. Sie gliedert sich demnach in vier wesentliche Abschnitte: 1. In einem theoretischen Teil werden die für diese Arbeit wichtigen Theorien der „Sozialen Akzeptanz“ nach Wüstenhagen et al. (2007), der „Schritte der Partizipation“ nach Münnich (2014) und der Governance-Theorie nach Benz und Dose (2011) erläutert. 2. In einem methodischen Teil werden die für diese Arbeit relevanten Methoden diskutiert und kritisch erläutert. 3. In einem qualitativ-empirischen Teil werden die Informationen der Experteninterviews ausgewertet und anhand der vorgestellten Theorien eingeordnet. In dem vierten und letzten Teil der Arbeit wird eine empirisch-quantitative Analyse der gesellschaftlichen Akzeptanz gegenüber Südlink vorgenommen. In dieser Arbeit soll mithilfe qualitativer und quantitativer Methoden zwei Fragen geklärt werden. 1. Welche Governance-Aspekte waren für eine gesetzliche Priorität von Erdkabeln im Ausbau von Hochspannungsübertragungsgleichstromleitungen entscheidend? Hierfür wurden intensive Dokumentenanalysen und verschiedene Experteninterviews durchgeführt. 2. Die zentrale Fragestellung dieser Arbeit beschäftigt sich mit der Frage, inwiefern lokale und individuelle Faktoren die Akzeptanz von Suedlink beeinflussen. Hierbei ist interessant zu sehen, welchen Einfluss der gesetzliche Erdkabelvorrang bei der Akzeptanzbildung der Bevölkerung gegenüber Suedlink gespielt hat. Für die Beantwortung wurde ein Online-survey konzipiert, welcher zwischen März und Juli 2016 über Bürgerinitiativen, Landräte und soziale Netzwerke verteilt wurde. Nach Abschluss der Datenerhebung wurden dieser unter Verwendung deskriptiv-quantitativer Methoden ausgewertet. Die Auswertung der Umfrage zeigt auf, das Erdkabel alleine keine nennenswerte Akzeptanz schaffen (vgl. dazu Menges und Beyer, 2013). Vielmehr stehen individuell und lokale Faktoren und Kriterien im Vordergrund der Beurteilung. Zum Beispiel spielt die Qualität der Partizipation und Einbindung der Bürger sowie die Nähe zur Erdverkabelung und die finanzielle Mehrbelastung eine Rolle bei der Beurteilung von Erdkabeln. Zudem wird deutlich, das Befragte aus Bürgerinitiativen wesentlich kritischer gegen Suedlink allgemein und gegenüber Erdkabeln im speziellen sind. Ferner ist signifikant, dass Eigenheimbesitzer jegliche Bauform ablehnen. N2 - The present work is a case study contributing to the major planning project “Suedlink”. It is structured as follows: first, in a theoretical part, mandatory theories of social acceptance (Wüstenhagen et al., 2007), steps of participation (Münnich, 2014), and the governance theory (Benz and Dose, 2011) are elaborated. Secondly, the relevant methods are discussed. Thirdly, in a qualitative analytical part, the information that were gathered from the expert interviews are analyzed with the use of the aforementioned theories. In the fourth place, an empirical quantitative analysis of data regarding the public acceptance towards Suedlink is presented. In this case study, with the use of qualitative and quantitative methods, two questions are answered: first, which governance aspects were relevant for the priority use of underground cables for the construction of high voltage direct current transmission lines? For this question, intensive document analysis and different expert interviews were conducted. Secondly, the central question of the present work addresses the question whether local or/and individual factors affect the public acceptance towards SüdLink. Here, in particular, it is interesting to analyze if the priority use of underground cables affected the people’s acceptance towards SuedLink. In order to respond to both questions, an online survey was conducted among citizen initiatives, district administrators, and individuals in social media during March till July 2016. Thereafter, the data was analyzed with the use of descriptive quantitative methods. The data shows, that underground cables not necessarily increase public acceptance (see also Menges and Beyer, 2013). On the contrary, individual and local criteria were relevant for the survey respondents. For example criteria such as the quality of participation, distance between home and transmission lines, and the additional financial burden (taxes, higher prices for electricity) were important for the evaluation. In addition, survey respondents who participated in citizen initiatives were more critical against the priority use of underground cables and SuedLink in general. Likewise, residential homeowners rejected every form of transmission lines. KW - Suedlink KW - Südlink KW - Netzausbau KW - Bürgerbeteiligung KW - Energiewende KW - Partizipation KW - soziale Akzeptanz KW - Großprojekte KW - Suedlink KW - Südlink KW - transmission grid KW - citizen participation KW - energy transition KW - energy turnaround KW - social acceptance KW - high-voltage direct current transmission lines Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-395173 ER - TY - GEN A1 - Bonache, Helena A1 - Gonzalez-Mendez, Rosaura A1 - Krahé, Barbara T1 - Adult attachment styles, destructive conflict resolution, and the experience of intimate partner violence T2 - Postprints der Universität Potsdam : Humanwissenschaftliche Reihe N2 - Although there is ample evidence linking insecure attachment styles and intimate partner violence (IPV), little is known about the psychological processes underlying this association, especially from the victim’s perspective. The present study examined how attachment styles relate to the experience of sexual and psychological abuse, directly or indirectly through destructive conflict resolution strategies, both self-reported and attributed to their opposite-sex romantic partner. In an online survey, 216 Spanish undergraduates completed measures of adult attachment style, engagement and withdrawal conflict resolution styles shown by self and partner, and victimization by an intimate partner in the form of sexual coercion and psychological abuse. As predicted, anxious and avoidant attachment styles were directly related to both forms of victimization. Also, an indirect path from anxious attachment to IPV victimization was detected via destructive conflict resolution strategies. Specifically, anxiously attached participants reported a higher use of conflict engagement by themselves and by their partners. In addition, engagement reported by the self and perceived in the partner was linked to an increased probability of experiencing sexual coercion and psychological abuse. Avoidant attachment was linked to higher withdrawal in conflict situations, but the paths from withdrawal to perceived partner engagement, sexual coercion, and psychological abuse were non-significant. No gender differences in the associations were found. The discussion highlights the role of anxious attachment in understanding escalating patterns of destructive conflict resolution strategies, which may increase the vulnerability to IPV victimization. T3 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe - 405 KW - attachment styles KW - conflict resolution KW - intimate partner violence KW - psychological abuse KW - sexual coercion Y1 - 2018 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-405132 IS - 405 ER - TY - RPRT A1 - Kahombo, Balingene T1 - Africa Within the Justice System of the International Criminal Court BT - The Need for a Reform T2 - KFG Working Paper Series N2 - This article re-examines the relationship between Africa and the International Criminal Court (ICC). It traces the successive changes of the African attitude towards this Court, from states' euphoria, to hostility against its work, to regional counter-initiatives through the umbrella of the African Union (AU). The main argument goes beyond the idea of "the Court that Africa wants" in order to identify concrete reasons behind such a formal argument which may have fostered, if not enticed, the majority of African states to become ICC members and actively cooperate with it, when paradoxically some great powers have decided to stay outside its jurisdiction. It also seeks to understand, from a political and legal viewpoint, which parameters have changed since then to provoke that hostile attitude against the Court's work and the entrance of the AU into the debate through the African Common Position on the ICC. Lastly, this article explores African alternatives to the contested ICC justice system. It examines the need to reform the Rome Statute in order to give more independence, credibility and legitimacy to the ICC and its duplication to some extent by the new "Criminal Court of the African Union". Particular attention is paid to the resistance against this idea to reform the ICC justice system. T3 - KFG Working Paper Series - 2 Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-419537 SN - 2509-3770 SN - 2509-3762 IS - 2 ER - TY - THES A1 - Räling, Romy T1 - Age of acquisition and semantic typicality effects T1 - Erwerbsalter- und semantische Typikalitätseffekte BT - evidences for distinct processing origins from behavioural and ERP data in healthy and impaired semantic processing BT - Evidenzen für distinktive Verarbeitungsursprünge aus behavioralen und elektrophysiologischen Daten der sprachgesunden und beeinträchtigten semantischen Verarbeitung N2 - Age of acquisition (AOA) is a psycholinguistic variable that significantly influences behavioural measures (response times and accuracy rates) in tasks that require lexical and semantic processing. Its origin is – unlike the origin of semantic typicality (TYP), which is assumed at the semantic level – controversially discussed. Different theories propose AOA effects to originate either at the semantic level or at the link between semantics and phonology (lemma-level). The dissertation aims at investigating the influence of AOA and its interdependence with the semantic variable TYP on particularly semantic processing in order to pinpoint the origin of AOA effects. Therefore, three studies have been conducted that considered the variables AOA and TYP in semantic processing tasks (category verifications and animacy decisions) by means of behavioural and partly electrophysiological (ERP) data and in different populations (healthy young and elderly participants and in semantically impaired individuals with aphasia (IWA)). The behavioural and electrophysiological data of the three studies provide evidence for distinct processing levels of the variables AOA and TYP. The data further support previous assumptions on a semantic origin for TYP but question the same for AOA. The findings, however, support an origin of AOA effects at the transition between the word form (phonology) and the semantic level that can be captured at the behavioural but not at the electrophysiological level. N2 - Das Erwerbsalter (engl. age of acquisition, AOA) ist eine psycholinguistische Variable, die Verhaltensdaten (Reaktionszeiten und Fehlerraten) von sprachgesunden Studienteilnehmern in Aufgaben zur lexikalisch-semantischen Verarbeitung nachweislich beeinflusst. Während für die Typikalität (engl. typicality, TYP), eine weitere wichtige psycholinguistische Variable, der Verarbeitungsursprung auf der semantischen Ebene als sicher angenommen werden kann, wird der Ursprung des Erwerbsalters bis heute kontrovers diskutiert. Verschiedene Theorien erwägen den Ursprung von Erwerbsaltereffekten entweder auf der semantischen Ebene oder auf der Verbindungsroute zwischen der Semantik und der Phonologie (Lemma-Level). Das Ziel der Dissertation ist die Evaluation eines semantischen Ursprunges von Erwerbsaltereffekten sowie des Wechselspiels des Erwerbsalters mit der semantischen Variable Typikalität. Im Rahmen des Promotionsprojektes wurden drei Studien durchgeführt, die die Variablen Erwerbsalter und Typikalität in Aufgaben zum Sprachverständnis (Belebtheits-Entscheiden und Kategorie-Vertreter-Verifikation) mit Hilfe unterschiedlicher Methoden (Verhaltens- und EEG-Messungen) und Populationen (junge und ältere Sprachgesunde und Aphasiker mit einem spezifisch semantischen Defizit) untersuchen. Die erhobenen Daten der drei Studien liefern Evidenzen für unterschiedliche Verarbeitungsursprünge der Variablen Erwerbsalter und Typikalität. Während die Daten bisherige Annahmen eines semantischen Ursprunges von Typikalitätseffekten unterstützen, stellen sie entsprechendes für Erwerbsaltereffekte in Frage. Insbesondere die behavioralen Ergebnisse liefern jedoch Evidenzen für einen Verarbeitungsursprung des Erwerbsalters auf den Verbindungsrouten zwischen den Wortformebenen (phonologisches bzw. graphematisches Inputlexikon) und der semantischen Ebene. KW - semantische Typikalität KW - Erwerbsalter KW - Aphasie KW - semantische Verarbeitung KW - ereigniskorrelierte Potentiale KW - semantic typicality KW - age of acquisition KW - aphasia KW - semantic processing KW - event-related potentials Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-95943 ER - TY - GEN A1 - Kuik, Friderike A1 - Lauer, Axel A1 - Churkina, Galina A1 - Denier Van der Gon, Hugo Anne Cornelis A1 - Fenner, Daniel A1 - Mar, Kathleen A. A1 - Butler, Tim M. T1 - Air quality modelling in the Berlin–Brandenburg region using WRF-Chem v3.7.1 BT - sensitivity to resolution of model grid and input data T2 - Postprints der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe N2 - Air pollution is the number one environmental cause of premature deaths in Europe. Despite extensive regulations, air pollution remains a challenge, especially in urban areas. For studying summertime air quality in the Berlin-Brandenburg region of Germany, the Weather Research and Forecasting Model with Chemistry (WRF-Chem) is set up and evaluated against meteorological and air quality observations from monitoring stations as well as from a field campaign conducted in 2014. The objective is to assess which resolution and level of detail in the input data is needed for simulating urban background air pollutant concentrations and their spatial distribution in the Berlin-Brandenburg area. The model setup includes three nested domains with horizontal resolutions of 15, 3 and 1 km and anthropogenic emissions from the TNO-MACC III inventory. We use RADM2 chemistry and the MADE/SORGAM aerosol scheme. Three sensitivity simulations are conducted updating input parameters to the single-layer urban canopy model based on structural data for Berlin, specifying land use classes on a sub-grid scale (mosaic option) and downscaling the original emissions to a resolution of ca. 1 km x 1 km for Berlin based on proxy data including traffic density and population density. The results show that the model simulates meteorology well, though urban 2m temperature and urban wind speeds are biased high and nighttime mixing layer height is biased low in the base run with the settings described above. We show that the simulation of urban meteorology can be improved when specifying the input parameters to the urban model, and to a lesser extent when using the mosaic option. On average, ozone is simulated reasonably well, but maximum daily 8 h mean concentrations are underestimated, which is consistent with the results from previous modelling studies using the RADM2 chemical mechanism. Particulate matter is underestimated, which is partly due to an underestimation of secondary organic aerosols. NOx (NO + NO2) concentrations are simulated reasonably well on average, but nighttime concentrations are overestimated due to the model's underestimation of the mixing layer height, and urban daytime concentrations are underestimated. The daytime underestimation is improved when using downscaled, and thus locally higher emissions, suggesting that part of this bias is due to deficiencies in the emission input data and their resolution. The results further demonstrate that a horizontal resolution of 3 km improves the results and spatial representativeness of the model compared to a horizontal resolution of 15 km. With the input data (land use classes, emissions) at the level of detail of the base run of this study, we find that a horizontal resolution of 1 km does not improve the results compared to a resolution of 3 km. However, our results suggest that a 1 km horizontal model resolution could enable a detailed simulation of local pollution patterns in the Berlin-Brandenburg region if the urban land use classes, together with the respective input parameters to the urban canopy model, are specified with a higher level of detail and if urban emissions of higher spatial resolution are used. