TY - THES A1 - Laux, Eva-Maria T1 - Electric field-assisted immobilization and alignment of biomolecules T1 - Immobilisierung und Ausrichtung von Biomolekülen mit elektrischen Wechselfeldern N2 - In this dissertation, an electric field-assisted method was developed and applied to achieve immobilization and alignment of biomolecules on metal electrodes in a simple one-step experiment. Neither modifications of the biomolecule nor of the electrodes were needed. The two major electrokinetic effects that lead to molecule motion in the chosen electrode configurations used were identified as dielectrophoresis and AC electroosmotic flow. To minimize AC electroosmotic flow, a new 3D electrode configuration was designed. Thus, the influence of experimental parameters on the dielectrophoretic force and the associated molecule movement could be studied. Permanent immobilization of proteins was examined and quantified absolutely using an atomic force microscope. By measuring the volumes of the immobilized protein deposits, a maximal number of proteins contained therein was calculated. This was possible since the proteins adhered to the tungsten electrodes even after switching off the electric field. The permanent immobilization of functional proteins on surfaces or electrodes is one crucial prerequisite for the fabrication of biosensors. Furthermore, the biofunctionality of the proteins must be retained after immobilization. Due to the chemical or physical modifications on the proteins caused by immobilization, their biofunctionality is sometimes hampered. The activity of dielectrophoretically immobilized proteins, however, was proven here for an enzyme for the first time. The enzyme horseradish peroxidase was used exemplarily, and its activity was demonstrated with the oxidation of dihydrorhodamine 123, a non-fluorescent precursor of the fluorescence dye rhodamine 123. Molecular alignment and immobilization - reversible and permanent - was achieved under the influence of inhomogeneous AC electric fields. For orientational investigations, a fluorescence microscope setup, a reliable experimental procedure and an evaluation protocol were developed and validated using self-made control samples of aligned acridine orange molecules in a liquid crystal. Lambda-DNA strands were stretched and aligned temporarily between adjacent interdigitated electrodes, and the orientation of PicoGreen molecules, which intercalate into the DNA strands, was determined. Similarly, the aligned immobilization of enhanced Green Fluorescent Protein was demonstrated exploiting the protein's fluorescence and structural properties. For this protein, the angle of the chromophore with respect to the protein's geometrical axis was determined in good agreement with X-ray crystallographic data. Permanent immobilization with simultaneous alignment of the proteins was achieved along the edges, tips and on the surface of interdigitated electrodes. This was the first demonstration of aligned immobilization of proteins by electric fields. Thus, the presented electric field-assisted immobilization method is promising with regard to enhanced antibody binding capacities and enzymatic activities, which is a requirement for industrial biosensor production, as well as for general interaction studies of proteins. N2 - In dieser Doktorarbeit wurde eine Methode entwickelt, mit der Biomoleküle unter dem Einfluss von elektrischen Feldern auf Metallelektroden immobilisiert und ausgerichtet werden können. Für die Immobilisierung wurden weder Modifikationen an den Biomolekülen noch an den Elektroden benötigt. Zwei elektrokinetische Effekte, die Dielektrophorese und der AC-elektroosmotische Fluss, wurden als verantwortliche Effekte für die Molekülbewegung identifiziert. Mit einer neuen 3D Elektrodenkonfiguration wurde der AC-elektroosmotische Fluss minimiert. Damit konnte der Einfluss der experimentellen Parameter auf die Dielektrophoresekraft und deren Auswirkungen auf die Moleküle untersucht werden: Die permanente Immobilisierung von Proteinen wurde mit einem Rasterkraftmikroskop quantifiziert, indem die Volumina der immobilisierten Proteinablagerungen gemessen wurden, und daraus die maximal darin enthaltene Anzahl an Proteinen berechnet wurde. Diese Art der absoluten Quantifizierung war nur möglich, da die Proteine auch nach Abschalten des elektrischen Feldes auf den Wolframelektroden hafteten. Eine solche permanente Immobilisierung funktioneller Proteine auf Elektroden oder Oberflächen im Allgemeinen ist eine wichtige Voraussetzung für die Herstellung von Biosensoren. Des Weiteren muss die Biofunktion der Proteine nach der Immobilisierung erhalten bleiben. Da die Proteine durch die Immobilisierung chemisch oder physikalisch verändert werden, ist auch ihre Biofunktion häufig eingeschränkt. In dieser Arbeit wurde erstmals der Erhalt der Aktivität dielektrophoretisch immobilisierter Enzyme gezeigt. Hierfür wurde das Enzym Meerrettichperoxidase exemplarisch verwendet, dessen Aktivität über die Oxidation von Dihydrorhodamin 123, einem nicht-fluoreszentem Vorläufer des Fluoreszenzfarbstoffes Rhodamin 123, nachgewiesen wurde. Molekulare Ausrichtung und Immobilisierung – sowohl reversibel als auch permanent – wurde unter dem Einfluss inhomogener elektrischer Wechselfelder erreicht. Für die Bestimmung der Molekülausrichtung wurde mit ein Messaufbau entwickelt, der auf einem Fluoreszenzmikroskop basiert. Der Aufbau, das Messprotokoll und die Auswertungsmethode wurden mit einer selbst hergestellten Kontrollprobe, die aus ausgerichteten Acridinorangemolekülen in einem Flüssigkristall bestand, validiert. Lambda-DNA Doppelstränge wurden zwischen benachbarten Interdigitalelektroden gestreckt und temporär ausgerichtet. Die Ausrichtung von interkalierten PicoGreen-Molekülen im rechten Winkel zur Längsachse der Doppelstränge konnte hier gezeigt werden. Zudem konnte die ausgerichtete Immobilisierung des enhanced Green Fluorescent Protein nachgewiesen werden, indem die Fluoreszenz des Proteins und seine Struktureigenschaften ausgenutzt wurden. Aus den Messungen konnte der Winkel des Chromophors relativ zur Proteinlängsachse mit guter Übereinstimmung mit Röntgenkristallstrukturdaten bestimmt werden. Eine permanente Immobilisierung mit gleichzeitiger Ausrichtung der Proteine wurde entlang der Kanten, an den Spitzen und auf der Oberfläche von Interdigitalelektroden erzielt. Damit wurde zum ersten Mal eine ausgerichtete Immobilisierung von Proteinen mit elektrischen Wechselfeldern gezeigt. Diese Methode ist vielversprechend für die Immobilisierung von Antikörpern oder Enzymen mit einheitlicher Ausrichtung und dadurch verbessertem Zugang zu den aktiven Zentren, was nicht nur für die industrielle Biosensorherstellung von Interesse ist, sondern genauso für allgemeine Wechselwirkungsstudien von Proteinen. KW - dielectrophoresis KW - electrokinetics KW - proteins KW - immobilization KW - alignment KW - Dielektrophorese KW - elektrokinetische Effekte KW - Proteine KW - Immobilisierung KW - Ausrichtung Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-90271 ER - TY - GEN A1 - Adani, Flavia A1 - Stegenwallner-Schütz, Maja Henny Katherine A1 - Haendler, Yair A1 - Zukowski, Andrea T1 - Elicited production of relative clauses in German BT - evidence from typically developing children and children with specific language impairment T2 - Postprints der Universität Potsdam : Humanwissenschaftliche Reihe N2 - We elicited the production of various types of relative clauses in a group of German-speaking children with specific language impairment (SLI) and typically developing controls in order to test the movement optionality account of grammatical difficulty in SLI. The results show that German-speaking children with SLI are impaired in relative clause production compared to typically developing children. The alternative structures that they produce consist of simple main clauses, as well as nominal and prepositional phrases produced in isolation, sometimes contextually appropriate, and sometimes not. Crucially for evaluating the movement optionality account, children with SLI produce very few instances of embedded clauses where the relative clause head noun is pronounced in situ; in fact, such responses are more common among the typically developing child controls. These results underscore the difficulty German-speaking children with SLI have with structures involving movement, but provide no specific support for the movement optionality account. T3 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe - 409 KW - elicited production KW - first language acquisition KW - German KW - relative clauses KW - specific language impairment Y1 - 2018 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-405149 IS - 409 ER - TY - THES A1 - Ledendecker, Marc T1 - En route towards advanced catalyst materials for the electrocatalytic water splitting reaction T1 - Innovative Katalysatormaterialien für die elektrokatalytische Wasserspaltung BT - mechanistic insights into the formation of metal carbides, phosphides, sulfides and nitrides BT - mechanistische Einblicke in die Bildung von Metallcarbiden, -phosphiden, -sulfiden und –nitriden N2 - The thesis on hand deals with the development of new types of catalysts based on pristine metals and ceramic materials and their application as catalysts for the electrocatalytic water splitting reaction. In order to breathe life into this technology, cost-efficient, stable and efficient catalysts are imploringly desired. In this manner, the preparation of Mn-, N-, S-, P-, and C-containing nickel materials has been investigated together with the theoretical and electrochemical elucidation of their activity towards the hydrogen (and oxygen) evolution reaction. The Sabatier principle has been used as the principal guideline towards successful tuning of catalytic sites. Furthermore, two pathways have been chosen to ameliorate the electrocatalytic performance, namely, the direct improvement of intrinsic properties through appropriate material selection and secondly the increase of surface area of the catalytic material with an increased amount of active sites. In this manner, bringing materials with optimized hydrogen adsorption free energy onto high surface area support, catalytic performances approaching the golden standards of noble metals were feasible. Despite varying applied synthesis strategies (wet chemistry in organic solvents, ionothermal reaction, gas phase reaction), one goal has been systematically pursued: to understand the driving mechanism of the growth. Moreover, deeper understanding of inherent properties and kinetic parameters of the