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 531 KW - urban canopy model KW - aqmeii phase-2 KW - Mexico-City KW - Heat-Island KW - ozone KW - performance KW - transport KW - chemistry KW - meteorology KW - simulation Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-410131 SN - 1866-8372 IS - 531 ER - TY - THES A1 - Steeples, Elliot T1 - Amino acid-derived imidazolium salts: platform molecules for N-Heterocyclic carbene metal complexes and organosilica materials T1 - Imidazolium-Salze aus Aminosäure: Bausteine für N-Heterozyklische-Carben Metallkomplexe und Organosilicamaterialien N2 - In the interest of producing functional catalysts from sustainable building-blocks, 1, 3-dicarboxylate imidazolium salts derived from amino acids were successfully modified to be suitable as N-Heterocyclic carbene (NHC) ligands within metal complexes. Complexes of Ag(I), Pd(II), and Ir(I) were successfully produced using known procedures using ligands derived from glycine, alanine, β-alanine and phenylalanine. The complexes were characterized in solid state using X-Ray crystallography, which allowed for the steric and electronic comparison of these ligands to well-known NHC ligands within analogous metal complexes. The palladium complexes were tested as catalysts for aqueous-phase Suzuki-Miyaura cross-coupling. Water-solubility could be induced via ester hydrolysis of the N-bound groups in the presence of base. The mono-NHC–Pd complexes were seen to be highly active in the coupling of aryl bromides with phenylboronic acid; the active catalyst of which was determined to be mostly Pd(0) nanoparticles. Kinetic studies determined that reaction proceeds quickly in the coupling of bromoacetophenone, for both pre-hydrolyzed and in-situ hydrolysis catalyst dissolution. The catalyst could also be recycled for an extra run by simply re-using the aqueous layer. The imidazolium salts were also used to produce organosilica hybrid materials. This was attempted via two methods: by post-grafting onto a commercial organosilica, and co-condensation of the corresponding organosilane. The co-condensation technique harbours potential for the production of solid-support catalysts. N2 - Um Katalysatoren aus nachhaltigen Chemikalien herzustellen, wurden 1,3-Dicarbonsäure-Imidazolium-Salze, welche aus Aminosäuren synthetisiert wurden als N-heterozyklische-Carben-Liganden (NHC) in Metallkomplexen modifiziert. Liganden aus Glycin, Alanin, β-Alanin und Phenylalanin wurden wiederum genutzt, um Metallkomplexe aus Silber(I), Palladium(II) und Iridium(I) darzustellen. Alle Komplexverbindungen wurden mit Röntgenkristallographie charakterisiert. Die Palladiumkomplexe wurden als Katalysatoren in der Suzuki-Miyaura Reaktion eingesetzt. Durch zusätzliche Hydrolyse der Ester-Gruppen konnte eine gute Wasserlöslichkeit erreicht werden. Die hohe Aktivität der Mono-NHC–Palladium-Komplexe konnte bei der Kupplung von Arylbromiden mit Phenylboronsäuren aufgezeigt werden. Die aktive Spezies wurde hauptsächlich Pd(0) Nanopartikeln zugeschrieben. Nach erfolgreichem Recycling konnte der Katalysator noch einmal wiederverwendet werden. Die Imidazolium-Salze wurden ebenfalls herangezogen, um Organosilicamaterialien zu synthetisieren. Die Herstellung wurde durch zwei Methoden erreicht. Zum einen durch nachträgliches Aufbringen auf kommerzielle Siliziummaterialien, sowie durch Co-Kondensation auf das entsprechende Organosilan. Diese Co-Kondensation birgt Potential zur Herstellung von festen Trägerkatalysatoren. KW - synthesis KW - Synthese KW - sustainable chemistry KW - nachhaltige Chemie KW - organometallics KW - Metallorganischen KW - water KW - Wasser Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-101861 ER - TY - GEN A1 - Steeples, Elliot A1 - Kelling, Alexandra A1 - Schilde, Uwe A1 - Esposito, Davide T1 - Amino acid-derived N-heterocyclic carbene palladium complexes for aqueous phase Suzuki–Miyaura couplings N2 - In this work, three ligands produced from amino acids were synthesized and used to produce five bis- and PEPPSI-type palladium–NHC complexes using a novel synthesis route from sustainable starting materials. Three of these complexes were used as precatalysts in the aqueous-phase Suzuki–Miyaura coupling of various substrates displaying high activity. TEM and mercury poisoning experiments provide evidence for Pd-nanoparticle formation stabilized in water. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 319 KW - transition-metal-complexes KW - imidazolium salts KW - green chemistry KW - water KW - catalysts KW - nhc KW - hydrogenation KW - isomerization KW - nanoparticles KW - precatalysts Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-394488 SP - 4922 EP - 4930 ER - TY - THES A1 - Shikangalah, Rosemary Ndawapeka T1 - An ecohydrological impact assessment in urban areas BT - urban water erosion in Windhoek, Namibia N2 - Over the last decades, the world’s population has been growing at a faster rate, resulting in increased urbanisation, especially in developing countries. More than half of the global population currently lives in urbanised areas with an increasing tendency. The growth of cities results in a significant loss of vegetation cover, soil compaction and sealing of the soil surface which in turn results in high surface runoff during high-intensity storms and causes the problem of accelerated soil water erosion on streets and building grounds. Accelerated soil water erosion is a serious environmental problem in cities as it gives rise to the contamination of aquatic bodies, reduction of ground water recharge and increase in land degradation, and also results in damages to urban infrastructures, including drainage systems, houses and roads. Understanding the problem of water erosion in urban settings is essential for the sustainable planning and management of cities prone to water erosion. However, in spite of the vast existence of scientific literature on water erosion in rural regions, a concrete understanding of the underlying dynamics of urban erosion still remains inadequate for the urban dryland environments. This study aimed at assessing water erosion and the associated socio-environmental determinants in a typical dryland urban area and used the city of Windhoek, Namibia, as a case study. The study used a multidisciplinary approach to assess the problem of water erosion. This included an in depth literature review on current research approaches and challenges of urban erosion, a field survey method for the quantification of the spatial extent of urban erosion in the dryland city of Windhoek, and face to face interviews by using semi-structured questionnaires to analyse the perceptions of stakeholders on urban erosion. The review revealed that around 64% of the literatures reviewed were conducted in the developed world, and very few researches were carried out in regions with extreme climate, including dryland regions. Furthermore, the applied methods for erosion quantification and monitoring are not inclusive of urban typical features and they are not specific for urban areas. The reviewed literature also lacked aspects aimed at addressing the issues of climate change and policies regarding erosion in cities. In a field study, the spatial extent and severity of an urban dryland city, Windhoek, was quantified and the results show that nearly 56% of the city is affected by water erosion showing signs of accelerated erosion in the form of rills and gullies, which occurred mainly in the underdeveloped, informal and semi-formal areas of the city. Factors influencing the extent of erosion in Windhoek included vegetation cover and type, socio-urban factors and to a lesser extent slope estimates. A comparison of an interpolated field survey erosion map with a conventional erosion assessment tool (the Universal Soil Loss Equation) depicted a large deviation in spatial patterns, which underlines the inappropriateness of traditional non-urban erosion tools to urban settings and emphasises the need to develop new erosion assessment and management methods for urban environments. It was concluded that measures for controlling water erosion in the city need to be site-specific as the extent of erosion varied largely across the city. The study also analysed the perceptions and understanding of stakeholders of urban water erosion in Windhoek, by interviewing 41 stakeholders using semi-structured questionnaires. The analysis addressed their understanding of water erosion dynamics, their perceptions with regards to the causes and the seriousness of erosion damages, and their attitudes towards the responsibilities for urban erosion. The results indicated that there is less awareness of the process as a phenomenon, instead there is more awareness of erosion damages and the factors contributing to the damages. About 69% of the stakeholders considered erosion damages to be ranging from moderate to very serious. However, there were notable disparities between the private householders and public authority groups. The study further found that the stakeholders have no clear understanding of their responsibilities towards the management of the control measures and payment for the damages. The private householders and local authority sectors pointed fingers at each other for the responsibilities for erosion damage payments and for putting up prevention measures. The reluctance to take responsibility could create a predicament for areas affected, specifically in the informal settlements where land management is not carried out by the local authority and land is not owned by the occupants. The study concluded that in order to combat urban erosion, it is crucial to understand diverse dynamics aggravating the process of urbanisation from different scales. Accordingly, the study suggests that there is an urgent need for the development of urban-specific approaches that aim at: (a) incorporating the diverse socio-economic-environmental aspects influencing erosion, (b) scientifically improving natural cycles that influence water storages and nutrients for plants in urbanised dryland areas in order to increase the amount of vegetation cover, (c) making use of high resolution satellite images to improve the adopted methods for assessing urban erosion, (d) developing water erosion policies, and (e) continuously monitoring the impact of erosion and the influencing processes from local, national and international levels. N2 - In den letzten Jahrzehnten ist die Erdbevölkerung mit großer Geschwindigkeit gewachsen. Das hatte eine verstärkte Urbanisierung zur Folge, insbesondere in den Entwicklungsländern. Zurzeit lebt über die Hälfte der globalen Bevölkerung in Stadtgebieten, mit steigender Tendenz. Städtewachstum geht mit einem signifikanten Verlust von Vegetationsbedeckung, sowie mit Bodenverdichtung und -versiegelung einher. Diese Faktoren führen bei Starkregenereignissen zu einem hohen Oberflächenabfluss, und zu Problemen durch beschleunigte wasserbedingte Bodenerosion in Straßen und auf Baugelände. In Städten ist eine beschleunigte wasserbedingte Bodenerosion ist ein ernstzunehmendes Umweltproblem, denn sie verursacht eine Verschmutzung der Gewässer, eine verminderte Grundwasserneubildung und erhöhte Landdegradierung. Darüber hinaus kommt es zu erosionsbedingten Schäden in der städtischen Infrastruktur, inklusive der Entwässerungssysteme, sowie an Häusern und Straßen. Für ein nachhaltiges Planen und Management von erosionsanfälligen Städten ist es von essentieller Bedeutung, die Probleme der Wassererosion in städtischen Gebieten zu verstehen. Trotz der großen Anzahl wissenschaftlicher Studien über Wassererosion in ländlichen Gegenden bleibt unser Verständnis der zu Grunde liegenden Erosionsdynamiken in urbanen Trockengebieten unzureichend. Diese Studie zielt darauf ab, Wassererosion, sowie die dazu beitragenden sozio-ökologischen Faktoren, in einem typischen urbanen Trockengebiet zu erfassen. Hierzu wurde ein fachübergreifender Ansatz am Fallbeispiel der Stadt Windhoek, Namibia, gewählt. Die Arbeit umfasst eine detaillierte Literaturanalyse der aktuellen Forschungsansätze zur urbanen Wassererosion und den damit verbundenen Herausforderungen. Außerdem wurde eine feldstudienbasierte Methode entwickelt, mit der das Ausmaß der Wassererosion in der Stadt Windhoek quantifiziert und räumlich erfasst wurde. Schließlich wurden persönliche Befragungen mit halbstrukturierten Fragebögen durchgeführt, um die Wahrnehmung der verschiedenen Interessenvertreter zum Thema Erosion in Stadtgebieten zu analysieren. Die Literaturanalyse hat gezeigt, dass 64% der untersuchten Studien in der entwickelten Welt durchgeführt wurden und nur sehr wenige Regionen mit extremen Klimabedingungen, einschließlich Trockengebieten, untersucht wurden. Hinzu kommt, dass die verwendeten Methoden zur Erosionsquantifizierung und -beobachtung die für urbane Gebiete typischen Merkmale nicht beinhalten und dafür auch nicht ausgerichtet sind. Des Weiteren mangelt es der untersuchten Literatur an Ansätzen, die den Einfluss des Klimawandels und politische Aspekte in Bezug auf Erosion in Stadtgebieten thematisieren. In einer Feldstudie wurde das Ausmaß von Wassererosion in der trocken gelegenen Stadt Windhoek quantifiziert und räumlich erfasst. Beinahe 56% der Stadt waren von Wassererosion betroffen und wiesen Anzeichen beschleunigter Erosion in Form von Rinnen und Rillen auf. Letztere traten vor allem in den unterentwickelten, informellen und semi-formellen Stadtgebieten auf. Das Ausmaß der Erosion in Windhoek wurde unter anderem von der Vegetationsbedeckung und dem Vegetationstyp, von sozial-urbanen Faktoren, und zu einem geringeren Grad von dem geschätzten Gefälle bestimmt. Der Vergleich einer interpolierten feldstudienbasierten Erosionskarte mit Ergebnissen, die auf einer konventionellen Methode zur Erosionserfassung (der Allgemeinen Bodenabtragsgleichung (ABAG)) basieren, ergab eine starke Abweichung in den räumlichen Mustern. Das verdeutlicht die Unzulänglichkeit einer direkten Übertragung von traditionellen nicht-urbanen Methoden zur Erosionserfassung auf ein urbanes Umfeld und betont die Notwendigkeit, neue Methoden sowohl zur Erfassung als auch zum Management von Erosion für urbane Gebiete zu entwickeln. Aus der großen Variabilität des Erosionsausmaßes innerhalb der Stadt lässt sich folgern, dass Methoden zur Kontrolle von Wassererosion in Städten standortspezifisch sein sollten. Anhand von halbstrukturierten Fragebögen wurde in einem weiteren Teil der Arbeit die Wahrnehmung und das Verständnis der unterschiedlichen Interessenvertreter zum Thema urbane Wassererosion in Windhoek untersucht. Insgesamt wurden 41 Interessenvertreter zu ihrem Verständnis der Wassererosionsdynamiken, zu ihrer Wahrnehmung in Bezug auf mögliche Ursachen und zum Ausmaß der Erosionsschäden, sowie zu ihrer Einstellung zur Verantwortlichkeit für die Erosion in der Stadt befragt. Die Ergebnisse deuten darauf hin, dass es eine geringe Wahrnehmung für das Phänomen der Erosion als Prozess gibt, dafür aber eine im Vergleich erhöhte Wahrnehmung der Erosionsschäden und der Faktoren, die zu den Schäden beitragen. Ungefähr 69% der Interessenvertreter stuften die Erosionsschäden als moderat bis sehr ernsthaft ein. Dabei gab es erkennbare Differenzen zwischen der Gruppe der privaten Haushalte und der der öffentlichen Behörden. Des Weiteren hat die Untersuchung ergeben, dass die Interessenvertreter kein klares Verständnis ihrer Verantwortung in Bezug auf das Management der Kontrollmaßnahmen, sowie ihrer finanziellen Verantwortung für die Schäden haben. Die privaten Haushalte und die örtlichen Behörden wiesen sich gegenseitig die Zahlungsverantwortung für die Erosionsschäden und für vorbeugende Maßnahmen zu. Der Unwille der einzelnen Akteure, Verantwortung zu übernehmen, könnte eine Zwickmühle für die betroffenen Gebiete werden. Dies gilt insbesondere für die informellen Siedlungen, in denen von den örtlichen Behörden kein Landmanagement durchgeführt wird, das Land aber auch nicht Eigentum der Bewohnern ist. Abschließend hat die Studie ergeben, dass es für eine effektive Erosionsbekämpfung in der Stadt von ausschlaggebender Bedeutung ist, die verschiedenen, den Prozess der Urbanisierung auf negative Weise verstärkenden Dynamiken, auf ihren unterschiedlichen Skalen zu verstehen. Auf Grundlage der hier präsentierten Ergebnisse wird eine Entwicklung speziell auf Stadtgebiete ausgerichteter Ansätze mit folgenden Zielen dringend nahegelegt: (a) Einer Integration von diversen sozio-ökonomisch-ökologischen Aspekten, die sich auf Erosion auswirken; (b) Einer wissenschaftlich begründeten Verbesserung der natürlichen Kreisläufe, die sich positiv auf die Wasserspeicherung im Boden und die Nährstoffverfügbarkeit für Pflanzen auswirken, um dadurch einen höheren Vegetationsbedeckungsgrad zu erreichen; (c) Der Nutzung hoch aufgelöster Satellitendaten, um die Methoden zur Erosionserfassung für urbane Gebiete zu verbessern; (d) Der Entwicklung politischer Maßnahmen zur Bekämpfung von Wassererosion. KW - urban soil erosion KW - water erosion KW - risk mapping KW - urbane Bodenerosion KW - Wassererosion KW - Risikoabbildung Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-102356 ER - TY - GEN A1 - Abboub, Nawal A1 - Boll-Avetisyan, Natalie A1 - Bhatara, Anjali A1 - Höhle, Barbara A1 - Nazzi, Thierry T1 - An exploration of rhythmic grouping of speech sequences by french- and german-learning infants T2 - Postprints der Universität Potsdam : Humanwissenschaftliche Reihe N2 - Rhythm in music and speech can be characterized by a constellation of several acoustic cues. Individually, these cues have different effects on rhythmic perception: sequences of sounds alternating in duration are perceived as short-long pairs (weak-strong/iambicpattern), whereas sequences of sounds alternating in intensity or pitch are perceived as loud-soft, or high-low pairs (strong-weak/trochaic pattern). This perceptual bias-called the lambic-Trochaic Law (ITL) has been claimed to be an universal property of the auditory system applying in both the music and the language domains. Recent studies have shown that language experience can modulate the effects of the ITL on rhythmic perception of both speech and non-speech sequences in adults, and of non-speech sequences in 7.5-month-old infants. The goal of the present study was to explore whether language experience also modulates infants' grouping of speech. To do so, we presented sequences of syllables to monolingual French- and German-learning 7.5-month-olds. Using the Headturn Preference Procedure (HPP), we examined whether they were able to perceive a rhythmic structure in sequences of syllables that alternated in duration, pitch, or intensity. Our findings show that both French- and German-learning infants perceived a rhythmic structure when it was cued by duration or pitch but not intensity. Our findings also show differences in how these infants use duration and pitch cues to group syllable sequences, suggesting that pitch cues were the easier ones to use. Moreover, performance did not differ across languages, failing to reveal early language effects on rhythmic perception. These results contribute to our understanding of the origin of rhythmic perception and perceptual mechanisms shared across music and speech, which may bootstrap language acquisition. T3 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe - 427 KW - language acquisition KW - prosody KW - grouping KW - iambic-trochaic law KW - perceptual biases KW - french-learning infants KW - german-learning infants Y1 - 2018 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-407201 IS - 427 ER - TY - GEN A1 - Olejko, Lydia A1 - Cywiński, P. J. A1 - Bald, Ilko T1 - An ion-controlled four-color fluorescent telomeric switch on DNA origami structures N2 - The folding of single-stranded telomeric DNA into guanine (G) quadruplexes is a conformational change that plays a major role in sensing and drug targeting. The telomeric DNA can be placed on DNA origami nanostructures to make the folding process extremely selective for K+ ions even in the presence of high Na+ concentrations. Here, we demonstrate that the K+-selective G-quadruplex formation is reversible when using a cryptand to remove K+ from the G-quadruplex. We present a full characterization of the reversible switching between single-stranded telomeric DNA and G-quadruplex structures using Förster resonance energy transfer (FRET) between the dyes fluorescein (FAM) and cyanine3 (Cy3). When attached to the DNA origami platform, the G-quadruplex switch can be incorporated into more complex photonic networks, which is demonstrated for a three-color and a four-color FRET cascade from FAM over Cy3 and Cy5 to IRDye700 with G-quadruplex-Cy3 acting as a switchable transmitter. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 254 KW - resonance energy-transfer KW - g-quadruplex KW - quantum dots KW - strand breakage KW - photonic wires KW - 3-color fret KW - nanostructures KW - recognition KW - sensitivity KW - assemblies Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-95831 SP - 10339 EP - 10347 ER - TY - INPR A1 - Shlapunov, Alexander A1 - Tarkhanov, Nikolai Nikolaevich T1 - An open mapping theorem for the Navier-Stokes equations N2 - We consider the Navier-Stokes equations in the layer R^n x [0,T] over R^n with finite T > 0. Using the standard fundamental solutions of the Laplace operator and the heat operator, we reduce the Navier-Stokes equations to a nonlinear Fredholm equation of the form (I+K) u = f, where K is a compact continuous operator in anisotropic normed Hölder spaces weighted at the point at infinity with respect to the space variables. Actually, the weight function is included to provide a finite energy estimate for solutions to the Navier-Stokes equations for all t in [0,T]. On using the particular properties of the de Rham complex we conclude that the Fréchet derivative (I+K)' is continuously invertible at each point of the Banach space under consideration and the map I+K is open and injective in the space. In this way the Navier-Stokes equations prove to induce an open one-to-one mapping in the scale of Hölder spaces. T3 - Preprints des Instituts für Mathematik der Universität Potsdam - 5 (2016)10 KW - Navier-Stokes equations KW - weighted Hölder spaces KW - integral representation method Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-98687 SN - 2193-6943 VL - 5 IS - 10 PB - Universitätsverlag Potsdam CY - Potsdam ER - TY - THES A1 - Al-Saffar, Loay Talib Ahmed T1 - Analysing prerequisites, expectations, apprehensions, and attitudes of university students studying Computer science T1 - Analyse von Voraussetzungen, Erwartungen, Haltungen, Einstellungen und Befürchtungen von Bachelor-Studierenden der Informatik N2 - The main objective of this dissertation is to analyse prerequisites, expectations, apprehensions, and attitudes of students studying computer science, who are willing to gain a bachelor degree. The research will also investigate in the students’ learning style according to the Felder-Silverman model. These investigations fall in the attempt to make an impact on reducing the “dropout”/shrinkage rate among students, and to suggest a better learning environment. The first investigation starts with a survey that has been made at the computer science department at the University of Baghdad to investigate the attitudes of computer science students in an environment dominated by women, showing the differences in attitudes between male and female students in different study years. Students are accepted to university studies via a centrally controlled admission procedure depending mainly on their final score at school. This leads to a high percentage of students studying subjects they do not want. Our analysis shows that 75% of the female students do not regret studying computer science although it was not their first choice. And according to statistics over previous years, women manage to succeed in their study and often graduate on top of their class. We finish with a comparison of attitudes between the freshman students of two different cultures and two different university enrolment procedures (University of Baghdad, in Iraq, and the University of Potsdam, in Germany) both with opposite gender majority. The second step of investigation took place at the department of computer science at the University of Potsdam in Germany and analyzes the learning styles of students studying the three major fields of study offered by the department (computer science, business informatics, and computer science teaching). Investigating the differences in learning styles between the students of those study fields who usually take some joint courses is important to be aware of which changes are necessary to be adopted in the teaching methods to address those different students. It was a two stage study using two questionnaires; the main one is based on the Index of Learning Styles Questionnaire of B. A. Solomon and R. M. Felder, and the second questionnaire was an investigation on the students’ attitudes towards the findings of their personal first questionnaire. Our analysis shows differences in the preferences of learning style between male and female students of the different study fields, as well as differences between students with the different specialties (computer science, business informatics, and computer science teaching). The third investigation looks closely into the difficulties, issues, apprehensions and expectations of freshman students studying computer science. The study took place at the computer science department at the University of Potsdam with a volunteer sample of students. The goal is to determine and discuss the difficulties and issues that they are facing in their study that may lead them to think in dropping-out, changing the study field, or changing the university. The research continued with the same sample of students (with business informatics students being the majority) through more than three semesters. Difficulties and issues during the study were documented, as well as students’ attitudes, apprehensions, and expectations. Some of the professors and lecturers opinions and solutions to some students’ problems were also documented. Many participants had apprehensions and difficulties, especially towards informatics subjects. Some business informatics participants began to think of changing the university, in particular when they reached their third semester, others thought about changing their field of study. Till the end of this research, most of the participants continued in their studies (the study they have started with or the new study they have changed to) without leaving the higher education system. N2 - Thema der Dissertation ist die Untersuchung von Voraussetzungen, Erwartungen, Haltungen, Einstellungen und Befürchtungen von Bachelor Studierenden der Informatik. Darüber hinaus werden in der vorliegenden Analyse anhand des Solomon/Felder-Modells Lerntypen unter den Informatik-Studierenden untersucht mit dem Ziel, mittels einer vorteilhafter gestalteten Lernumgebung zur Lernwirksamkeit und zur Reduktion der Abbrecherquote beizutragen. Zunächst werden anhand einer Vergleichsstudie zwischen Informatik-Studierenden an der Universität Bagdad und an der Universität Potsdam sowie jeweils zwischen männlichen und weiblichen Studierenden Unterschiede in der Wahrnehmung des Fachs herausgearbeitet. Hierzu trägt insbesondere das irakische Studienplatzvergabeverfahren bei, das den Studierenden nur wenig Freiheiten lässt, ein Studienfach zu wählen mit dem Ergebnis, dass viele Studierende, darunter überwiegend weibliche Studierende, gegen ihre Absicht Informatik studieren. Dennoch arrangieren sich auch die weiblichen Studierenden mit dem Fach und beenden das Studium oft mit Best-Noten. Der zweite Teil der Dissertation analysiert Lernstile von Studierenden des Instituts für Informatik der Universität Potsdam auf der Grundlage des Modells von Solomon/Felder mit dem Ziel, Hinweise für eine verbesserte Gestaltung der