catalytic materials has been gained. N2 - Wasserstoff ist einer der vielversprechendsten Energieträger aufgrund seiner hohen massenbezogenen Energiedichte. In diesem Zusammenhang erlaubt die elektrokatalytische Wasserspaltung die einfache und saubere Herstellung von Wasserstoff. Allerdings erfordert die Trennung der relativ starken Wasserstoff-Sauerstoff Bindungen beträchtliche Energie und teure Edelmetalle wie Platin oder Iridium zeigen die höchste katalytische Aktivität mit geringer Überspannung und hohen Stromdichten was zu einem guten Wirkungsgrad führt. Aus dieser Motivation heraus befasst sich die vorliegende Arbeit mit der Entwicklung neuer Katalysatoren, die auf Metalllegierungen und Keramiken basieren, sowie ihrer Anwendung für die elektrokatalytische Wasserspaltung. Besonderes Augenmerk wurde auf die Herstellung von kostengünstigen mangan-, stickstoff-, schwefel-, phosphor- und kohlenstoffhaltigen Nickelwerkstoffen gelegt und deren Aktivität experimentell und theoretisch erforscht. Nickel wurde aufgrund seines relativ günstigen Preises und hohen Vorkommens gewählt. Das Prinzip von Sabatier – die Wechselwirkung zwischen Adsorbat und Substrat sollte weder zu stark noch zu schwach sein – wurde als Leitfaden für die Entwicklung effizienter Katalysatoren benutzt. Trotz unterschiedlich angewendeter Synthesestrategien (Synthese in organischen Lösungsmitteln, ionothermale Reaktion oder Gasphasenreaktion), wurde zusätzlich systematisch ein weiteres Ziel verfolgt: Die Wachstums- und Entstehungsmechanismen dieser Materialen zu ergründen. Darüber hinaus wurde ein tieferes Verständnis der inhärenten Eigenschaften und kinetischen Parameter der katalytischen Materialien gewonnen. KW - Wasserspaltung KW - Katalysatoren KW - Keramik KW - Legierungen KW - Materialwissenschaft KW - HER KW - OER KW - water splitting reaction KW - ceramics KW - metal alloys KW - material science KW - HER KW - OER Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-93296 ER - TY - GEN A1 - Röder, Katrin T1 - Engaging with T.S. Eliot: Four Quartets as a Multimedia Performance T2 - Zeitschrift für Anglistik und Amerikanistik N2 - This article explores a recent performance of excerpts from T.S. Eliot’s Four Quartets (1935/36–1942) entitled Engaging Eliot: Four Quartets in Word, Color, and Sound as an example of live poetry. In this context, Eliot’s poem can be analysed as an auditory artefact that interacts strongly with other oral performances (welcome addresses and artists’ conversations), as well as with the musical performance of Christopher Theofanidis’s quintet “At the Still Point” at the end of the opening of Engaging Eliot. The event served as an introduction to a 13-day art exhibition and engaged in a re-evaluation of Eliot’s poem after 9/11: while its first part emphasises the connection between Eliot’s poem and Christian doctrine, its second part – especially the combination of poetry reading and musical performance – highlights the philosophical and spiritual dimensions of Four Quartets. Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-397808 ER - TY - GEN A1 - Radosavljevic, Boris A1 - Lantuit, Hugues A1 - Pollard, Wayne A1 - Overduin, Pier Paul A1 - Couture, Nicole A1 - Sachs, Torsten A1 - Helm, Veit A1 - Fritz, Michael T1 - Erosion and flooding-threats to coastal Infrastructure in the Arctic BT - a case study from Herschel Island, Yukon Territory, Canada T2 - Postprints der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe N2 - Arctic coastal infrastructure and cultural and archeological sites are increasingly vulnerable to erosion and flooding due to amplified warming of the Arctic, sea level rise, lengthening of open water periods, and a predicted increase in frequency of major storms. Mitigating these hazards necessitates decision-making tools at an appropriate scale. The objectives of this paper are to provide such a tool by assessing potential erosion and flood hazards at Herschel Island, a UNESCO World Heritage candidate site. This study focused on Simpson Point and the adjacent coastal sections because of their archeological, historical, and cultural significance. Shoreline movement was analyzed using the Digital Shoreline Analysis System (DSAS) after digitizing shorelines from 1952, 1970, 2000, and 2011. For purposes of this analysis, the coast was divided in seven coastal reaches (CRs) reflecting different morphologies and/or exposures. Using linear regression rates obtained from these data, projections of shoreline position were made for 20 and 50 years into the future. Flood hazard was assessed using a least cost path analysis based on a high-resolution light detection and ranging (LiDAR) dataset and current Intergovernmental Panel on Climate Change sea level estimates. Widespread erosion characterizes the study area. The rate of shoreline movement in different periods of the study ranges from −5.5 to 2.7 m·a⁻¹ (mean −0.6 m·a⁻¹). Mean coastal retreat decreased from −0.6 m·a⁻¹ to −0.5 m·a⁻¹, for 1952–1970 and 1970–2000, respectively, and increased to −1.3 m·a⁻¹ in the period 2000–2011. Ice-rich coastal sections most exposed to wave attack exhibited the highest rates of coastal retreat. The geohazard map combines shoreline projections and flood hazard analyses to show that most of the spit area has extreme or very high flood hazard potential, and some buildings are vulnerable to coastal erosion. This study demonstrates that transgressive forcing may provide ample sediment for the expansion of depositional landforms, while growing more susceptible to overwash and flooding. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 996 KW - Arctic KW - coastal erosion KW - UNESCO KW - vulnerability mapping; KW - permafrost coasts Y1 - 2020 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-432279 SN - 1866-8372 IS - 996 ER - TY - GEN A1 - Rauscher, Larissa A1 - Kohn, Juliane A1 - Käser, Tanja A1 - Mayer, Verena A1 - Kucian, Karin A1 - McCaskey, Ursina A1 - Esser, Günter A1 - von Aster, Michael G. T1 - Evaluation of a computer-based training program for enhancing arithmetic skills and spatial number representation in primary school children T2 - Postprints der Universität Potsdam : Humanwissenschaftliche Reihe N2 - Calcularis is a computer-based training program which focuses on basic numerical skills, spatial representation of numbers and arithmetic operations. The program includes a user model allowing flexible adaptation to the child's individual knowledge and learning profile. The study design to evaluate the training comprises three conditions (Calcularis group, waiting control group, spelling training group). One hundred and thirty-eight children from second to fifth grade participated in the study. Training duration comprised a minimum of 24 training sessions of 20 min within a time period of 6-8 weeks. Compared to the group without training (waiting control group) and the group with an alternative training (spelling training group), the children of the Calcularis group demonstrated a higher benefit in subtraction and number line estimation with medium to large effect sizes. Therefore, Calcularis can be used effectively to support children in arithmetic performance and spatial number representation. T3 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe - 430 KW - numerical development KW - evaluative study KW - primary school KW - computer-based training KW - mathematics instruction Y1 - 2018 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-406727 IS - 430 ER - TY - INPR A1 - Dereudre, David A1 - Mazzonetto, Sara A1 - Roelly, Sylvie T1 - Exact simulation of Brownian diffusions with drift admitting jumps N2 - Using an algorithm based on a retrospective rejection sampling scheme, we propose an exact simulation of a Brownian diffusion whose drift admits several jumps. We treat explicitly and extensively the case of two jumps, providing numerical simulations. Our main contribution is to manage the technical difficulty due to the presence of two jumps thanks to a new explicit expression of the transition density of the skew Brownian motion with two semipermeable barriers and a constant drift. T3 - Preprints des Instituts für Mathematik der Universität Potsdam - 5 (2016) 7 KW - exact simulation method KW - skew Brownian motion KW - skew diffusion KW - Brownian motion with discontinuous drift Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-91049 SN - 2193-6943 VL - 5 IS - 7 PB - Universitätsverlag Potsdam CY - Potsdam ER - TY - GEN A1 - Mosca, Michela A1 - Clahsen, Harald T1 - Examining language switching in bilinguals BT - the role of preparation time T2 - Postprints der Universität Potsdam : Humanwissenschaftliche Reihe N2 - Much research on language control in bilinguals has relied on the interpretation of the costs of switching between two languages. Of the two types of costs that are linked to language control, switching costs are assumed to be transient in nature and modulated by trial-specific manipulations (e.g., by preparation time), while mixing costs are supposed to be more stable and less affected by trial-specific manipulations. The present study investigated the effect of preparation time on switching and mixing costs, revealing that both types of costs can be influenced by trial-specific manipulations. T3 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe - 451 KW - bilingual language switching KW - preparation time KW - switching costs KW - mixing costs KW - picture naming Y1 - 2018 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-413752 IS - 451 ER - TY - THES A1 - Renans, Agata Maria T1 - Exhaustivity T1 - Exhaustivität BT - on exclusive particles, clefts, and progressive aspect in Ga (Kwa) BT - über exklusive Partikel, Spaltsätze und progressiven Aspekt im Ga (Kwa) N2 - The dissertation proposes an answer to the question of how to model exhaustive inferences and what the meaning of the linguistic material that triggers these inferences is. In particular, it deals with the semantics of exclusive particles, clefts, and progressive aspect in Ga, an under-researched language spoken in Ghana. Based on new data coming from the author’s original fieldwork in Accra, the thesis points to a previously unattested variation in the semantics of exclusives in a cross-linguistic perspective, analyzes the connections between exhaustive interpretation triggered by clefts and the aspectual interpretation of the sentence, and identifies a cross-categorial definite determiner. By that it sheds new light on several exhaustivity-related phenomena in both the nominal and the verbal domain and shows that both domains are closely connected. N2 - Die Dissertation