Lehrveranstaltungen zu gewinnen, die Lernende in der für sie geeigneten Form anspricht. Die Ergebnisse zeigen die Schwierigkeit, dieses Ziel zu erreichen, denn sowohl männliche und weibliche Studierende als auch Studierende von Informatik, Wirtschaftsinformatik und Lehramt Informatik weisen deutliche Unterschiede in den präferierten Lernstilen auf. In einer dritten qualitativen Studie wurden mit Studierenden von Informatik, Wirtschaftsinformatik und Lehramt Informatik Interviews über einen Zeitraum der ersten drei Studiensemester geführt, um einen detaillierten Einblick in Haltungen, Einstellungen und Erwartungen zum Studium zu gewinnen sowie Probleme zu ermitteln, die möglicherweise zum Abbruch des Studiums oder zum Wechsel des Fachs oder der Universität führen können. KW - computer science education KW - dropout KW - changing the university KW - changing the study field KW - Computer Science KW - business informatics KW - study problems KW - tutorial section KW - higher education KW - teachers KW - professors KW - Informatikvoraussetzungen KW - Studentenerwartungen KW - Studentenhaltungen KW - Universitätseinstellungen KW - Bachelorstudierende der Informatik KW - Abbrecherquote KW - Wirtschaftsinformatik KW - Informatik KW - Universität Potsdam KW - Universität Bagdad KW - Probleme in der Studie KW - Lehrer KW - Professoren KW - Theoretischen Vorlesungen KW - Programmierung KW - Anleitung KW - Hochschulsystem KW - Informatik-Studiengänge KW - Didaktik der Informatik Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-98437 ER - TY - GEN A1 - Volckmar, Anna-Lena A1 - Han, Chung-Ting A1 - Pütter, Carolin A1 - Haas, Stefan A1 - Vogel, Carla I. G. A1 - Knoll, Nadja A1 - Struve, Christoph A1 - Göbel, Maria A1 - Haas, Katharina A1 - Herrfurth, Nikolas A1 - Jarick, Ivonne A1 - Grallert, Harald A1 - Schürmann, Annette A1 - Al- Hasani, Hadi A1 - Hebebrand, Johannes A1 - Sauer, Sascha A1 - Hinney, Anke T1 - Analysis of genes involved in body weight regulation by targeted re-sequencing T2 - PLoS ONE N2 - Introduction Genes involved in body weight regulation that were previously investigated in genome-wide association studies (GWAS) and in animal models were target-enriched followed by massive parallel next generation sequencing. Methods We enriched and re-sequenced continuous genomic regions comprising FTO, MC4R, TMEM18, SDCCAG8, TKNS, MSRA and TBC1D1 in a screening sample of 196 extremely obese children and adolescents with age and sex specific body mass index (BMI) >= 99th percentile and 176 lean adults (BMI <= 15th percentile). 22 variants were confirmed by Sanger sequencing. Genotyping was performed in up to 705 independent obesity trios (extremely obese child and both parents), 243 extremely obese cases and 261 lean adults. Results and Conclusion We detected 20 different non-synonymous variants, one frame shift and one nonsense mutation in the 7 continuous genomic regions in study groups of different weight extremes. For SNP Arg695Cys (rs58983546) in TBC1D1 we detected nominal association with obesity (p(TDT) = 0.03 in 705 trios). Eleven of the variants were rare, thus were only detected heterozygously in up to ten individual(s) of the complete screening sample of 372 individuals. Two of them (in FTO and MSRA) were found in lean individuals, nine in extremely obese. In silico analyses of the 11 variants did not reveal functional implications for the mutations. Concordant with our hypothesis we detected a rare variant that potentially leads to loss of FTO function in a lean individual. For TBC1D1, in contrary to our hypothesis, the loss of function variant (Arg443Stop) was found in an obese individual. Functional in vitro studies are warranted. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 423 KW - melanocortin-4 receptor gene KW - stimulated glucose-uptake KW - life-style intervention KW - onset extreme obesity KW - genome-wide analysis KW - mass index KW - FTO gene KW - fat mass KW - overweight children KW - diabetes-melllitus Y1 - 2018 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-410289 ER - TY - JOUR A1 - Synessios, Natasha T1 - Andrei Tarkovsky – Self, World, Flesh JF - Andrej Tarkovskij: Klassiker – Классик – Classic – Classico : Beiträge zum internationalen Tarkovskij-Symposium an der Universität Potsdam ; Band 1 Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-95532 SN - 978-3-86956-351-0 SP - 65 EP - 83 PB - Universität Potsdam CY - Posdam ER - TY - JOUR A1 - Paperny, Vladimir T1 - Andrej Tarkovskij and Andrej Končalovskij BT - Lives, Films, Culture JF - Andrej Tarkovskij: Klassiker – Классик – Classic – Classico : Beiträge zum internationalen Tarkovskij-Symposium an der Universität Potsdam ; Band 2 Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-100515 SN - 978-3-86956-352-7 SP - 471 EP - 486 PB - Universitätsverlag Potsdam CY - Potsdam ER - TY - GEN A1 - Cherstvy, Andrey G. A1 - Metzler, Ralf T1 - Anomalous diffusion in time-fluctuating non-stationary diffusivity landscapes N2 - We investigate the ensemble and time averaged mean squared displacements for particle diffusion in a simple model for disordered media by assuming that the local diffusivity is both fluctuating in time and has a deterministic average growth or decay in time. In this study we compare computer simulations of the stochastic Langevin equation for this random diffusion process with analytical results. We explore the regimes of normal Brownian motion as well as anomalous diffusion in the sub- and superdiffusive regimes. We also consider effects of the inertial term on the particle motion. The investigation of the resulting diffusion is performed for unconfined and confined motion. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 257 Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-95901 SP - 23840 EP - 23852 ER - TY - GEN A1 - Memczak, Henry A1 - Lauster, Daniel A1 - Kar, Parimal A1 - Di Lella, Santiago A1 - Volkmer, Rudolf A1 - Knecht, Volker A1 - Herrmann, Andreas A1 - Ehrentreich-Förster, Eva A1 - Bier, Frank Fabian A1 - Stöcklein, Walter F. M. T1 - Anti-hemagglutinin antibody derived lead peptides for inhibitors of influenza virus binding T2 - Postprints der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe N2 - Antibodies against spike proteins of influenza are used as a tool for characterization of viruses and therapeutic approaches. However, development, production and quality control of antibodies is expensive and time consuming. To circumvent these difficulties, three peptides were derived from complementarity determining regions of an antibody heavy chain against influenza A spike glycoprotein. Their binding properties were studied experimentally, and by molecular dynamics simulations. Two peptide candidates showed binding to influenza A/Aichi/2/68 H3N2. One of them, termed PeB, with the highest affinity prevented binding to and infection of target cells in the micromolar region without any cytotoxic effect. PeB matches best the conserved receptor binding site of hemagglutinin. PeB bound also to other medical relevant influenza strains, such as human-pathogenic A/California/7/2009 H1N1, and avian-pathogenic A/MuteSwan/Rostock/R901/2006 H7N1. Strategies to improve the affinity and to adapt specificity are discussed and exemplified by a double amino acid substituted peptide, obtained by substitutional analysis. The peptides and their derivatives are of great potential for drug development as well as biosensing. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 536 KW - receptor-binding KW - A viruses KW - neutralizing antibody KW - avian influenza KW - origin KW - neuraminidase KW - invection KW - entry KW - sites KW - identification Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-410872 SN - 1866-8372 IS - 536 ER - TY - GEN A1 - Roggenbuck, Dirk A1 - Borghi, Maria Orietta A1 - Somma, Valentina A1 - Büttner, Thomas A1 - Schierack, Peter A1 - Hanack, Katja A1 - Grossi, Claudia A1 - Bodio, Caterina A1 - Macor, Paolo A1 - von Landenberg, Philipp A1 - Boccellato, Francesco A1 - Mahler, Michael A1 - Meroni, Pier Luigi T1 - Antiphospholipid antibodies detected by line immunoassay differentiate among patients with antiphospholipid syndrome, with infections and asymptomatic carriers T2 - Postprints der Universität Potsdam Mathematisch-Naturwissenschaftliche Reihe N2 - Background Antiphospholipid antibodies (aPL) can be detected in asymptomatic carriers and infectious patients. The aim was to investigate whether a novel line immunoassay (LIA) differentiates between antiphospholipid syndrome (APS) and asymptomatic aPL+ carriers or patients with infectious diseases (infectious diseases controls (IDC)). Methods Sixty-one patients with APS (56 primary, 22/56 with obstetric events only, and 5 secondary), 146 controls including 24 aPL+ asymptomatic carriers and 73 IDC were tested on a novel hydrophobic solid phase coated with cardiolipin (CL), phosphatic acid, phosphatidylcholine, phosphatidylethanolamine, phosphatidylglycerol, phosphatidylinositol, phosphatidylserine, beta2-glycoprotein I (β2GPI), prothrombin, and annexin V. Samples were also tested by anti-CL and anti-β2GPI ELISAs and for lupus anticoagulant activity. Human monoclonal antibodies (humoAbs) against human β2GPI or PL alone were tested on the same LIA substrates in the absence or presence of human serum, purified human β2GPI or after CL-micelle absorption. Results Comparison of LIA with the aPL-classification assays revealed good agreement for IgG/IgM aß2GPI and aCL. Anti-CL and anti-ß2GPI IgG/IgM reactivity assessed by LIA was significantly higher in patients with APS versus healthy controls and IDCs, as detected by ELISA. IgG binding to CL and ß2GPI in the LIA was significantly lower in aPL+ carriers and Venereal Disease Research Laboratory test (VDRL) + samples than in patients with APS. HumoAb against domain 1 recognized β2GPI bound to the LIA-matrix and in anionic phospholipid (PL) complexes. Absorption with CL micelles abolished the reactivity of a PL-specific humoAb but did not affect the binding of anti-β2GPI humoAbs. Conclusions The LIA and ELISA have good agreement in detecting aPL in APS, but the LIA differentiates patients with APS from infectious patients and asymptomatic carriers, likely through the exposure of domain 1. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 436 KW - Antiphospholipid syndrome KW - Antiphospholipid antibody KW - Phospholipid binding proteins KW - Beta2 - glycoprotein I KW - Line immunoassay Y1 - 2018 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-407211 SN - 1866-8372 IS - 436 ER - TY - GEN A1 - Brenner, Falko S. A1 - Ortner, Tuulia M. A1 - Fay, Doris T1 - Asynchronous video interviewing as a new technology in personnel selection BT - the applicant’s point of view T2 - Postprints der Universität Potsdam : Humanwissenschaftliche Reihe N2 - The present study aimed to integrate findings from technology acceptance research with research on applicant reactions to new technology for the emerging selection procedure of asynchronous video interviewing. One hundred six volunteers experienced asynchronous video interviewing and filled out several questionnaires including one on the applicants' personalities. In line with previous technology acceptance research, the data revealed that perceived usefulness and perceived ease of use predicted attitudes toward asynchronous video interviewing. Furthermore, openness revealed to moderate the relation between perceived usefulness and attitudes toward this particular selection technology. No significant effects emerged for computer self-efficacy, job interview self efficacy, extraversion, neuroticism, and conscientiousness. Theoretical and practical implications are discussed. T3 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe - 500 KW - applicant reactions KW - new technology KW - selection KW - asynchronous video interviewing KW - technology acceptance model Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-408430 SN - 1866-8364 IS - 500 ER - TY - GEN A1 - Tomaszewska, Paulina A1 - Krahé, Barbara T1 - Attitudes towards sexual coercion by Polish high school students BT - links with risky sexual scripts, pornography use, and religiosity N2 - The link between cognitive scripts for consensual sexual interactions and attitudes towards sexual coercion was studied in 524 Polish high school students. We proposed that risky sexual scripts, containing risk elements linked to sexual aggression, would be associated with attitudes condoning sexual coercion. Pornography use and religiosity were included as predictors of participants’ risky sexual scripts and attitudes towards sexual coercion. Risky sexual scripts were linked to attitudes condoning sexual coercion. Pornography use was indirectly linked to attitudes condoning sexual coercion via risky sexual scripts. Religiosity showed a positive direct link with attitudes towards sexual coercion, but a negative indirect link through risky sexual scripts. The results are discussed regarding the significance of risky sexual scripts, pornography use, and religiosity in understanding attitudes towards sexual coercion as well as their implications for preventing sexually aggressive behaviour. T3 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe - 296 KW - Sexual scripts KW - attitudes towards sexual coercion KW - pornography KW - religiosity KW - Poland Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-93450 ER - TY - THES A1 - Antoniewicz, Franziska T1 - Automatic evaluations of exercising T1 - Automatische Evaluationen von Sport N2 - Changing the perspective sometimes offers completely new insights to an already well-known phenomenon. Exercising behavior, defined as planned, structured and repeated bodily movements with the intention to maintain or increase the physical fitness (Caspersen, Powell, & Christenson, 1985), can be thought of as such a well-known phenomenon that has been in the scientific focus for many decades (Dishman & O’Connor, 2005). Within these decades a perspective that assumes rational and controlled evaluations as the basis for decision making, was predominantly used to understand why some people engage in physical activity and others do not (Ekkekakis & Zenko, 2015). Dual-process theories (Ekkekakis & Zenko, 2015; Payne & Gawronski, 2010) provide another perspective, that is not exclusively influenced by rational reasoning. These theories differentiate two different processes that guide behavior “depending on whether they operate automatically or in a controlled fashion“ (Gawronski & Creighton, 2012, p. 282). Following this line of thought, exercise behavior is not solely influenced by thoughtful deliberations (e.g. concluding that exercising is healthy) but also by spontaneous affective reactions (e.g. disliking being sweaty while exercising). The theoretical frameworks of dual-process models are not new in psychology (Chaiken & Trope, 1999) and have already been used for the explanation of numerous behaviors (e.g. Hofmann, Friese, & Wiers, 2008; Huijding, de Jong, Wiers, & Verkooijen, 2005). However, they have only rarely been used for the explanation of exercise behavior (e.g. Bluemke, Brand, Schweizer, & Kahlert, 2010; Conroy, Hyde, Doerksen, & Ribeiro, 2010; Hyde, Doerksen, Ribeiro, & Conroy, 2010). The assumption of two dissimilar behavior influencing processes, differs fundamentally from previous theories and thus from the research that has been conducted in the last decades in exercise psychology. Research mainly concentrated on predictors of the controlled processes and addressed the identified predictors in exercise interventions (Ekkekakis & Zenko, 2015; Hagger, Chatzisarantis, & Biddle, 2002). Predictors arising from the described automatic processes, for example automatic evaluations for exercising (AEE), have been neglected in exercise psychology for many years. Until now, only a few researchers investigated the influence of these AEE for exercising behavior (Bluemke et al., 2010; Brand & Schweizer, 2015; Markland, Hall, Duncan, & Simatovic, 2015). Marginally more researchers focused on the impact of AEE for physical activity behavior (Calitri, Lowe, Eves, & Bennett, 2009; Conroy et al., 2010; Hyde et al., 2010; Hyde, Elavsky, Doerksen, & Conroy, 2012). The extant studies mainly focused on the quality of AEE and the associated quantity of exercise (exercise much or little; Bluemke et al., 2010; Calitri et al., 2009; Conroy et al., 2010; Hyde et al., 2012). In sum, there is still a dramatic lack of empirical knowledge, when applying dual-process theories to exercising behavior, even though these theories have proven to be successful in explaining behavior in many other health-relevant domains like eating, drinking or smoking behavior (e.g. Hofmann et al., 2008). The main goal of the present dissertation was to collect empirical evidence for the influence of AEE on exercise behavior and to expand the so far exclusively correlational studies by experimentally controlled studies. By doing so, the ongoing debate on a paradigm shift from controlled and deliberative influences of exercise behavior towards approaches that consider automatic and affective influences (Ekkekakis & Zenko, 2015) should be encouraged. All three conducted publications are embedded in dual-process theorizing (Gawronski & Bodenhausen, 2006, 2014; Strack & Deutsch, 2004). These theories offer a theoretical framework that could integrate the established controlled variables of exercise behavior explanation and additionally consider automatic factors for exercise behavior like AEE. Taken together, the empirical findings collected suggest that AEE play an important and diverse role for exercise behavior. They represent exercise setting preferences, are a cause for short-term exercise decisions and are decisive for long-term exercise adherence. Adding to the few already present studies in this field, the influence of (positive) AEE for exercise behavior was confirmed in all three presented publications. Even though the available set of studies needs to be extended in prospectively studies, first steps towards a more complete picture have been taken. Closing with the beginning of the synopsis: I think that time is right for a change of perspectives! This means a careful extension of the present theories with controlled evaluations explaining exercise behavior. Dual-process theories including controlled and automatic evaluations could provide such a basis for future research endeavors in exercise psychology. N2 - Ein anderer Blickwinkel eröffnet manchmal komplett neue Erkenntnisse in so manches bekanntes Phänomen. Sporttreiben, definiert als geplante, strukturierte und wiederholt ablaufende Körperbewegungen mit der Intention die körperliche Fitness aufrecht zu erhalten oder zu verbessern (Caspersen, Powell & Christenson, 1985), kann als ein solches bekanntes Phänomen angesehen werden, welches seit vielen Dekaden im wissenschaftlichen Fokus steht (Dishman & O’Connor, 2005). Um zu verstehen warum manche Menschen körperlich aktiv sind und andere nicht, wurde in den letzten Dekaden meist angenommen, dass rationale und kontrollierte Bewertungen Entscheidungen beeinflussen (Ekkekakis & Zenko, 2015). Zwei-Prozess Theorien (Payne & Garwonski, 2010) bieten eine andere Perspektive, welche nicht nur durch rationales Überlegen beeinflusst ist. Diese Theorien unterscheiden zwei unterschiedliche Prozesse welche Verhalten beeinflussen „depending on whether they operate automatically or in a controlled fashion“ (Gawronski & Creighton, 2012, S. 282). Sportprädiktoren mit dem Ursprung in automatischen Prozessen, z.B. automatische Evaluationen von Sport (AES), wurden in der sportpsychologischen Forschung seit vielen Jahren vernachlässigt. Bisher haben nur wenige Wissenschaftler die Rolle von AES untersucht (Brand & Schweizer, 2015; Markland, Hall, Duncan, & Simatovic, 2015). Das Hauptziel der vorliegenden Dissertation ist es, empirische Belege für den Einfluss von AES auf Sportverhalten zu sammeln und die bisher ausschließlich korrelativen Studien um experimentelle zu erweitern. Meine erste Publikation adressierte eine Kernannahme von AES, die Eigenschaft der Automatizität der erfassten affektiven Evaluationen. Der methodische Ansatz der Studie über ein subliminales AMP (Murphy & Zajonc, 1993; Payne, Cheng, Govorun, & Stewart, 2005) ermöglichte die Schlussfolgerung, dass automatische affektive Evaluationen nach der Stimulusdarstellung ausgelöst wurden. Der Einfluss von AES auf qualitative Sportcharakteristika, die Präferenz eines bestimmten Sportsettings, wurde aufgezeigt. Meine zweite Publikation beabsichtigte notwendige Informationen für die Implementation von Sportinterventionen zu liefern, welche die automatische Komponente von Sportverhalten fokussieren. Das Adressieren automatischer Komponenten in Sportintervention wurde erst kürzlich gefordert (Marteau, Hollands, & Fletcher, 2012). In einer Abfolge von drei Studien wurde die experimentelle Zugänglichkeit, die sinnvolle Manipulation in eine gesundheitsrelevante Richtung und die damit verbundenen Verhaltenskonsequenzen von veränderten AES untersucht. Positive AES wurden durch Evaluatives Konditionieren (EK; Hofmann, De Houwer, Perugini, Baeyens, & Crombez, 2010) induziert. Dabei werden systematisch Bilder von Sporttreiben mit Bildern welche angenehme Empfindungen wecken kombiniert. Nicht-sportassoziierte Bilder werden hingegen konsequent von Bildern gefolgt, die unangenehme Emotionen hervorrufen. Die experimentelle Manipulation führte zur Wahl höherer Sportintensitäten in einer nachfolgenden Sportaufgabe. Darüber hinaus deuteten die Analysen darauf hin, dass das assoziative Erlernen positiver AES nicht in gleichen Anteilen durch den Erwerb positiver Assoziationen zu Sport und negativer Assoziationen mit Nicht-Sport gesteuert wurde. Meine dritte Publikation adressierte unterschiedlichen Anteile von AES im Hinblick auf langfristiges Sportverhalten, speziell die Sportkursadhärenz in einem 14-wöchigen Sportprogramm. Sportverhalten, wie das Besuchen eines Aerobickurses, kann mit positiven affektiven Assoziationen (PAA; z.B. Sport mit Musik ist angenehm) und negativen affektiven Assoziationen (NAA; z.B. Muskelkater ist unangenehm) gleichermaßen verbunden sein. Wissen über den individuellen Einfluss der einzelnen Komponenten auf Sportverhalten würde das Verständnis von AES erleichtern. Die bisher dominierenden Befunde von AES als Prädiktor für kurzfristiges Sportverhalten (z.B.Hyde et al., 2012) wurden erweitert und der Einfluss der AES für sportspezifische Entscheidungen (Brand & Schweizer, 2015) auf eine langfristige Perspektive erweitert. Da Adhärenz in Sportkursen ein gewaltiges Problem in aktuellen Gesundheitsprogrammen (Marcus et al., 2000) darstellt, ist zusätzliches Wissen über Prädiktoren der Sportadhärenz (wie AES) wertvoll für die erfolgreiche Implementation von Sportinterventionen. Die vorgestellten Studien meiner Dissertation hatten das Ziel empirische Belege für die Bedeutung von AES für Sportverhalten zu bieten. Zusammengefasst legen die gesammelten Befunde nahe, dass AES eine wichtige und vielfältige Rolle für Sportverhalten. Diese repräsentieren Präferenzen für Sportsettings, stellen eine Ursache für kurzfristige Sportentscheidungen dar und sind entscheidend für langfristige Sportadhärenz. In Ergänzung zu den wenigen bisher existierenden Studien in dem Feld, wurde der Einfluss von (positiven) AES für Sportverhalten in allen drei beschriebenen Studien bestätigt. KW - automaticity KW - dual-processes KW - exercise KW - health KW - implicit KW - automatisch KW - Zwei-Prozess Modelle KW - Sport KW - Gesundheit KW - implizit Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-92280 ER - TY - GEN A1 - Pavlenko, Elena S. A1 - Sander, Mathias A1 - Mitzscherling, Steffen A1 - Pudell, Jan-Etienne A1 - Zamponi, Flavio A1 - Rössle, Matthias A1 - Bojahr, Andre A1 - Bargheer, Matias T1 - Azobenzene – functionalized polyelectrolyte nanolayers as ultrafast optoacoustic transducers N2 - We introduce azobenzene-functionalized polyelectrolyte multilayers as efficient, inexpensive optoacoustic transducers for hyper-sound strain waves in the GHz range. By picosecond transient reflectivity measurements we study the creation of nanoscale strain waves, their reflection from interfaces, damping by scattering from nanoparticles and propagation in soft and hard adjacent materials like polymer layers, quartz and mica. The amplitude of the generated strain ε ∼ 5 × 10−4 is calibrated by ultrafast X-ray diffraction. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 297 Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-101996 VL - 8 SP - 13297 EP - 13302 ER - TY - GEN A1 - Wolf, Sarah A1 - Schütze, Franziska A1 - Jaeger, Carlo T1 - Balance or synergies between environment and economy BT - a note on model structures T2 - Postprints der Universität Potsdam : Wirtschafts- und Sozialwissenschaftliche Reihe N2 - The UN sustainable development goals contain environmental, economic, and social objectives. They may only be reached, or at least it would be easier to reach them, if instead of a trade-off between these objectives that implies a need for balancing them, there are synergies to be reaped. This paper discusses how the structures of economic models typically used in policy analysis influence whether win-win strategies for the environment and the economy can be conceptualised and analysed. With a focus on climate policy modelling, the paper points out how, by construction, commonly used model structures find mitigation costs rather than benefits. This paper describes mechanisms that, when added to these model structures, can bring win- win options into a model's solution horizon, and which provide a spectrum of alternative modelling approaches that allow for the identification of such options. T3 - Zweitveröffentlichungen der Universität Potsdam : Wirtschafts- und Sozialwissenschaftliche Reihe - 126 KW - economic model structures and mechanisms KW - climate policy analysis models KW - win-win strategies KW - general equilibrium framework KW - multiple equilibria Y1 - 2020 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-436998 SN - 1867-5808 IS - 126 ER - TY - JOUR A1 - Efird, Robert T1 - Beyond the Crystal-Image BT - Perception and Temporality in Tarkovsky’s Early Films JF - Andrej Tarkovskij: Klassiker – Классик – Classic – Classico : Beiträge zum internationalen Tarkovskij-Symposium an der Universität Potsdam ; Band 1 Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-95626 SN - 978-3-86956-351-0 SP - 255 EP - 265 PB - Universität Potsdam CY - Potsdam ER - TY - INPR A1 - Fedchenko, Dmitry A1 - Tarkhanov, Nikolai Nikolaevich T1 - Boundary value problems for elliptic complexes N2 - The aim of this paper is to bring together two areas which are of great importance for the study of overdetermined boundary value problems. The first area is homological algebra which is the main tool in constructing the formal theory of overdetermined problems. And the second area is the global calculus of pseudodifferential operators which allows one to develop explicit analysis. T3 - Preprints des Instituts für Mathematik der Universität Potsdam - 5 (2016) 3 KW - elliptic complexes KW - Fredholm property KW - index Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-86705 SN - 2193-6943 VL - 5 IS - 3 PB - Universitätsverlag Potsdam CY - Potsdam ER - TY - GEN A1 - Mysiak, Jaroslav A1 - Surminski, Swenja A1 - Thieken, Annegret A1 - Mechler, Reinhard A1 - Aerts, Jeroen C. J. H. T1 - Brief communication BT - Sendai framework for disaster risk reduction - success or warning sign for Paris? T2 - Postprints der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe N2 - In March 2015, a new international blueprint for disaster risk reduction (DRR) was adopted in Sendai, Japan, at the end of the Third UN World Conference on Disaster Risk Reduction (WCDRR, 14-18 March 2015). We review and discuss the agreed commitments and targets, as well as the negotiation leading the Sendai Framework for DRR (SF-DRR) and discuss briefly its implication for the later UN-led negotiations on sustainable development goals and climate change. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 524 Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-410149 SN - 1866-8372 IS - 524 ER - TY - GEN A1 - Henze, Andrea A1 - Homann, Thomas A1 - Rohn, Isabelle A1 - Aschner, Michael A. A1 - Link, Christopher D. A1 - Kleuser, Burkhard A1 - Schweigert, Florian J. A1 - Schwerdtle, Tanja A1 - Bornhorst, Julia T1 - Caenorhabditis elegans as a model system to study post-translational modifications of human transthyretin N2 - The visceral protein transthyretin (TTR) is frequently affected by oxidative post-translational protein modifications (PTPMs) in various diseases. Thus, better insight into structure-function relationships due to oxidative PTPMs of TTR should contribute to the understanding of pathophysiologic mechanisms. While the in vivo analysis of TTR in mammalian models is complex, time- and resource-consuming, transgenic Caenorhabditis elegans expressing hTTR provide an optimal model for the in vivo identification and characterization of drug-mediated oxidative PTPMs of hTTR by means of matrix assisted laser desorption/ionization – time of flight – mass spectrometry (MALDI-TOF-MS). Herein, we demonstrated that hTTR is expressed in all developmental stages of Caenorhabditis elegans, enabling the analysis of hTTR metabolism during the whole life-cycle. The suitability of the applied model was verified by exposing worms to D-penicillamine and menadione. Both drugs induced substantial changes in the oxidative PTPM pattern of hTTR. Additionally, for the first time a covalent binding of both drugs with hTTR was identified and verified by molecular modelling. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 312 KW - binding KW - c. elegans KW - cells KW - disease KW - force-field KW - life-span KW - menadione KW - n-acetyl-cysteine KW - protein KW - s-glutathionylation Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-103674 ER - TY - GEN A1 - Murawski, Aline A1 - Bürger, Gerd A1 - Vorogushyn, Sergiy A1 - Merz, Bruno T1 - Can local climate variability be explained by weather patterns? BT - a multi-station evaluation for the Rhine basin T2 - Postprints der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe N2 - To understand past flood changes in the Rhine catchment and in particular the role of anthropogenic climate change in extreme flows, an attribution study relying on a proper GCM (general circulation model) downscaling is needed. A downscaling based on conditioning a stochastic weather generator on weather patterns is a promising approach. This approach assumes a strong link between weather patterns and local climate, and sufficient GCM skill in reproducing weather pattern climatology. These presuppositions are unprecedentedly evaluated here using 111 years of daily climate data from 490 stations in the Rhine basin and comprehensively testing the number of classification parameters and GCM weather pattern characteristics. A classification based on a combination of mean sea level pressure, temperature, and humidity from the ERA20C reanalysis of atmospheric fields over central Europe with 40 weather types was found to be the most appropriate for stratifying six local climate variables. The corresponding skill is quite diverse though, ranging from good for radiation to poor for precipitation. Especially for the latter it was apparent that pressure fields alone cannot sufficiently stratify local variability. To test the skill of the latest generation of GCMs from the CMIP5 ensemble in reproducing the frequency, seasonality, and persistence of the derived weather patterns, output from 15 GCMs is evaluated. Most GCMs are able to capture these characteristics well, but some models showed consistent deviations in all three evaluation criteria and should be excluded from further attribution analysis. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 525 KW - athmospheric circulation patterns KW - stochastic rainfall model KW - within-type variability KW - river Rhine KW - precipitation KW - temperature KW - trends KW - classification KW - Europe KW - scenarios Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-410155 SN - 1866-8372 IS - 525 ER - TY - GEN A1 - Schwind, Julia A1 - Neng, Julia M. B. A1 - Weck, Florian T1 - Changes in free symptom attributions in hypochondriasis after cognitive therapy and exposure therapy T2 - Postprints der Universität Potsdam : Humanwissenschaftliche Reihe N2 - Background: Cognitive-behavioural therapy can change dysfunctional symptom attributions in patients with hypochondriasis. Past research has used forced-choice answer formats, such as questionnaires, to assess these misattributions; however, with this approach, idiosyncratic attributions cannot be assessed. Free associations are an important complement to existing approaches that assess symptom attributions. Aims: With this study, we contribute to the current literature by using an open-response instrument to investigate changes in freely associated attributions after exposure therapy (ET) and cognitive therapy (CT) compared with a wait list (WL). Method: The current study is a re-examination of a formerly published randomized controlled trial (Weck, Neng, Richtberg, Jakob and Stangier, 2015) that investigated the effectiveness of CT and ET. Seventy-three patients with hypochondriasis were randomly assigned to CT, ET or a WL, and completed a 12-week treatment (or waiting period). Before and after the treatment or waiting period, patients completed an Attribution task in which they had to spontaneously attribute nine common bodily sensations to possible causes in an open-response format. Results: Compared with the WL, both CT and ET reduced the frequency of somatic attributions regarding severe diseases (CT: Hedges's g = 1.12; ET: Hedges's g = 1.03) and increased the frequency of normalizing attributions (CT: Hedges's g = 1.17; ET: Hedges's g = 1.24). Only CT changed the attributions regarding moderate diseases (Hedges's g = 0.69). Changes in somatic attributions regarding mild diseases and psychological attributions were not observed. Conclusions: Both CT and ET are effective for treating freely associated misattributions in patients with hypochondriasis. This study supplements research that used a forced-choice assessment. T3 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe - 457 KW - attribution KW - hypochondriasis KW - free association KW - cognitive-behavioural therapy Y1 - 2018 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-414169 IS - 457 ER - TY - GEN A1 - Wirth, Jonas A1 - Kirsch, Harald A1 - Wlosczyk, Sebastian A1 - Tong, Yujin A1 - Saalfrank, Peter A1 - Kramer Campen, Richard T1 - Characterization of water dissociation on α-Al2O3(1102) BT - theory and experiment N2 - The interaction of water with α-alumina (i.e. α-Al2O3) surfaces is important in a variety of applications and a useful model for the interaction of water with environmentally abundant aluminosilicate phases. Despite its significance, studies of water interaction with α-Al2O3 surfaces other than the (0001) are extremely limited. Here we characterize the interaction of water (D2O) with a well defined α-Al2O3(1[1 with combining macron]02) surface in UHV both experimentally, using temperature programmed desorption and surface-specific vibrational spectroscopy, and theoretically, using periodic-slab density functional theory calculations. This combined approach makes it possible to demonstrate that water adsorption occurs only at a single well defined surface site (the so-called 1–4 configuration) and that at this site the barrier between the molecularly and dissociatively adsorbed forms is very low: 0.06 eV. A subset of OD stretch vibrations are parallel to this dissociation coordinate, and thus would be expected to be shifted to low frequencies relative to an uncoupled harmonic oscillator. To quantify this effect we solve the vibrational Schrödinger equation along the dissociation coordinate and find fundamental frequencies red-shifted by more than 1500 cm−1. Within the context of this model, at moderate temperatures, we further find that some fraction of surface deuterons are likely delocalized: dissociatively and molecularly absorbed states are no longer distinguishable. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 320 Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-394497 SP - 14822 EP - 14832 ER - TY - THES A1 - Brauer, Dorothée T1 - Chemo-kinematic constraints on Milky Way models from the spectroscopic surveys SEGUE & RAVE T1 - Beschränkungen von Modellen der Milchstraße auf Basis der chemisch-kinematischen Analyse von Beobachtungsdaten der spektroskopischen Himmelsdurchmusterungen SEGUE und RAVE N2 - The Milky Way is only one out of billions of galaxies in the universe. However, it is a special galaxy because it allows to explore the main mechanisms involved in its evolution and formation history by unpicking the system star-by-star. Especially, the chemical fingerprints of its stars provide clues and evidence of past events in the Galaxy’s lifetime. These information help not only to decipher the current structure and building blocks of the Milky Way, but to learn more about the general formation process of galaxies. In the past decade a multitude of stellar spectroscopic Galactic surveys have scanned millions of stars far beyond the rim of the solar neighbourhood. The obtained spectroscopic information provide unprecedented insights to the chemo-dynamics of the Milky Way. In addition analytic models and numerical simulations of the Milky Way provide necessary descriptions and predictions suited for comparison with observations in order to decode the physical properties that underlie the complex system of the Galaxy. In the thesis various approaches are taken to connect modern theoretical modelling of galaxy formation and evolution with observations from Galactic stellar surveys. With its focus on the chemo-kinematics of the Galactic disk this work aims to determine new observational constraints on the formation of the Milky Way providing also proper comparisons with two different models. These are the population synthesis model TRILEGAL based on analytical distribution functions, which aims to simulate the number and distribution of stars in the Milky Way and its different components, and a hybrid model (MCM) that combines an N-body simulation of a Milky Way like galaxy in the cosmological framework with a semi-analytic chemical evolution model for the Milky Way. The major observational data sets in use come from two surveys, namely the “Radial Velocity Experiment” (RAVE) and the “Sloan Extension for Galactic Understanding and Exploration” (SEGUE). In the first approach the chemo-kinematic properties of the thin and thick disk of the Galaxy as traced by a selection of about 20000 SEGUE G-dwarf stars are directly compared to the predictions by the MCM model. As a necessary condition for this, SEGUE's selection function and its survey volume are evaluated in detail to correct the spectroscopic observations for their survey specific selection biases. Also, based on a Bayesian method spectro-photometric distances with uncertainties below 15% are computed for the selection of SEGUE G-dwarfs that are studied up to a distance of 3 kpc from the Sun. For the second approach two synthetic versions of the SEGUE survey are generated based on the above models. The obtained synthetic stellar catalogues are then used to create mock samples best resembling the compiled sample of observed SEGUE G-dwarfs. Generally, mock samples are not only ideal to compare predictions from various models. They also allow validation of the models' quality and improvement as with this work could be especially achieved for TRILEGAL. While TRILEGAL reproduces the statistical properties of the thin and thick disk as seen in the observations, the MCM model has shown to be more suitable in reproducing many chemo-kinematic correlations as revealed by the SEGUE stars. However, evidence has been found that the MCM model may be missing a stellar component with the properties of the thick disk that the observations clearly show. While the SEGUE stars do indicate a thin-thick dichotomy of the stellar Galactic disk in agreement with other spectroscopic stellar studies, no sign for a distinct metal-poor disk is seen in the MCM model. Usually stellar spectroscopic surveys are limited to a certain volume around the Sun covering different regions of the Galaxy’s disk. This often prevents to obtain a global view on the chemo-dynamics of the Galactic disk. Hence, a suitable combination of stellar samples from independent surveys is not only useful for the verification of results but it also helps to complete the picture of the Milky Way. Therefore, the thesis closes with a comparison of the SEGUE G-dwarfs and a sample of RAVE giants. The comparison reveals that the chemo-kinematic relations agree in disk regions where the samples of both surveys show a similar number of stars. For those parts of the survey volumes where one of the surveys lacks statistics they beautifully complement each other. This demonstrates that the comparison of theoretical models on the one side, and the combined observational data gathered by multiple surveys on the other side, are key ingredients to understand and disentangle the structure and formation history of the Milky Way. N2 - Die Milchstraße ist nur eine unter Milliarden von Galaxien im Universum, dennoch ist sie besonders. Sie bietet die einzigartige Möglichkeit anhand ihrer einzeln auflösbaren Sterne und deren im Detail beobachtbaren Eigenschaften die Mechanismen ihrer Evolutions- und Entstehungsgeschichte genau zu studieren und damit Rückschlüsse auf die Entwicklungsprozesse von Galaxien im Allgemeinen zu ziehen. Insbesondere der chemische Fingerabdruck ihrer Sterne liefert dabei Indizien und Beweise für Ereignisse im Leben der Galaxie. In den letzten 15 Jahren wurden daher in einer Vielzahl von Himmeldurchmusterungen Millionen von Sternen in der Milchstraße spektroskopisch beobachtet. Die so gewonnenen Informationen bieten detaillierte Einblicke in die Substrukturen unserer Galaxie und deren chemisch-kinematische Struktur. Ergänzend dazu liefern analytische Modelle und numerische Simulationen der Milchstraße wichtige Beschreibungen, die sich zum Vergleich mit Beobachtungen eignen, um die dem komplexen System der Galaxie zugrunde liegenden exakten physikalischen Eigenschaften entschlüsseln zu können. Die vorliegende Arbeit nutzt verschiedene Ansätze, um moderne theoretische Modelle der Galaxienentstehung und -evolution mit Daten aus stellaren Beobachtungskampagnen zu vergleichen. Die dazu analysierten Beobachtungsdatensätze stammen aus zwei großen Himmelsdurchmusterungen, dem „Radial Velocity Experiment“ (RAVE) und dem „Sloan Extension for Galactic Understanding and Exploration“ (SEGUE). Mit dem Fokus auf der chemisch-kinematischen Struktur der galaktischen Scheibe geht es im Wesentlichen darum, zwei Modelle der Milchstraße zu testen, nämlich ein Populationssynthesemodell (TRILEGAL) und ein Hybridmodell (MCM). Während TRILEGAL auf analytischen Verteilungsfunktionen basiert und zum Ziel hat, die Anzahl und Verteilung der Sterne innerhalb der Galaxie und ihrer unterschiedlichen Komponenten zu simulieren, verbindet das MCM Modell eine kosmologische N-Körper Simulation einer der Milchstraße ähnlichen Galaxie mit einem semi-analytischen Modell zur Beschreibung der chemischen Evolution der Milchstraße. Auf Grundlage einer Auswahl von etwa 20000 SEGUE G-Zwergsternen werden in einem ersten Ansatz die aus den Messdaten gewonnenen chemisch-kinematischen Eigenschaften der dünnen und dicken Scheibe der Milchstraße mit den direkten Vorhersagen des MCM Modells verglichen. Eine notwendige Bedingung dafür ist die Korrektur der Beobachtungsdaten für systematische Fehler bei der Objektauswahl der Beobachtungskampagne. Zudem werden mittels einer Bayesischen Methode spektro-photometrische Distanzen mit Fehlern kleiner als 15% für die Auswahl an SEGUE Sternen berechnet, die sich in einer Entfernung von bis zu 3 kpc von der Sonne befinden. Für den zweiten Ansatz werden basierend auf den oben genannten Modellen zwei synthetische Versionen der SEGUE Himmelsdurchmusterung generiert. Diese künstlichen stellaren Kataloge werden dann verwendet, um Vergleichspseudodatensätze für die verwendeten Zwergsterndaten anzufertigen. Solche synthetischen Testdatensätze eignen sich nicht nur, um die Vorhersagen verschiedener Modelle zu vergleichen, sie können auch zur Validierung der Qualität einzelner Modelle herangezogen werden. Während sich in der Analyse zeigt, dass TRILEGAL sich besonders gut eignet, statistische Eigenschaften der dünnen und dicken galaktischen Scheibe zu reproduzieren, spiegelt das MCM Modell viele der in der Milchstraße beobachtbaren chemisch-kinematischen Korrelationen gut wieder. Trotzdem finden sich Beweise dafür, dass dem MCM Modell eine stellare Komponente fehlt, deren Eigenschaften der in den Beobachtungen sichtbaren dicken Scheibe ähnlich sind. Meist sind spektroskopische Beobachtungskampagnen auf ein bestimmtes Volumen um die Sonne beschränkt. Oftmals verhindert dies die Möglichkeit einen globalen Blick auf die chemisch-kinematischen Eigenschaften der galaktischen Scheibe zu erlangen. Die Kombination von stellaren Daten unabhängiger Kampagnen ist daher nicht nur nützlich für die Verifikation von Ergebnissen, es hilft auch ein ganzheitlicheres Bild der Galaxie zu erlangen. Die vorliegende Arbeit schließt daher mit einem Vergleich der SEGUE G-Zwergsterne und einer Auswahl von RAVE Riesensternen. Es zeigt sich eine gute Übereinstimmung bzgl. der chemisch-kinematischen Struktur der galaktischen Scheibe besonders in denjenigen Regionen, die von einer Vielzahl von SEGUE und RAVE Objekten abgedeckt werden. Für Regionen des Beobachtungsvolumens, in dem die eine oder die andere der beiden Beobachtungskampagnen eine geringere Statistik von beobachteten Sternen aufweist, ergänzen sich RAVE und SEGUE gut. Dies zeigt, dass nicht nur der Vergleich von Beobachtungen und theoretischen Modellen, sondern auch die Kombination von Messdaten aus verschiedenen Himmelsdurchmusterungen wichtig ist, um die Struktur und die Entstehungsgeschichte der Milchstraße zu verstehen und zu entschlüsseln. KW - galaktische Astronomie KW - galactic astronomy KW - Entstehung der Milchstraße KW - Milky Way formation KW - Evolution der Milchstraße KW - Milky Way evolution KW - Milky Way chemo-kinematics KW - Chemokinematik der Milchstraße KW - SEGUE survey KW - SEGUE Beobachtungskampagne KW - RAVE survey KW - RAVE Beobachtungskampagne KW - mock data catalogues KW - Pseudodatensätze Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-403968 ER - TY - GEN A1 - Nojima, Hiroyuki A1 - Konishi, Takanori A1 - Freeman, Christopher M. A1 - Schuster, Rebecca M. A1 - Japtok, Lukasz A1 - Kleuser, Burkhard A1 - Edwards, Michael J. A1 - Gulbins, Erich A1 - Lentsch, Alex B. T1 - Chemokine receptors, CXCR1 and CXCR2, differentially regulate exosome release in hepatocytes T2 - Postprints der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe N2 - Exosomes are small membrane vesicles released by different cell types, including hepatocytes, that play important roles in intercellular communication. We have previously demonstrated that hepatocyte-derived exosomes contain the synthetic machinery to form sphingosine-1-phosphate (S1P) in target hepatocytes resulting in proliferation and liver regeneration after ischemia/reperfusion (I/R) injury. We also demonstrated that the chemokine receptors, CXCR1 and CXCR2, regulate liver recovery and regeneration after I/R injury. In the current study, we sought to determine if the regulatory effects of CXCR1 and CXCR2 on liver recovery and regeneration might occur via altered release of hepatocyte exosomes. We found that hepatocyte release of exosomes was dependent upon CXCR1 and CXCR2. CXCR1-deficient hepatocytes produced fewer exosomes, whereas CXCR2-deficient hepatocytes produced more exosomes compared to their wild-type controls. In CXCR2-deficient hepatocytes, there was increased activity of neutral sphingomyelinase (Nsm) and intracellular ceramide. CXCR1-deficient hepatocytes had no alterations in Nsm activity or ceramide production. Interestingly, exosomes from CXCR1-deficient hepatocytes had no effect on hepatocyte proliferation, due to a lack of neutral ceramidase and sphingosine kinase. The data demonstrate that CXCR1 and CXCR2 regulate hepatocyte exosome release. The mechanism utilized by CXCR1 remains elusive, but CXCR2 appears to modulate Nsm activity and resultant production of ceramide to control exosome release. CXCR1 is required for packaging of enzymes into exosomes that mediate their hepatocyte proliferative effect. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 538 KW - hepatic ischemia-reperfusion KW - liver-regeneration KW - injury KW - ischemia/reperfusion KW - neutrophil KW - ceramide KW - homolog KW - mice KW - mechanisms KW - recovery Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-410885 SN - 1866-8372 IS - 538 ER - TY - GEN A1 - Höhle, Barbara A1 - Fritzsche, Tom A1 - Müller, Anja T1 - Children’s Comprehension of Sentences with Focus Particles and the Role of Cognitive Control BT - An Eye Tracking Study with German-Learning 4-Year-Olds N2 - Children’s interpretations of sentences containing focus particles do not seem adult-like until school age. This study investigates how German 4-year-old children comprehend sentences with the focus particle ‘nur’ (only) by using different tasks and controlling for the impact of general cognitive abilities on performance measures. Two sentence types with ‘only’ in either pre-subject or pre-object position were presented. Eye gaze data and verbal responses were collected via the visual world paradigm combined with a sentence-picture verification task. While the eye tracking data revealed an adult-like pattern of focus particle processing, the sentence-picture verification replicated previous findings of poor comprehension, especially for ‘only’ in pre-subject position. A second study focused on the impact of general cognitive abilities on the outcomes of the verification task. Working memory was related to children’s performance in both sentence types whereas inhibitory control was selectively related to the number of errors for sentences with ‘only’ in pre-subject position. These results suggest that children at the age of 4 years have the linguistic competence to correctly interpret sentences with focus particles, which–depending on specific task demands–may be masked by immature general cognitive abilities. T3 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe - 287 KW - cognition KW - cognitive linguistics KW - cognitive psychology KW - eyes KW - human performance KW - sentence processing KW - syntax KW - working memory Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-90524 ER - TY - THES A1 - Olonscheck, Mady T1 - Climate change impacts on electricity and residential energy demand T1 - Auswirkungen des Klimawandels auf den Stromsektor und den Energiebedarf von Wohngebäuden N2 - The energy sector is both affected by climate change and a key sector for climate protection measures. Energy security is the backbone of our modern society and guarantees the functioning of most critical infrastructure. Thus, decision makers and energy suppliers of different countries should be familiar with the factors that increase or decrease the susceptibility of their electricity sector to climate change. Susceptibility means socioeconomic and structural characteristics of the electricity sector that affect the demand for and supply of electricity under climate change. Moreover, the relevant stakeholders are supposed to know whether the given national energy and climate targets are feasible and what needs to be done in order to meet these targets. In this regard, a focus should be on the residential building sector as it is one of the largest energy consumers and therefore emitters of anthropogenic CO 2 worldwide. This dissertation addresses the first aspect, namely the susceptibility of the electricity sector, by developing a ranked index which allows for quantitative comparison of the electricity sector susceptibility of 21 European countries based on 14 influencing factors. Such a ranking has not been completed to date. We applied a sensitivity analysis to test the relative effect of each influencing factor on the susceptibility index ranking. We also discuss reasons for the ranking position and thus the susceptibility of selected countries. The second objective, namely the impact of climate change on the energy demand of buildings, is tackled by means of a new model with which the heating and cooling energy demand of residential buildings can be estimated. We exemplarily applied the model to Germany and the Netherlands. It considers projections of future changes in population, climate and the insulation standards of buildings, whereas most of the existing studies only take into account fewer than three different factors that influence the future energy demand of buildings. Furthermore, we developed a comprehensive retrofitting algorithm with which the total residential building stock can be modeled for the first time for each year in the past and future. The study confirms that there is no correlation between the geographical location of a country and its position in the electricity sector susceptibility ranking. Moreover, we found no pronounced pattern of susceptibility influencing factors between countries that ranked higher or lower in the index. We illustrate that Luxembourg, Greece, Slovakia and Italy are the countries with the highest electricity sector susceptibility. The electricity sectors of Norway, the Czech Republic, Portugal and Denmark were found to be least susceptible to climate change. Knowledge about the most important factors for the poor and good ranking positions of these countries is crucial for finding adequate adaptation measures to reduce the susceptibility of the electricity sector. Therefore, these factors are described within this study. We show that the heating energy demand of residential buildings will strongly decrease in both Germany and the Netherlands in the future. The analysis for the Netherlands focused on the regional level and a finer temporal resolution which revealed strong variations in the future heating energy demand changes by province and by month. In the German study, we additionally investigated the future cooling energy demand and could demonstrate that it will only slightly increase up to the middle of this century. Thus, increases in the cooling energy demand are not expected to offset reductions in heating energy demand. The main factor for substantial heating energy demand reductions is the retrofitting of buildings. We are the first to show that the given German and Dutch energy and climate targets in the building sector can only be met if the annual retrofitting rates are substantially increased. The current rate of only about 1 % of the total building stock per year is insufficient for reaching a nearly zero-energy demand of all residential buildings by the middle of this century. To reach this target, it would need to be at least tripled. To sum up, this thesis emphasizes that country-specific characteristics are decisive for the electricity sector susceptibility of European countries. It also shows for different scenarios how much energy is needed in the future to heat and cool residential buildings. With this information, existing climate mitigation and adaptation measures can be justified or new actions encouraged. N2 - Der Energiesektor ist sowohl vom Klimawandel betroffen als auch ein Schlüsselsektor für Maßnahmen zum Klimaschutz. Energiesicherheit ist das Rückgrat unserer modernen Gesellschaft und gewährleistet das Funktionieren der meisten kritischen Infrastrukturen. Daher sollten Entscheidungsträger und Energieversorger verschiedener Länder mit den Faktoren vertraut sein, welche die Anfälligkeit ihres Elektrizitätssektors gegenüber dem Klimawandel beeinflussen. Anfälligkeit meint die sozio-ökonomischen und strukturellen Eigenschaften des Elektrizitätssektors, die die Nachfrage nach und das Angebot an Strom unter sich änderndem Klima erhöhen oder verringern. Darüber hinaus sollten die relevanten Akteure wissen, ob die gesetzten nationalen Energie- und Klimaziele umsetzbar sind und was getan werden muss, um diese Ziele zu erreichen. In diesem Zusammenhang sollte ein Schwerpunkt auf dem Wohngebäudesektor liegen, da dieser einer der größten Energieverbraucher und damit anthropogen bedingter CO2-Emittenten weltweit ist. Diese Dissertation befasst sich mit dem ersten Aspekt, der Anfälligkeit des Elektrizitätssektors, durch die Entwicklung eines Rankings, welches einen quantitativen Vergleich der Anfälligkeit des Elektrizitätssektors von 21 europäischen Ländern anhand von 14 Einflussfaktoren ermöglicht. Solch ein Ranking wurde bisher noch nicht erstellt. Wir führten eine Sensitivitätsanalyse durch, um den relativen Einfluss eines jeden Einflussfaktors auf das Ranking gemäß der Anfälligkeit zu testen. Wir diskutieren zudem Gründe für die Ranking-Position und damit die Anfälligkeit ausgewählter Länder. Das zweite Thema, der Einfluss des Klimawandels auf den Gebäudeenergiebedarf, wird mittels eines neuen Modells bearbeitet, mit welchem der Heiz- und Kühlenergiebedarf von Wohngebäuden abgeschätzt werden kann. Wir wandten das Modell exemplarisch für Deutschland und die Niederlande an. Es berücksichtigt Prognosen für zukünftige Veränderungen der Bevölkerung, des Klimas und des Dämmstandards von Gebäuden, während die meisten der bestehenden Studien nur weniger als drei verschiedene Faktoren berücksichtigen, die den zukünftigen Energiebedarf von Gebäuden beeinflussen. Darüber hinaus haben wir einen umfassenden Sanierungsalgorithmus entworfen, mit welchem der gesamte Wohngebäudebestand erstmals für jedes Jahr in der Vergangenheit und Zukunft modelliert werden kann. Die Studie bestätigt, dass es keinen Zusammenhang zwischen der geographischen Lage eines Landes und seiner Position im Ranking gemäß der Anfälligkeit seines Elektrizitätssektors gibt. Wir fanden auch kein deutliches Muster der Einflussfaktoren für die Anfälligkeit zwischen Ländern, die beim Ranking schlechter oder besser abschnitten. Wir verdeutlichen, dass Luxemburg, Griechenland, die Slowakei und Italien die Länder mit der höchsten Anfälligkeit ihres Elektrizitätssektors sind. Die Elektrizitätssektoren von Norwegen, Tschechien, Portugal und Dänemark zeigten sich als am wenigsten anfällig gegenüber dem Klimawandel. Kenntnisse hinsichtlich der wichtigsten Faktoren für die schlechte bzw. gute Rankingposition dieser Länder sind von entscheidender Bedeutung, um geeignete Anpassungsmaßnahmen zu finden, welche die Anfälligkeit des Elektrizitätssektors reduzieren. Daher werden solche Faktoren in dieser Studie beschrieben. Wir zeigen, dass der Heizenergiebedarf von Wohngebäuden sowohl in Deutschland als auch in den Niederlanden in der Zukunft stark abnehmen wird. Die Analyse für die Niederlande konzentrierte sich auf die regionale Ebene und hatte eine feinere zeitliche Auflösung, wodurch starke zukünftige Veränderungen beim Heizenergiebedarf pro Provinz und Monat deutlich wurden. In der deutschen Studie untersuchten wir zusätzlich den zukünftigen Kühlenergiebedarf und konnten darlegen, dass dieser bis zur Mitte dieses Jahrhunderts nur leicht zunehmen wird. So werden Steigerungen beim Kühlenergiebedarf voraussichtlich nicht die Reduktionen des Heizenergiebedarfs wettmachen. Der wichtigste Faktor für beträchtliche Heizenergiebedarfssenkungen ist die Sanierung von Gebäuden. Wir sind die ersten, die zeigen, dass die festgelegten deutschen und niederländischen Energie- und Klimaziele im Gebäudesektor nur dann erfüllt werden können, wenn die jährliche Sanierungsrate deutlich erhöht wird. Die derzeitige Rate von nur etwa 1% des Gesamtgebäudebestandes pro Jahr reicht nicht aus, dass bis zur Mitte dieses Jahrhunderts alle Wohngebäude einen nahezu energieneutralen Standard erreichen. Dafür müsste sie mindestens verdreifacht werden. Diese Arbeit betont, dass länderspezifische Merkmale eine entscheidende Rolle spielen für die Anfälligkeit des Elektrizitätssektors europäischer Länder. Sie zeigt zudem für verschiedene Szenarien, wie viel Energie in der Zukunft benötigt wird, um Wohngebäude zu heizen und zu kühlen. Mit diesen Informationen lassen sich bestehende Klimaschutz- und Anpassungsmaßnahmen rechtfertigen oder neue Maßnahmen anregen. KW - climate change KW - energy demand KW - residential buildings KW - mitigation KW - susceptibility of the European electricity sector KW - Klimawandel KW - Stromsektor KW - Sanierung KW - Gebäudenergiebedarf KW - Haushalte KW - Europa Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-98378 ER - TY - GEN A1 - Langerwisch, F. A1 - Walz, Ariane A1 - Rammig, A. A1 - Tietjen, B. A1 - Thonicke, Kirsten A1 - Cramer, Wolfgang T1 - Climate change increases riverine carbon outgassing, while export to the ocean remains uncertain T2 - Postprints der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe N2 - Any regular interaction of land and river during flooding affects carbon pools within the terrestrial system, riverine carbon and carbon exported from the system. In the Amazon basin carbon fluxes are considerably influenced by annual flooding, during which terrigenous organic material is imported to the river. The Amazon basin therefore represents an excellent example of a tightly coupled terrestrial-riverine system. The processes of generation, conversion and transport of organic carbon in such a coupled terrigenous-riverine system strongly interact and are climate-sensitive, yet their functioning is rarely considered in Earth system models and their response to climate change is still largely unknown. To quantify regional and global carbon budgets and climate change effects on carbon pools and carbon fluxes, it is important to account for the coupling between the land, the river, the ocean and the atmosphere. We developed the RIVerine Carbon Model (RivCM), which is directly coupled to the well-established dynamic vegetation and hydrology model LPJmL, in order to account for this large-scale coupling. We evaluate RivCM with observational data and show that some of the values are reproduced quite well by the model, while we see large deviations for other variables. This is mainly caused by some simplifications we assumed. Our evaluation shows that it is possible to reproduce large-scale carbon transport across a river system but that this involves large uncertainties. Acknowledging these uncertainties, we estimate the potential changes in riverine carbon by applying RivCM for climate forcing from five climate models and three CO2 emission scenarios (Special Report on Emissions Scenarios, SRES). We find that climate change causes a doubling of riverine organic carbon in the southern and western basin while reducing it by 20% in the eastern and northern parts. In contrast, the amount of riverine inorganic carbon shows a 2- to 3-fold increase in the entire basin, independent of the SRES scenario. The export of carbon to the atmosphere increases as well, with an average of about 30 %. In contrast, changes in future export of organic carbon to the Atlantic Ocean depend on the SRES scenario and are projected to either decrease by about 8.9% (SRES A1B) or increase by about 9.1% (SRES A2). Such changes in the terrigenous-riverine system could have local and regional impacts on the carbon budget of the whole Amazon basin and parts of the Atlantic Ocean. Changes in riverine carbon could lead to a shift in the riverine nutrient supply and pH, while changes in the exported carbon to the ocean lead to changes in the supply of organic material that acts as a food source in the Atlantic. On larger scales the increased outgassing of CO2 could turn the Amazon basin from a sink of carbon to a considerable source. Therefore, we propose that the coupling of terrestrial and riverine carbon budgets should be included in subsequent analysis of the future regional carbon budget. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 526 KW - global vegetation model KW - Amazon-River KW - organic-matter KW - seed dispersal KW - Atlantic-Ocean KW - water-balance KW - forest KW - CO2 KW - wetlands KW - system Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-410177 SN - 1866-8372 IS - 526 ER - TY - THES A1 - Castino, Fabiana T1 - Climate variability and extreme hydro-meteorological events in the Southern Central Andes, NW Argentina T1 - Klimavariabilität und extreme hydro-meteorologische Ereignisse in den südlichen Zentralanden, NW Argentinien N2 - Extreme hydro-meteorological events, such as severe droughts or heavy rainstorms, constitute primary manifestations of climate variability and exert a critical impact on the natural environment and human society. This is particularly true for high-mountain areas, such as the eastern flank of the southern Central Andes of NW Argentina, a region impacted by deep convection processes that form the basis of extreme events, often resulting in floods, a variety of mass movements, and hillslope processes. This region is characterized by pronounced E-W gradients in topography, precipitation, and vegetation cover, spanning low to medium-elevation, humid and densely vegetated areas to high-elevation, arid and sparsely vegetated environments. This strong E-W gradient is mirrored by differences in the efficiency of surface processes, which mobilize and transport large amounts of sediment through the fluvial system, from the steep hillslopes to the intermontane basins and further to the foreland. In a highly sensitive high-mountain environment like this, even small changes in the spatiotemporal distribution, magnitude and rates of extreme events may strongly impact environmental conditions, anthropogenic activity, and the well-being of mountain communities and beyond. However, although the NW Argentine Andes comprise the catchments for the La Plata river that traverses one of the most populated and economically relevant areas of South America, there are only few detailed investigations of climate variability and extreme hydro-meteorological events. In this thesis, I focus on deciphering the spatiotemporal variability of rainfall and river discharge, with particular emphasis on extreme hydro-meteorological events in the subtropical southern Central Andes of NW Argentina during the past seven decades. I employ various methods to assess and quantify statistically significant trend patterns of rainfall and river discharge, integrating high-quality daily time series from gauging stations (40 rainfall and 8 river discharge stations) with gridded datasets (CPC-uni and TRMM 3B42 V7), for the period between 1940 and 2015. Evidence for a general intensification of the hydrological cycle at intermediate elevations (~ 0.5 – 3 km asl) at the eastern flank of the southern Central Andes is found both from rainfall and river-discharge time-series analysis during the period from 1940 to 2015. This intensification is associated with the increase of the annual total amount of rainfall and the mean annual discharge. However, most pronounced trends are found at high percentiles, i.e. extreme hydro-meteorological events, particularly during the wet season from December to February.An important outcome of my studies is the recognition of a rapid increase in the amount of river discharge during the period between 1971 and 1977, most likely linked to the 1976-77 global climate shift, which is associated with the North Pacific Ocean sea surface temperature variability. Interestingly, after this rapid increase, both rainfall and river discharge decreased at low and intermediate elevations along the eastern flank of the Andes. In contrast, during the same time interval, at high elevations, extensive areas on the arid Puna de Atacama plateau have recorded increasing annual rainfall totals. This has been associated with more intense extreme hydro-meteorological events from 1979 to 2014. This part of the study reveals that low-, intermediate, and high-elevation sectors in the Andes of NW Argentina respond differently to changing climate conditions. Possible forcing mechanisms of the pronounced hydro-meteorological variability observed in the study area are also investigated. For the period between 1940 and 2015, I analyzed modes of oscillation of river discharge from small to medium drainage basins (102 to 104 km2), located on the eastern flank of the orogen. First, I decomposed the relevant monthly time series using the Hilbert-Huang Transform, which is particularly appropriate for non-stationary time series that result from non-linear natural processes. I observed that in the study region discharge variability can be described by five quasi-periodic oscillatory modes on timescales varying from 1 to ~20 years. Secondly, I tested the link between river-discharge variations and large-scale climate modes of variability, using different climate indices, such as the BEST ENSO (Bivariate El Niño-Southern Oscillation Time-series) index. This analysis reveals that, although most of the variance on the annual timescale is associated with the South American Monsoon System, a relatively large part of river-discharge variability is linked to Pacific Ocean variability (PDO phases) at multi-decadal timescales (~20 years). To a lesser degree, river discharge variability is also linked to the Tropical South Atlantic (TSA) sea surface temperature anomaly at multi-annual timescales (~2-5 years). Taken together, these findings exemplify the high degree of sensitivity of high-mountain environments with respect to climatic variability and change. This is particularly true for the topographic transitions between the humid, low-moderate elevations and the semi-arid to arid highlands of the southern Central Andes. Even subtle changes in the hydro-meteorological regime of these areas of the mountain belt react with major impacts on erosional hillslope processes and generate mass movements that fundamentally impact the transport capacity of mountain streams. Despite more severe storms in these areas, the fluvial system is characterized by pronounced variability of the stream power on different timescales, leading to cycles of sediment aggradation, the loss of agriculturally used land and severe impacts on infrastructure. N2 - Extreme hydro-meteorologische Ereignisse, wie langanhaltende Dürren oder Starkregen, gelten als Haupterscheinungsform der Klimavariabilität und haben einen entscheidenden Einfluss auf Umwelt und Gesellschaft. Dies gilt im Besonderen für die großen Gebirgsregionen dieser Erde. In einer extrem sensiblen Hochgebirgsregion wie den NW argentinischen Anden haben selbst geringe Veränderungen in der Intensität solcher Extremereignisse, sowie deren Häufigkeit und räumliche Verteilung, nicht nur einen großen Einfluss auf die Landschaftsentwicklung; flussabwärtsliegende Gemeinden sind zudem wirtschaftlich als auch humanitär einem hohen Risiko ausgesetzt. Die vorliegende Arbeit befasst sich im Wesentlichen mit der räumlich-zeitlichen Verteilung von Niederschlags- und Abflussmengen über den Zeitraum der letzten sieben Jahrzente, mit besonderem Fokus auf extreme hydro-meteorologische Ereignisse der subtropischen Zentralanden NW-Argentiniens. Um räumliche und zeitliche statistisch signifikante Trends der Niederschlags- und Abflussmengen bestimmen und quantifizieren zu können, finden in dieser Arbeit verschiedene Methoden Anwendung, in denen hochaufgelöste Zeitreihen von Niederschlags- und Abflussmengenstationen mit diversen Rasterdatensätzen von 1940 bis 2015 kombiniert werden. Über den betrachteten Zeitraum hinweg lässt sich eine allgemeine Intensivierung des hydrologischen Kreislaufes auf mittleren Höhen (500 - 3.000 m ü. NN) belegen. Diese Intensivierung steht einerseits im Zusammenhang mit dem Ansteigen von Extremwetterereignissen, besonders während der Regenzeit von Dezember bis Februar. Der beobachtete Anstieg in der Intensität dieser Wetterlagen deutet auf einen Zusammenhang der schweren Regenstürme und der Verlandung der Abflussbecken in der untersuchten, intermontanen Region hin. Ein rapider Anstieg in der Abflussmenge in Flüssen um bis zu 40% ist für den Zeitraum zwischen 1971 und 1977 dokumentiert. Dieser steht höchstwahrscheinlich mit der globalen Klimaverschiebung von 1976-77 in Zusammenhang, welche wiederum durch die Variabilität der Oberflächentemperatur des Pazifischen Ozeans beeinflusst wird. Nach diesem starken Anstieg können jedoch abnehmende Trends in Niederschlags- wie auch Abflussmengen auf niedrigen und mittleren Höhen der Ostflanken der Anden beobachtet werden. Im Gegensatz dazu belegen ein Anstieg der jährlichen Gesamtniederschlagsmenge sowie der Magnitude von extremen hydro-meterologischen Ereignissen in hohen Höhenlagen der trockenen Puna de Atacama Plateaus, dass niedrige, mittlere und hohe Sektoren der NW argentinischen Anden unterschiedlich auf Änderungen des Klimas reagieren. Schlussendlich kann die in der Region beobachtete, stark ausgeprägte Variabilität in der Hydro-meteorologie über jährliche Zeiträume zum größten Teil mit dem Südamerikanischen Monsunsystem erklärt werden. Jedoch sind große Anteile in der Variabilität der Abflussmenge auch stark an die Pazifische Dekaden-Oszillation (PDO) in Zeiträumen über mehrereJahrzehnte (~20 Jahre) gekoppelt und zu einem geringeren Anteil auch an die Meeresoberflächentemperatur-Anomalie des tropischen Südatlantiks (TSA) über mehrjährige Zeiträume hinweg (~2-5 Jahre). Interessanterweise wurden nur weniger stark ausgeprägte Zusammenhänge zwischen der Abflussvariabilität und El Niño-Southern Oscillation in unserem Untersuchungsgebiet gefunden. KW - climate variability KW - extreme hydrometeorological events KW - Central Andes KW - Klimavariabilität KW - extreme hydro-meteorologische Ereignisse KW - Zentralanden Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-396815 ER -