schlägt eine Antwort auf die Frage vor, wie exhaustive Inferenzen modelliert werden können und was die Bedeutung des sprachlichen Materials ist, das diese Inferenzen auslöst. Insbesondere geht es um die Semantik von exklusiven Partikeln, Spaltsätzen und progressivem Aspekt im Ga, einer bisher wenig untersuchten Sprache, die in Ghana gesprochen wird. Basierend auf neuen Daten aus der Feldforschungsarbeit der Autorin verweist die Dissertation auf zuvor nicht attestierte sprachübergreifende Variation in der Semantik exklusiver Partikel, analysiert die Beziehung zwischen exhaustiver Interpretation von Spaltsätzen und Aspektinterpretation und identifiziert einen kategorieübergreifenden definiten Artikel. Die Arbeit wirft somit neues Licht auf mehrere exhaustivitätsbezogene Phänomene sowohl in der nominalen als auch in der verbalen Domäne und zeigt, dass beide Domänen eng miteinander verbunden sind. KW - formal semantics KW - fieldwork KW - exclusive particles KW - clefts KW - progressive aspect KW - defintie determiner KW - formale Semantik KW - Feldforschung KW - exklusive Partikel KW - Spaltssatz KW - progressiver Aspekt KW - Ga (Kwa) Sprache KW - Ga (Kwa) language Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-89501 ER - TY - THES A1 - Riebe, Daniel T1 - Experimental and theoretical investigations of molecular ions by spectroscopy as well as ion mobility and mass spectrometry T1 - Experimentelle und theoretische Untersuchungen molekularer Ionen durch Spektroskopie sowie Ionenmobilitäts- und Massenspektrometrie N2 - The aim of this thesis was the elucidation of different ionization methods (resonance-enhanced multiphoton ionization – REMPI, electrospray ionization – ESI, atmospheric pressure chemical ionization – APCI) in ion mobility (IM) spectrometry. In order to gain a better understanding of the ionization processes, several spectroscopic, mass spectrometric and theoretical methods were also used. Another focus was the development of experimental techniques, including a high resolution spectrograph and various combinations of IM and mass spectrometry. The novel high resolution 2D spectrograph facilitates spectroscopic resolutions in the range of commercial echelle spectrographs. The lowest full width at half maximum of a peak achieved was 25 pm. The 2D spectrograph is based on the wavelength separation of light by the combination of a prism and a grating in one dimension, and an etalon in the second dimension. This instrument was successfully employed for the acquisition of Raman and laser-induced breakdown spectra. Different spectroscopic methods (light scattering and fluorescence spectroscopy) permitting a spatial as well as spectral resolution, were used to investigate the release of ions in the electrospray. The investigation is based on the 50 nm shift of the fluorescence band of rhodamine 6G ions of during the transfer from the electrospray droplets to the gas phase. A newly developed ionization chamber operating at reduced pressure (0.5 mbar) was coupled to a time-of-flight mass spectrometer. After REMPI of H2S, an ionization chemistry analogous to H2O was observed with this instrument. Besides H2S+ and its fragments, H3S+ and protonated analyte ions could be observed as a result of proton-transfer reactions. For the elucidation of the peaks in IM spectra, a combination of IM spectrometer and linear quadrupole ion trap mass spectrometer was developed. The instrument can be equipped with various ionization sources (ESI, REMPI, APCI) and was used for the characterization of the peptide bradykinin and the neuroleptic promazine. The ionization of explosive compounds in an APCI source based on soft x-radiation was investigated in a newly developed ionization chamber attached to the ion trap mass spectrometer. The major primary and secondary reactions could be characterized and explosive compound ions could be identified and assigned to the peaks in IM spectra. The assignment is based on the comparison of experimentally determined and calculated IM. The methods of calculation currently available exhibit large deviations, especially in the case of anions. Therefore, on the basis of an assessment of available methods, a novel hybrid method was developed and characterized. N2 - Ziel dieser Arbeit war die Aufklärung unterschiedlicher Ionisationsmethoden (Resonanz-verstärkte Mehrphotonenionisation – REMPI, Elektrosprayionisation – ESI, chemische Ionisation bei Atmosphärendruck – APCI) in der Ionenmobilitäts (IM)-Spektrometrie. Um ein besseres Verständnis der Ionisationsprozesse zu erhalten, wurden zusätzlich ver¬schiedene spektroskopische, massenspektrometrische und theoretische Methoden eingesetzt. Ein weiterer Schwerpunkt war die Entwicklung neuer experimenteller Techniken, darunter ein hochauflösender Spektrograph und verschiedene Kombinationen von IM- und Massenspektrometern. Der neuartige, hochauflösende 2D Spektrograph ermöglicht spektroskopische Auflösungen im Bereich kommerzieller Echelle-Spektrographen. Die geringste erreichte Halbwertsbreite eines Peaks betrug 25 pm. Der 2D Spektrograph beruht auf der Wellenlängenseparation von Licht durch eine Kombination aus einem Prisma und einem Gitter in der einen Dimension und einem Etalon in der zweiten Dimension. Das Instrument wurde erfolgreich zur Aufnahme von Raman- und laserinduzierten Plasmaspektren ein¬gesetzt. Verschiedene spektroskopische Methoden (Lichtstreuung und Fluoreszenzspektroskopie), die sowohl eine räumliche, als auch eine spektrale Auflösung erlauben, wurden zur Untersuchung der Freisetzung der Ionen im Elektrospray angewandt. Die Untersuchung beruht auf der Verschiebung der Fluoreszenzbande von Rhodamin 6G-Ionen um 50 nm beim Übergang aus den Elektrospray-Tropfen in die Gasphase. Eine neuent¬wickelte Ionisationskammer bei reduziertem Druck (0,5 mbar) wurde an ein Flugzeit-Massenspektrometer gekoppelt. Darin wurde nach REMPI von H2S eine zum H2O analoge Ionisationschemie beobachtet. Neben H2S+ und seinen Fragmenten wurden als Ergebnis von Proto-nen-Transferreaktionen H3S+ und protonierte Analytionen beobachtet. Zur Aufklärung der Peaks in IM-Spektren wurde eine Kopplung von IM-Spektrometer und linearem Quadrupol-Ionenfallen-Massenspektrometer entwickelt. Die Kopplung kann mit verschiedenen Ionisationsquellen (ESI, REMPI, APCI) ausgestattet werden und wurde zur Charakterisierung des Peptids Bradykinin und des Neuroleptikums Promazin angewendet. Die Ionisation von Sprengstoffen in einer APCI-Quelle, die auf weicher Röntgenstrahlung beruht, wurde in einer neu entwickelten, an das Ionenfallen-Massenspektrometer gekoppelten Ionisationskammer untersucht. Dabei konnten die wichtigsten Primär- und Sekundärreaktionen charakterisiert, sowie Sprengstoffionen identifiziert und den Peaks in den IM-Spektren zugeordnet werden. Diese Zuordnung beruht auf dem Vergleich von experimentell bestimmten und berechneten IM. Da die aktuell verfügbaren Berechnungsmethoden insbesondere für Anionen zu große Abweichungen zu den experimentell bestimmten IM aufweisen, wurde auf Basis der Bewertung verfügbarer Methoden eine neue Hybridmethode entwickelt und charakterisiert. KW - ion mobility spectrometry KW - mass spectrometry KW - explosives KW - X-ray KW - photoionization KW - ion mobility calculations KW - Ionenmobilitätsspektrometrie KW - Massenspektrometrie KW - Sprengstoffe KW - Röntgenstrahlung KW - Photoionisation KW - Ionenmobilitäts-Berechnungen Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-94632 ER - TY - GEN A1 - Qiu, Chen A1 - Krüger, Yves A1 - Wilke, Max A1 - Marti, Dominik A1 - Rička, Jaro A1 - Frenz, Martin T1 - Exploration of the phase diagram of liquid water in the low-temperature metastable region using synthetic fluid inclusions N2 - We present new experimental data of the low-temperature metastable region of liquid water derived from high-density synthetic fluid inclusions (996–916 kg m−3) in quartz. Microthermometric measurements include: (i) prograde (upon heating) and retrograde (upon cooling) liquid–vapour homogenisation. We used single ultrashort laser pulses to stimulate vapour bubble nucleation in initially monophase liquid inclusions. Water densities were calculated based on prograde homogenisation temperatures using the IAPWS-95 formulation. We found retrograde liquid–vapour homogenisation temperatures in excellent agreement with IAPWS-95. (ii) Retrograde ice nucleation. Raman spectroscopy was used to determine the nucleation of ice in the absence of the vapour bubble. Our ice nucleation data in the doubly metastable region are inconsistent with the low-temperature trend of the spinodal predicted by IAPWS-95, as liquid water with a density of 921 kg m−3 remains in a homogeneous state during cooling down to a temperature of −30.5 °C, where it is transformed into ice whose density corresponds to zero pressure. (iii) Ice melting. Ice melting temperatures of up to 6.8 °C were measured in the absence of the vapour bubble, i.e. in the negative pressure region. (iv) Spontaneous retrograde and, for the first time, prograde vapour bubble nucleation. Prograde bubble nucleation occurred upon heating at temperatures above ice melting. The occurrence of prograde and retrograde vapour bubble nucleation in the same inclusions indicates a maximum of the bubble nucleation curve in the ϱ–T plane at around 40 °C. The new experimental data represent valuable benchmarks to evaluate and further improve theoretical models describing the p–V–T properties of metastable water in the low-temperature region. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 327 Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-394993 ER - TY - BOOK A1 - Tessenow, Philipp A1 - Felgentreff, Tim A1 - Bracha, Gilad A1 - Hirschfeld, Robert T1 - Extending a dynamic programming language and runtime environment with access control T1 - Verbesserung gehosteter Dienste für kontinuierliche Integration N2 - Complexity in software systems is a major factor driving development and maintenance costs. To master this complexity, software is divided into modules that can be developed and tested separately. In order to support this separation of modules, each module should provide a clean and concise public interface. Therefore, the ability to selectively hide functionality using access control is an important feature in a programming language intended for complex software systems. Software systems are increasingly distributed, adding not only to their inherent complexity, but also presenting security challenges. The object-capability approach addresses these challenges by defining language properties providing only minimal capabilities to objects. One programming language that is based on the object-capability approach is Newspeak, a dynamic programming language designed for modularity and security. The Newspeak specification describes access control as one of Newspeak’s properties, because it is a requirement for the object-capability approach. However, access control, as defined in the Newspeak specification, is currently not enforced in its implementation. This work introduces an access control implementation for Newspeak, enabling the security of object-capabilities and enhancing modularity. We describe our implementation of access control for Newspeak. We adapted the runtime environment, the reflective system, the compiler toolchain, and the virtual machine. Finally, we describe a migration strategy for the existing Newspeak code base, so that our access control implementation can be integrated with minimal effort. N2 - Die Komplexität von Softwaresystemen hat einen hohen Einfluss auf Entwicklungs- und Wartungskosten. Um diese Komplexität zu beherschen, werden Softwaresysteme in Module unterteilt, da diese getrennt leichter zu entwickeln und zu testen sind. Zur Unterstützung einer sauberen Aufteilung von Modulen, sollten sie minimale und klar definierte Schnittstellen haben. Dafür ist die Fähigkeit, mit Hilfe der Berechtigungskontrolle selektiv die Sichtbarkeit von Funktionen eines Modules einzuschränken, von zentraler Bedeutung. Softwaresysteme sind immer stärker verteilt, was nicht nur zu ihrer Komplexität beiträgt, sondern auch Herausforderungen bezüglich der Sicherheit mit sich bringt. Der Object-Capability-Ansatz löst genau jene Sicherheitsprobleme, da dadurch Programmobjekten nur die minimal erforderlichen Fähigkeiten gegeben werden. Für diesen Ansatz ist es essentiell, dass die öffentliche Schnittstelle eines Objektes durch Berechtigungskontrolle eingeschränkt werden kann. Auf dem Object-Capability-Ansatz basiert Newspeak, eine moderne und dynamische Programmiersprache, die besonders auf Sicherheit sowie Modularität Wert legt. Die Berechtigungskontrolle ist eine zentrale Funktion, sowohl für die Modularität, als auch für die Sicherheit von Newspeak. Daher ist sie auch in der Spezifikation von Newspeak definiert. Bisher gibt es allerdings keine Implementierung, die die Berechtigungskontrolle durchsetzt. In dieser Arbeit stellen wir eine Implementierung der Berechtigungskontrolle für Newspeak vor. Damit wird sowohl die Modularität von Newspeak Programmen verbessert, als auch die Sicherheit durch den Object-Capability-Ansatz erst ermöglicht. Wir beschreiben eine Implementierung der Berechtigungskontrolle für Newspeak und passen dabei die Laufzeitumgebung, die Reflexions- und Introspektionsmodule, den Compiler sowie die virtuelle Maschine an. Große Teile des Newspeak-Programmcodes müssen für die Benutzung der Berechtigungskontrolle angepasst werden. Durch eine Migration des Newspeak-Programmcodes wird es möglich, unsere Implementierung mit existierenden Newspeak-Programmen zu benutzen. T3 - Technische Berichte des Hasso-Plattner-Instituts für Digital Engineering an der Universität Potsdam - 107 KW - access control KW - virtual machines KW - Newspeak KW - dynamic programming languages KW - Zugriffskontrolle KW - virtuelle Maschinen KW - Newspeak KW - dynamische Programmiersprachen Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-92560 SN - 978-3-86956-373-2 SN - 1613-5652 SN - 2191-1665 IS - 107 PB - Universitätsverlag Potsdam CY - Potsdam ER - TY - GEN A1 - Verissimo, Joao Marques T1 - Extending a Gradient Symbolic approach to the native versus non-native contrast BT - the case of plurals in compounds T2 - Postprints der Universität Potsdam : Humanwissenschaftliche Reihe N2 - The Gradient Symbolic Computation (GSC) model presented in the keynote article (Goldrick, Putnam & Schwarz) constitutes a significant theoretical development, not only as a model of bilingual code-mixing, but also as a general framework that brings together symbolic grammars and graded representations. The authors are to be commended for successfully integrating a theory of grammatical knowledge with the voluminous research on lexical co-activation in bilinguals. It is, however, unfortunate that a certain conception of bilingualism was inherited from this latter research tradition, one in which the contrast between native and non-native language takes a back seat. T3 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe - 518 Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-413712 SN - 1866-8364 IS - 518 SP - 900 EP - 902 ER - TY - THES A1 - Cajar, Anke T1 - Eye-movement control during scene viewing T1 - Blicksteuerung bei der Betrachtung natürlicher Szenen BT - the roles of central and peripheral vision BT - die Rollen des zentralen und peripheren Sehens N2 - Eye movements serve as a window into ongoing visual-cognitive processes and can thus be used to investigate how people perceive real-world scenes. A key issue for understanding eye-movement control during scene viewing is the roles of central and peripheral vision, which process information differently and are therefore specialized for different tasks (object identification and peripheral target selection respectively). Yet, rather little is known about the contributions of central and peripheral processing to gaze control and how they are coordinated within a fixation during scene viewing. Additionally, the factors determining fixation durations have long been neglected, as scene perception research has mainly been focused on the factors determining fixation locations. The present thesis aimed at increasing the knowledge on how central and peripheral vision contribute to spatial and, in particular, to temporal aspects of eye-movement control during scene viewing. In a series of five experiments, we varied processing difficulty in the central or the peripheral visual field by attenuating selective parts of the spatial-frequency spectrum within these regions. Furthermore, we developed a computational model on how foveal and peripheral processing might be coordinated for the control of fixation duration. The thesis provides three main findings. First, the experiments indicate that increasing processing demands in central or peripheral vision do not necessarily prolong fixation durations; instead, stimulus-independent timing is adapted when processing becomes too difficult. Second, peripheral vision seems to play a prominent role in the control of fixation durations, a notion also implemented in the computational model. The model assumes that foveal and peripheral processing proceed largely in parallel and independently during fixation, but can interact to modulate fixation duration. Thus, we propose that the variation in fixation durations can in part be accounted for by the interaction between central and peripheral processing. Third, the experiments indicate that saccadic behavior largely adapts to processing demands, with a bias of avoiding spatial-frequency filtered scene regions as saccade targets. We demonstrate that the observed saccade amplitude patterns reflect corresponding modulations of visual attention. The present work highlights the individual contributions and the interplay of central and peripheral vision for gaze control during scene viewing, particularly for the control of fixation duration. Our results entail new implications for computational models and for experimental research on scene perception. N2 - Blickbewegungen stellen ein Fenster in aktuelle visuell-kognitive Prozesse dar und können genutzt werden um zu untersuchen wie Menschen natürliche Szenen wahrnehmen. Eine zentrale Frage ist, welche Rollen zentrales und peripheres Sehen für die Blicksteuerung in Szenen spielen, da sie Information unterschiedlich verarbeiten und auf verschiedene Aufgaben spezialisiert sind (Objektidentifikation bzw. periphere Zielauswahl). Jedoch ist kaum bekannt, welche Beiträge zentrale und periphere Verarbeitung für die Blicksteuerung in Szenen leisten und wie sie während der Fixation koordiniert werden. Des Weiteren wurden Einflussfaktoren auf Fixationsdauern bisher vernachlässigt, da die Forschung zur Szenenwahrnehmung hauptsächlich auf Einflussfaktoren auf Fixationsorte fokussiert war. Die vorliegende Arbeit hatte zum Ziel, das Wissen über die Beiträge des zentralen und peripheren Sehens zu räumlichen, aber vor allem zu zeitlichen Aspekten der Blicksteuerung in Szenen zu erweitern. In einer Serie von fünf Experimenten haben wir die Verarbeitungsschwierigkeit im zentralen oder peripheren visuellen Feld durch die Abschwächung selektiver Raumfrequenzanteile innerhalb dieser Regionen variiert. Des Weiteren haben wir ein computationales Modell zur Koordination von fovealer und peripherer Verarbeitung für die Kontrolle von Fixationsdauern entwickelt. Die Arbeit liefert drei Hauptbefunde. Erstens zeigen die Experimente, dass erhöhte Verarbeitungsanforderungen im zentralen oder peripheren visuellen Feld nicht zwangsläufig zu längeren Fixationsdauern führen; stattdessen werden Fixationsdauern stimulus-unabhängig gesteuert, wenn die Verarbeitung zu schwierig wird. Zweitens scheint peripheres Sehen eine entscheidene Rolle für die Kontrolle von Fixationsdauern zu spielen, eine Idee, die auch im computationalen Modell umgesetzt wurde. Das Modell nimmt an, dass foveale und periphere Verarbeitung während der Fixation weitgehend parallel und unabhängig ablaufen, aber interagieren können um Fixationsdauern zu modulieren. Wir schlagen somit vor, dass Änderungen in Fixationsdauern zum Teil auf die Interaktion von zentraler und peripherer Verarbeitung zurückgeführt werden können. Drittens zeigen die Experimente, dass räumliches Blickverhalten sich weitgehend an Verarbeitungsanforderungen anpasst und Betrachter Szenenregionen mit Raumfrequenzfilterung als Sakkadenziele vermeiden. Wir zeigen, dass diese Sakkadenamplitudeneffekte entsprechende Modulationen der visuellen Aufmerksamkeit reflektieren. Die vorliegende Arbeit hebt die einzelnen Beiträge und das Zusammenspiel zentralen und peripheren Sehens für die Blicksteuerung in der Szenenwahrnehmung hervor, besonders für die Kontrolle von Fixationsdauern. Unsere Ergebnisse geben neue Implikationen für computationale Modelle und experimentelle Forschung zur Szenenwahrnehmung. KW - psychology KW - eye movements KW - scene perception KW - Psychologie KW - Blickbewegungen KW - Szenenwahrnehmung Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-395536 ER - TY - GEN A1 - Pacholski, Claudia A1 - Agarwal, Vivechana A1 - Balderas-Valadez, Ruth Fabiola T1 - Fabrication of porous silicon-based optical sensors using metal-assisted chemical etching N2 - Optical biosensors based on porous silicon were fabricated by metal assisted chemical etching. Thereby double layered porous silicon structures were obtained consisting of porous pillars with large pores on top of a porous silicon layer with smaller pores. These structures showed a similar sensing performance in comparison to electrochemically produced porous silicon interferometric sensors. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 316 KW - fourier-transform spectroscopy KW - nanostructures KW - nanowires Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-394426 SP - 21430 EP - 21434 ER - TY - GEN A1 - Tillner, Elena A1 - Langer, Maria A1 - Kempka, Thomas A1 - Kühn, Michael T1 - Fault damage zone volume and initial salinity distribution determine intensity of shallow aquifer salinisation in subsurface storage T2 - Postprints der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe N2 - Injection of fluids into deep saline aquifers causes a pore pressure increase in the storage formation, and thus displacement of resident brine. Via hydraulically conductive faults, brine may migrate upwards into shallower aquifers and lead to unwanted salinisation of potable groundwater resources. In the present study, we investigated different scenarios for a potential storage site in the Northeast German Basin using a three-dimensional (3-D) regional-scale model that includes four major fault zones. The focus was on assessing the impact of fault length and the effect of a secondary reservoir above the storage formation, as well as model boundary conditions and initial salinity distribution on the potential salinisation of shallow groundwater resources. We employed numerical simulations of brine injection as a representative fluid. Our simulation results demonstrate that the lateral model boundary settings and the effective fault damage zone volume have the greatest influence on pressure build-up and development within the reservoir, and thus intensity and duration of fluid flow through the faults. Higher vertical pressure gradients for short fault segments or a small effective fault damage zone volume result in the highest salinisation potential due to a larger vertical fault height affected by fluid displacement. Consequently, it has a strong impact on the degree of shallow aquifer salinisation, whether a gradient in salinity exists or the saltwater-freshwater interface lies below the fluid displacement depth in the faults. A small effective fault damage zone volume or low fault permeability further extend the duration of fluid flow, which can persist for several tens to hundreds of years, if the reservoir is laterally confined. Laterally open reservoir boundaries, large effective fault damage zone volumes and intermediate reservoirs significantly reduce vertical brine migration and the potential of freshwater salinisation because the origin depth of displaced brine is located only a few decametres below the shallow aquifer in maximum. The present study demonstrates that the existence of hydraulically conductive faults is not necessarily an exclusion criterion for potential injection sites, because salinisation of shallower aquifers strongly depends on initial salinity distribution, location of hydraulically conductive faults and their effective damage zone volumes as well as geological boundary conditions. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 548 KW - geological CO2 storage KW - brine migration KW - fluid-flow KW - pressure management KW - dynamic flow KW - permeability KW - sequestration KW - simulations KW - injection KW - leakage Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-411854 SN - 1866-8372 IS - 548 ER - TY - GEN A1 - Yang, Jie A1 - Guehr, Markus A1 - Vecchione, Theodore A1 - Robinson, Matthew Scott A1 - Li, Renkai A1 - Hartmann, Nick A1 - Shen, Xiaozhe A1 - Coffee, Ryan A1 - Corbett, Jeff A1 - Fry, Alan A1 - Gaffney, Kelly A1 - Gorkhover, Tais A1 - Hast, Carsten A1 - Jobe, Keith A1 - Makasyuk, Igor A1 - Reid, Alexander A1 - Robinson, Joseph A1 - Vetter, Sharon A1 - Wang, Fenglin A1 - Weathersby, Stephen A1 - Yoneda, Charles A1 - Wang, Xijie A1 - Centurion, Martin T1 - Femtosecond gas phase electron diffraction with MeV electrons N2 - We present results on ultrafast gas electron diffraction (UGED) experiments with femtosecond resolution using the MeV electron gun at SLAC National Accelerator Laboratory. UGED is a promising method to investigate molecular dynamics in the gas phase because electron pulses can probe the structure with a high spatial resolution. Until recently, however, it was not possible for UGED to reach the relevant timescale for the motion of the nuclei during a molecular reaction. Using MeV electron pulses has allowed us to overcome the main challenges in reaching femtosecond resolution, namely delivering short electron pulses on a gas target, overcoming the effect of velocity mismatch between pump laser pulses and the probe electron pulses, and maintaining a low timing jitter. At electron kinetic energies above 3 MeV, the velocity mismatch between laser and electron pulses becomes negligible. The relativistic electrons are also less susceptible to temporal broadening due to the Coulomb force. One of the challenges of diffraction with relativistic electrons is that the small de Broglie wavelength results in very small diffraction angles. In this paper we describe the new setup and its characterization, including capturing static diffraction patterns of molecules in the gas phase, finding time-zero with sub-picosecond accuracy and first time-resolved diffraction experiments. The new device can achieve a temporal resolution of 100 fs root-mean-square, and sub-angstrom spatial resolution. The collimation of the beam is sufficient to measure the diffraction pattern, and the transverse coherence is on the order of 2 nm. Currently, the temporal resolution is limited both by the pulse duration of the electron pulse on target and by the timing jitter, while the spatial resolution is limited by the average electron beam current and the signal-to-noise ratio of the detection system. We also discuss plans for improving both the temporal resolution and the spatial resolution. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 326 Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-394989 ER - TY - GEN A1 - Paape, Dario L. J. F. T1 - Filling the Silence BT - Reactivation, not Reconstruction N2 - In a self-paced reading experiment, we investigated the processing of sluicing constructions (“sluices”) whose antecedent contained a known garden-path structure in German. Results showed decreased processing times for sluices with garden-path antecedents as well as a disadvantage for antecedents with non-canonical word order downstream from the ellipsis site. A post-hoc analysis showed the garden-path advantage also to be present in the region right before the ellipsis site. While no existing account of ellipsis processing explicitly predicted the results, we argue that they are best captured by combining a local antecedent mismatch effect with memory trace reactivation through reanalysis. T3 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe - 285 KW - ellipsis processing KW - garden-path effect KW - German KW - retrieval KW - reconstruction KW - self-paced reading Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-90480 ER - TY - GEN A1 - Parezanović, Vladimir A1 - Cordier, Laurent A1 - Spohn, Andreas A1 - Duriez, Thomas A1 - Noack, Bernd R. A1 - Bonnet, Jean-Paul A1 - Segond, Marc A1 - Abel, Markus A1 - Brunton, Steven L. T1 - Frequency selection by feedback control in a turbulent shear flow T2 - Postprints der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe N2 - Many previous studies have shown that the turbulent mixing layer under periodic forcing tends to adopt a lock-on state, where the major portion of the fluctuations in the flow are synchronized at the forcing frequency. The goal of this experimental study is to apply closed-loop control in order to provoke the lock-on state, using information from the flow itself. We aim to determine the range of frequencies for which the closed-loop control can establish the lock-on, and what mechanisms are contributing to the selection of a feedback frequency. In order to expand the solution space for optimal closed-loop control laws, we use the genetic programming control (CPC) framework. The best closed-loop control laws obtained by CPC are analysed along with the associated physical mechanisms in the mixing layer flow. The resulting closed-loop control significantly outperforms open-loop forcing in terms of robustness to changes in the free-stream velocities. In addition, the selection of feedback frequencies is not locked to the most amplified local mode, but rather a range of frequencies around it. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 572 KW - free shear layers KW - instability control KW - turbulence control Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-413693 SN - 1866-8372 IS - 572 ER - TY - GEN A1 - Eldridge, Tilly A1 - Łangowski, Łukasz A1 - Stacey, Nicola A1 - Jantzen, Friederike A1 - Moubayidin, Laila A1 - Sicard, Adrien A1 - Southam, Paul A1 - Kennaway, Richard A1 - Lenhard, Michael A1 - Coen, Enrico S. A1 - Østergaard, Lars T1 - Fruit shape diversity in the Brassicaceae is generated by varying patterns of anisotropy T2 - Postprints der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe N2 - Fruits exhibit a vast array of different 3D shapes, from simple spheres and cylinders to more complex curved forms; however, the mechanism by which growth is oriented and coordinated to generate this diversity of forms is unclear. Here, we compare the growth patterns and orientations for two very different fruit shapes in the Brassicaceae: the heart-shaped Capsella rubella silicle and the near-cylindrical Arabidopsis thaliana silique. We show, through a combination of clonal and morphological analyses, that the different shapes involve different patterns of anisotropic growth during three phases. These experimental data can be accounted for by a tissue level model in which specified growth rates vary in space and time and are oriented by a proximodistal polarity field. The resulting tissue conflicts lead to deformation of the tissue as it grows. The model allows us to identify tissue-specific and temporally specific activities required to obtain the individual shapes. One such activity may be provided by the valve-identity gene FRUITFULL, which we show through comparative mutant analysis to modulate fruit shape during post-fertilisation growth of both species. Simple modulations of the model presented here can also broadly account for the variety of shapes in other Brassicaceae species, thus providing a simplified framework for fruit development and shape diversity. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 986 KW - Brassicaceae KW - Capsella KW - arabidopsis KW - fruit shape KW - modelling KW - anisotropic growth Y1 - 2020 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-438041 SN - 1866-8372 IS - 986 SP - 3394 EP - 3406 ER - TY - THES A1 - Kühn, Jane T1 - Functionally-driven language change T1 - Funktional gesteuerter Sprachwandel BT - prosodic focus and sentence type marking in German-Turkish bilingual yes/no questions BT - prosodische Fokus-und Satztypmarkierung in Deutsch-Türkischen Ja/ Nein Fragen N2 - Since the 1960ies, Germany has been host to a large Turkish immigrant community. While migrant communities often shift to the majority language over the course of time, Turkish is a very vital minority language in Germany and bilingualism in this community is an obvious fact which has been subject to several studies. The main focus usually is on German, the second language (L2) of these speakers (e.g. Hinnenkamp 2000, Keim 2001, Auer 2003, Cindark & Aslan (2004), Kern & Selting 2006, Selting 2009, Kern 2013). Research on the Turkish spoken by Turkish bilinguals has also attracted attention although to a lesser extend mainly in the framework of so called heritage language research (cf. Polinski 2011). Bilingual Turkish has been investigated under the perspective of code-switching and codemixing (e.g. Kallmeyer & Keim 2003, Keim 2003, 2004, Keim & Cindark 2003, Hinnenkamp 2003, 2005, 2008, Dirim & Auer 2004), and with respect to changes in the morphologic, the syntactic and the orthographic system (e.g. Rehbein & Karakoç 2004, Schroeder 2007). Attention to the changes in the prosodic system of bilingual Turkish on the other side has been exceptional so far (Queen 2001, 2006). With the present dissertation, I provide a study on contact induced linguistic changes on the prosodic level in the Turkish heritage language of adult early German-Turkish bilinguals. It describes structural changes in the L1 Turkish intonation of yes/no questions of a representative sample of bilingual Turkish speakers. All speakers share a similar sociolinguistic background. All acquired Turkish as their first language from their families and the majority language German as an early L2 at latest in the kinder garden by the age of 3. A study of changes in bilingual varieties requires a previous cross-linguistic comparison of both of the involved languages in language contact in order to draw conclusions on the contact-induced language change in delimitation to language-internal development. While German is one of the best investigated languages with respect to its prosodic system, research on Turkish intonational phonology is not as progressed. To this effect, the analysis of bilingual Turkish, as elicited for the present dissertation, is preceded by an experimental study on monolingual Turkish. In this regard an additional experiment with 11 monolingual university students of non-linguistic subjects was conducted at the Ege University in Izmir in 2013. On these grounds the present dissertation additionally contributes new insights with respect to Turkish intonational phonology and typology. The results of the contrastive analysis of German and Turkish bring to light that the prosodic systems of both languages differ with respect to the use of prosodic cues in the marking of information structure (IS) and sentence type. Whereas German distinguishes in the prosodic marking between explicit categories for focus and givenness, Turkish uses only one prosodic cue to mark IS. Furthermore it is shown that Turkish in contrast to German does not use a prosodic correlate to mark yes/no questions, but a morphological question marker. To elicit Turkish yes/no questions in a bilingual context which differ with respect to their information structure in a further step the methodology of Xu (1999) to elicit in-situ focus on different constituents was adapted in the experimental study. A data set of 400 Turkish yes/no questions of 20 bilingual Turkish speakers was compiled at the Zentrum für Allgemeine Sprachwissenschaft (ZAS) in Berlin and at the University of Potsdam in 2013. The prosodic structure of the yes/no questions was phonologically and phonetically analyzed with respect to changes in the f0 contour according to IS modifications and the use of prosodic cues to indicate sentence type. The results of the analyses contribute surprising observations to the research of bilingual prosody. Studies on bilingual language change and language acquisition have repeatedly shown that the use of prosodic features that are considered as marked by means of lower and implicational use across and within a language cause difficulties in language contact and second language acquisition. Especially, they are not expected to pass from one language to another through language contact. However, this structurally determined expectation on language development is refuted by the results of the present study. Functionally related prosody, such as the cues to indicate IS, are transferred from German L2 to the Turkish L1 of German-Turkish bilingual speakers. This astonishing observation provides the base for an approach to language change centered on functional motivation. Based on Matras’ (2007, 2010) assumption of functionality in language change, Paradis’ (1993, 2004, 2008) approach of Language Activation and the Subsystem Theory and the Theory of Language as a Dynamic System (Heredina & Jessner 2002), it will be shown that prosodic features which are absent in one of the languages of bilingual speech communities are transferred from the respective language to the other when they contribute to the contextualization of a pragmatic concept which is not expressed by other linguistic means in the target language. To this effect language interaction is based on language activation and inhibition mechanisms dealing with differences in the implicit pragmatic knowledge between bilinguals and monolinguals. The motivator for this process of language change is the contextualization of the message itself and not the structure of the respective feature on the surface. It is shown that structural consideration may influence language change but that bilingual language change does not depend on structural restrictions nor does the structure cause a change. The conclusions drawn on the basis of empirical facts can especially contribute to a better understanding of the processes of bilingual language development as it combines methodologies and theoretical aspects of different linguistic subfields. N2 - Seit den 1960er Jahren und der damit einhergehenden Arbeitsmigration ist Deutschland eines der europäischen Länder mit der größten türkischstämmigen Einwanderergesellschaft, die sich auf etwa 2.8 Millionen Personen beläuft (Woellert et al. 2009). Obwohl Sprachminderheiten im Laufe der Generationen gewöhnlich zur Mehrheitssprache wechseln, ist das Türkische in Deutschland zweifelsohne eine lebendige Sprache. Die Zweisprachigkeit der türkischen Gemeinschaft in Deutschland ist eine nicht von der Hand zu weisende Tatsache und liegt im Fokus sprachwissenschaftlicher Forschung. Hierbei liegt das Hauptaugenmerk auf der Betrachtung der sprachlichen Merkmale und Veränderungen in der Zweitsprache (L2) Deutsch (e.g. Hinnenkamp 2000, Keim 2001, Auer 2003, Cindark & Aslan 2004, Kern & Selting 2006, Selting 2009, Kern 2013). Die Erstsprache (L1) Türkisch findet vorrangig Beachtung in der sogenannten heritage language Forschung. Obwohl der Begriff keiner klaren Definition oder Abgrenzung bezüglich ähnlicher Konzepte, wie der Minderheitensprache unterliegt, bezieht sich heritage language im Allgemeinen auf die Erstsprache bilingualer Sprecher in der Diaspora (vgl. Polinski 2011). Das Türkische in Deutschland wurde bislang vor allem in Bezug auf Sprechstil und den einhergehenden Mechanismen von code-switching und code-mixing (z.B. Kallmeyer & Keim 2003, Keim 2003, 2004, Keim & Cindark 2003, Hinnenkamp 2003, 2005, 2008, Dirim & Auer 2004), aber auch in Bezug auf grammatikalische und orthographische Veränderungen untersucht (e.g. Rehbein & Karacoç 2004, Schroeder 2007). In Bezug auf prosodische Merkmale von bilingualem Türkisch beschreibt Queen (2001, 2006) eine Vermischung (fusion) steigender Intonationskonturen in Konversationen bilingualer Deutsch- Türkischer Kinder. Backus, Jorgenson & Pfaff (2010) bieten einen Überblick zu bisheriger Forschung zum Türkischen in der Diaspora. Mit der vorliegenden Dissertation wird ein Forschungsbeitrag zur Veränderung im prosodischen System des Türkischen als heritage language Deutsch-Türkisch bilingualer Sprecher mit frühem Zweitspracherwerb geleistet. Damit wird zum einen das Themengebiet des kontaktinduzierten Sprachwandels und zum anderen das der bilingualen Intonationsforschung aufgegriffen. Obwohl die Beschreibungen phonologischer Unterschiede bei bilingualen Sprechern in Bezug auf die segmentale Ebene reichhaltig sind, ist ein reges Interesse an phonologischen Phänomenen auf der suprasegmentalen Ebene in der Mehrsprachigkeitsforschung recht frisch und bezieht sich größtenteils auf die Zweitsprache und weniger auf die Veränderungen in der heritage language. Die vorliegende Arbeit beschreibt strukturelle Veränderungen in der L1 Intonation in türkischen Ja/Nein Fragen eines repräsentativen Samples bilingualer Türkischsprecher. Der Untersuchungsschwerpunkt liegt dabei auf der Realisierung funktional relationierter Prosodie. Funktional relationierte Prosodie gilt gemäß markiertheitsstrukturierter Ansätze (z.B. Eckmann 1977, Rasier & Hilligsmann 2007, Zerbian 2015) als markierter als strukturell relationierte Prosodie und damit als potentieller Auslöser von Veränderungen im bilingualen Spracherwerb und Sprachkontakt. In der Dissertation werden zwei funktionale Aspekte der Prosodie untersucht. Zum einen werden Veränderungen in der Intonationskontur in Abhängigkeit von Informationsstruktur (IS) untersucht. Genauer, wie kontrastiver in-situ Fokus in der Grundfrequenz umgesetzt wird. Zum anderen wird untersucht wie die Markierung von Ja/Nein Fragen in der f0 Kontur realisiert wird. Eine Einführung in die Thematik von Ja/nein Fragen erfolgt für das Türkische in Kapitel II. 6 und für das Deutsche in Kapitel V.6. Eine umfassende Erläuterung zu IS und seinen verschiedenen Kategorien erfolgt in Kapitel I. KW - bilingualism KW - prosody KW - pragmatics KW - Turkish KW - Zweisprachigkeit KW - Prosodie KW - Pragmatik KW - Türkisch Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-422079 ER - TY - GEN A1 - Vuillemin, Aurèle A1 - Friese, André A1 - Alawi, Mashal A1 - Henny, Cynthia A1 - Nomosatryo, Sulung A1 - Wagner, Dirk A1 - Crowe, Sean A. A1 - Kallmeyer, Jens T1 - Geomicrobiological features of ferruginous sediments from Lake Towuti, Indonesia T2 - Frontiers in microbiology N2 - Lake Towuti is a tectonic basin, surrounded by ultramafic rocks. Lateritic soils form through weathering and deliver abundant iron (oxy)hydroxides but very little sulfate to the lake and its sediment. To characterize the sediment biogeochemistry, we collected cores at three sites with increasing water depth and decreasing bottom water oxygen concentrations. Microbial cell densities were highest at the shallow site a feature we attribute to the availability of labile organic matter (OM) and the higher abundance of electron acceptors due to oxic bottom water conditions. At the two other sites, OM degradation and reduction processes below the oxycline led to partial electron acceptor depletion. Genetic information preserved in the sediment as extracellular DNA (eDNA) provided information on aerobic and anaerobic heterotrophs related to Nitrospirae. Chloroflexi, and Therrnoplasmatales. These taxa apparently played a significant role in the degradation of sinking OM. However, eDNA concentrations rapidly decreased with core depth. Despite very low sulfate concentrations, sulfate-reducing bacteria were present and viable in sediments at all three sites, as confirmed by measurement of potential sulfate reduction rates. Microbial community fingerprinting supported the presence of taxa related to Deltaproteobacteria and Firmicutes with demonstrated capacity for iron and sulfate reduction. Concomitantly, sequences of Ruminococcaceae, Clostridiales, and Methanornicrobiales indicated potential for fermentative hydrogen and methane production. Such first insights into ferruginous sediments showed that microbial populations perform successive metabolisms related to sulfur, iron, and methane. In theory, iron reduction could reoxidize reduced sulfur compounds and desorb OM from iron minerals to allow remineralization to methane. Overall, we found that biogeochemical processes in the sediments can be linked to redox differences in the bottom waters of the three sites, like oxidant concentrations and the supply of labile OM. At the scale of the lacustrine record, our geomicrobiological study should provide a means to link the extant subsurface biosphere to past environments. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 440 KW - bottom waters KW - iron-rich sediment KW - sedimentary microbes KW - extracellular DNA KW - sulfate reduction KW - iron reduction KW - Lake Towuti Y1 - 2018 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-407312 ER - TY - GEN A1 - Müller, Christina M. A1 - Schulz, Benjamin A1 - Lauterbach, Daniel A1 - Ristow, Michael A1 - Wissemann, Volker A1 - Gemeinholzer, Birgit T1 - Geropogon hybridus (L.) Sch.Bip. (Asteraceae) exhibits micro-geographic genetic divergence at ecological range limits along a steep precipitation gradient T2 - Postprints der Universität Potsdam : Mathematisch Naturwissenschaftliche Reihe N2 - We analyzed the population genetic pattern of 12 fragmented Geropogon hybridus ecological range edge populations in Israel along a steep precipitation gradient. In the investigation area (45 x 20 km(2)), the annual mean precipitation changes rapidly from 450 mm in the north (Mediterranean-influenced climate zone) to 300 mm in the south (semiarid climate zone) without significant temperature changes. Our analysis (91 individuals, 12 populations, 123 polymorphic loci) revealed strongly structured populations (AMOVA I broken vertical bar(ST) = 0.35; P < 0.001); however, differentiation did not change gradually toward range edge. IBD was significant (Mantel test r = 0.81; P = 0.001) and derived from sharply divided groups between the northernmost populations and the others further south, due to dispersal or environmental limitations. This was corroborated by the PCA and STRUCTURE analyses. IBD and IBE were significant despite the micro-geographic scale of the study area, which indicates that reduced precipitation toward range edge leads to population genetic divergence. However, this pattern diminished when the hypothesized gene flow barrier was taken into account. Applying the spatial analysis method revealed 11 outlier loci that were correlated to annual precipitation and, moreover, were indicative for putative precipitation-related adaptation (BAYESCAN, MCHEZA). The results suggest that even on micro-geographic scales, environmental factors play prominent roles in population divergence, genetic drift, and directional selection. The pattern is typical for strong environmental gradients, e.g., at species range edges and ecological limits, and if gene flow barriers and mosaic-like structures of fragmented habitats hamper dispersal. KW - environmental association studies KW - fragmented habitats KW - isolation by distance (IBD) KW - isolation by environment (IBE) KW - range edge populations Y1 - 2020 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-427061 SN - 1866-8372 IS - 832 ER - TY - JOUR A1 - Bekâŝev, Kamil T1 - Globalization And Development Of International Law JF - Dritte Woche des Russischen Rechts, Potsdam, 13.–17.10.2014, mit der Moskauer Staatlichen Juristischen O. E. Kutafin Universität (Akademie) JF - Третья неделя российского права, 13.–17.10.2014, с участием Московского государственного юридического университета имени О. E. Кутафина (МГЮА) N2 - Theses Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-91896 SN - 978-3-86956-340-4 SN - 2199-9686 SN - 2199-9694 VL - 3 SP - 47 EP - 50 PB - Universitätsverlag Potsdam CY - Potsdam ER - TY - GEN A1 - Rätzel, Dennis A1 - Wilkens, Martin A1 - Menzel, Ralf T1 - Gravitational properties of light BT - the gravitational field of a laser pulse N2 - The gravitational field of a laser pulse of finite lifetime, is investigated in the framework of linearized gravity. Although the effects are very small, they may be of fundamental physical interest. It is shown that the gravitational field of a linearly polarized light pulse is modulated as the norm of the corresponding electric field strength, while no modulations arise for circular polarization. In general, the gravitational field is independent of the polarization direction. It is shown that all physical effects are confined to spherical shells expanding with the speed of light, and that these shells are imprints of the spacetime events representing emission and absorption of the pulse. Nearby test particles at rest are attracted towards the pulse trajectory by the gravitational field due to the emission of the pulse, and they are repelled from the pulse trajectory by the gravitational field due to its absorption. Examples are given for the size of the attractive effect. It is recovered that massless test particles do not experience any physical effect if they are co-propagating with the pulse, and that the acceleration of massless test particles counter-propagating with respect to the pulse is four times stronger than for massive particles at rest. The similarities between the gravitational effect of a laser pulse and Newtonian gravity in two dimensions are pointed out. The spacetime curvature close to the pulse is compared to that induced by gravitational waves from astronomical sources. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 222 KW - electromagnetic radiation KW - general relativity KW - gravity KW - laser pulses KW - linearized gravity KW - pp-wave solutions Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-90553 ER - TY - THES A1 - Bendre, Abhijit B. T1 - Growth and saturation of dynamo in spiral galaxies via direct simulations T1 - Wachstum und Sättigung des Dynamos in Spiralgalaxien mit direkten Simulationen N2 - We do magnetohydrodynamic (MHD) simulations of local box models of turbulent Interstellar Medium (ISM) and analyse the process of amplification and saturation of mean magnetic fields with methods of mean field dynamo theory. It is shown that the process of saturation of mean fields can be partially described by the prolonged diffusion time scales in presence of the dynamically significant magnetic fields. However, the outward wind also plays an essential role in the saturation in higher SN rate case. Algebraic expressions for the back reaction of the magnetic field onto the turbulent transport coefficients are derived, which allow a complete description of the nonlinear dynamo. We also present the effects of dynamically significant mean fields on the ISM configuration and pressure distribution. We further add the cosmic ray component in the simulations and investigate the kinematic growth of mean fields with a dynamo perspective. N2 - Wir fuehren magnetohydrodynamische (MHD) Simulationen des turbulenten interstellaren Mediums (ISM) in lokalen Boxen durch und analysieren darin den Prozess der Verstaerkung und Saturation der mittleren Magnetfelder mit Methoden der Dynamotheorie mittlerer Felder. Es wird gezeigt, dass der Prozess der Saturation mittlerer Felder teilweise durch eine verlaengerte Diffusionzeit in Gegenwart dynamisch signifikanter Magnetfelder erklaert werden kann. Fuer hoehere Supernovae-Raten spielt auch der nach aussen treibende Wind eine essenzielle Rolle fuer die Saturation. Aus den Simulationen konnten algebraische Formeln fuer die Rueckwirkung des Magnetfeldes auf die turbulenten Transportkoeffizienten abgeleitet werden, die eine vollstaendige Beschreibung des nichtlinearen Dynamos erlauben. Wir praesentieren zudem den Einfluss signifikanter mittlerer Magnetfelder auf die ISM-Konfiguration und Druckverteilung. Wir fuegen der Simulation ausserdem kosmische Strahlung als Komponente hinzu und untersuchen das kinematische Wachstum mittlerer Felder aus einer Dynamo-Perspektive. KW - magnetohydrodynamics KW - ISM: Turbulence KW - spiral galaxies: magnetic fields KW - nonliear dynamo KW - cosmic ray dynamo KW - Magnetohydrodynamik KW - ISM: Turbulenz KW - Spiralgalaxien: Magnetfelder KW - nichtlineare Dynamo KW - kosmische Strahlung Dynamo Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-407517 ER - TY - GEN A1 - Heinz, A. A1 - Kluge, U. A1 - Rapp, Michael A. T1 - Heritability of living in deprived neighbourhoods T3 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe - 313 Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-103770 ER - TY - GEN A1 - Kühn, Tilman A1 - Floegel, Anna A1 - Sookthai, Disorn A1 - Johnson, Theron A1 - Rolle-Kampczyk, Ulrike A1 - Otto, Wolfgang A1 - von Bergen, Martin A1 - Boeing, Heiner A1 - Kaaks, Rudolf T1 - Higher plasma levels of lysophosphatidylcholine 18:0 are related to a lower risk of common cancers in a prospective metabolomics study T2 - BMC medicine N2 - Background: First metabolomics studies have indicated that metabolic fingerprints from accessible tissues might be useful to better understand the etiological links between metabolism and cancer. However, there is still a lack of prospective metabolomics studies on pre-diagnostic metabolic alterations and cancer risk. Methods: Associations between pre-diagnostic levels of 120 circulating metabolites (acylcarnitines, amino acids, biogenic amines, phosphatidylcholines, sphingolipids, and hexoses) and the risks of breast, prostate, and colorectal cancer were evaluated by Cox regression analyses using data of a prospective case-cohort study including 835 incident cancer cases. Results: The median follow-up duration was 8.3 years among non-cases and 6.5 years among incident cases of cancer. Higher levels of lysophosphatidylcholines (lysoPCs), and especially lysoPC a C18:0, were consistently related to lower risks of breast, prostate, and colorectal cancer, independent of background factors. In contrast, higher levels of phosphatidylcholine PC ae C30:0 were associated with increased cancer risk. There was no heterogeneity in the observed associations by lag time between blood draw and cancer diagnosis. Conclusion: Changes in blood lipid composition precede the diagnosis of common malignancies by several years. Considering the consistency of the present results across three cancer types the observed alterations point to a global metabolic shift in phosphatidylcholine metabolism that may drive tumorigenesis. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 437 KW - metabolomics KW - epidemiology KW - breast cancer KW - prostate cancer KW - colorectal cancer Y1 - 2018 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-407258 ER - TY - THES A1 - Dräger, Nadine T1 - Holocene climate and environmental variability in NE Germany inferred from annually laminated lake sediments T1 - Rekonstruktion Holozäner Klima- und Umweltveränderungen in NO Deutschland anhand von jährlich geschichteten Seesedimenten N2 - Understanding the role of natural climate variability under the pressure of human induced changes of climate and landscapes, is crucial to improve future projections and adaption strategies. This doctoral thesis aims to reconstruct Holocene climate and environmental changes in NE Germany based on annually laminated lake sediments. The work contributes to the ICLEA project (Integrated CLimate and Landscape Evolution Analyses). ICLEA intends to compare multiple high-resolution proxy records with independent chronologies from the N central European lowlands, in order to disentangle the impact of climate change and human land use on landscape development during the Lateglacial and Holocene. In this respect, two study sites in NE Germany are investigated in this doctoral project, Lake Tiefer See and palaeolake Wukenfurche. While both sediment records are studied with a combination of high-resolution sediment microfacies and geochemical analyses (e.g. µ-XRF, carbon geochemistry and stable isotopes), detailed proxy understanding mainly focused on the continuous 7.7 m long sediment core from Lake Tiefer See covering the last ~6000 years. Three main objectives are pursued at Lake Tiefer See: (1) to perform a reliable and independent chronology, (2) to establish microfacies and geochemical proxies as indicators for climate and environmental changes, and (3) to trace the effects of climate variability and human activity on sediment deposition. Addressing the first aim, a reliable chronology of Lake Tiefer See is compiled by using a multiple-dating concept. Varve counting and tephra findings form the chronological framework for the last ~6000 years. The good agreement with independent radiocarbon dates of terrestrial plant remains verifies the robustness of the age model. The resulting reliable and independent chronology of Lake Tiefer See and, additionally, the identification of nine tephras provide a valuable base for detailed comparison and synchronization of the Lake Tiefer See data set with other climate records. The sediment profile of Lake Tiefer See exhibits striking alternations between well-varved and non-varved sediment intervals. The combination of microfacies, geochemical and microfossil (i.e. Cladocera and diatom) analyses indicates that these changes of varve preservation are caused by variations of lake circulation in Lake Tiefer See. An exception is the well-varved sediment deposited since AD 1924, which is mainly influenced by human-induced lake eutrophication. Well-varved intervals before the 20th century are considered to reflect phases of reduced lake circulation and, consequently, stronger anoxic conditions. Instead, non-varved intervals indicate increased lake circulation in Lake Tiefer See, leading to more oxygenated conditions at the lake ground. Furthermore, lake circulation is not only influencing sediment deposition, but also geochemical processes in the lake. As, for example, the proxy meaning of δ13COM varies in time in response to changes of the oxygen regime in the lake hypolinion. During reduced lake circulation and stronger anoxic conditions δ13COM is influenced by microbial carbon cycling. In contrast, organic matter degradation controls δ13COM during phases of intensified lake circulation and more oxygenated conditions. The varve preservation indicates an increasing trend of lake circulation at Lake Tiefer See after ~4000 cal a BP. This trend is superimposed by decadal to centennial scale variability of lake circulation intensity. Comparison to other records in Central Europe suggests that the long-term trend is probably related to gradual changes in Northern Hemisphere orbital forcing, which induced colder and windier conditions in Central Europe and, therefore, reinforced lake circulation. Decadal to centennial scale periods of increased lake circulation coincide with settlement phases at Lake Tiefer See, as inferred from pollen data of the same sediment record. Deforestation reduced the wind shelter of the lake, which probably increased the sensitivity of lake circulation to wind stress. However, results of this thesis also suggest that several of these phases of increased lake circulation are additionally reinforced by climate changes. A first indication is provided by the comparison to the Baltic Sea record, which shows striking correspondence between major non-varved intervals at Lake Tiefer See and bioturbated sediments in the Baltic Sea. Furthermore, a preliminary comparison to the ICLEA study site Lake Czechowskie (N central Poland) shows a coincidence of at least three phases of increased lake circulation in both lakes, which concur with periods of known climate changes (2.8 ka event, ’Migration Period’ and ’Little Ice Age’). These results suggest an additional over-regional climate forcing also on short term increased of lake circulation in Lake Tiefer See. In summary, the results of this thesis suggest that lake circulation at Lake Tiefer See is driven by a combination of long-term and short-term climate changes as well as of anthropogenic deforestation phases. Furthermore, the lake circulation drives geochemical cycles in the lake affecting the meaning of proxy data. Therefore, the work presented here expands the knowledge of climate and environmental variability in NE Germany. Furthermore, the integration of the Lake Tiefer See multi-proxy record in a regional comparison with another ICLEA side, Lake Czechowskie, enabled to better decipher climate changes and human impact on the lake system. These first results suggest a huge potential for further detailed regional comparisons to better understand palaeoclimate dynamics in N central Europe. N2 - Es ist von großer Bedeutung die natürliche Klimavariabilität unter dem Einfluss menschlich verursachter Klimaänderungen zu verstehen, um Zukunftsprognosen und Adaptionsstrategien zu verbessern. Die Hauptzielsetzung der vorliegenden Doktorarbeit ist die Rekonstruktion von Klima- und Umweltveränderungen während des Holozäns in NO Deutschland anhand von jährlich geschichteten Seesedimenten. Diese Arbeit ist ein Beitrag zum ICLEA Projekt (integrierte Klima- und Landschaftsentwicklungsanalyse). ICLEA strebt den Vergleich von mehreren hochaufgelösten Proxy- Archiven aus dem Nord-zentral europäischen Tiefland an, um Einflüsse von Mensch und Klima auf die Landschaftsentwicklung auseinander zu dividieren. Demnach werden in diesem Doktorprojekt zwei Gebiete untersucht: der Tiefe See und der verlandete See Wukenfurche. Während beide Sedimentarchive mit einer Kombination aus hochaufgelösten sedimentmikrofaziellen und -geochemischen Methoden untersucht werden, konzentriert sich die detaillierte Untersuchung der Proxy-Bedeutung auf den kontinuierlichen 7,7mlangen Sedimentkern vom Tiefer See, der die letzten 6000 Jahre abdeckt. Drei Hauptziele werden am Tiefen See verfolgt: (1) das Erstellen einer robusten und unabhängigen Chronologie (2) das Etablieren von mikrofaziellen und geochemischen Proxies als Indikatoren für Klima- und Landschaftsveränderungen und (3) das Ableiten von Klimaveränderungen und menschlichem Einfluss auf die Sedimentablagerung. Zum Erreichen des ersten Zieles wurde eine robuste Chronologie mit Hilfe eines multiplen Datierungsansatzes erstellt. Das Zusammenführen der Warvenzählung und Tephra-Funden bildet dabei das Gerüst für die Chronologie der letzten 6000 Jahre, deren Stabilität durch die gute Übereinstimmung mit unabhängigen Radiokarbondatierungen bestätigt wird. Diese robuste und unabhängige Chronologie und die zusätzlichen neun Tephra-Funde bieten die Basis für den detaillierten Vergleich und die Synchronisation des Tiefen See Datensatzes mit anderen Klimaarchiven. Das Sedimentprofil vom Tiefen See zeigt markante Wechsel zwischen gut warvierten und nicht warvierten Sedimentabschnitten auf. Die kombinierte Untersuchung der Mikrofazies, der Geochemie und von Mikrofossilien (d.h. Cladoceren und Diatomeen) zeigte, dass diese Veränderungen der Warvenerhaltung auf Änderungen der Seezirkulation zurückzuführen sind. Ausgenommen ist der rezente warvierte Abschnitt ab AD 1924, der hauptsächlich durch menschlich verursachte Seeeutrophierung beeinflusst ist. Warvierte Abschnitte vor dem 20. Jahrhundert sind durch verringerte Seezirkulation und die damit verbundenen stärkeren anoxischen Bedingungen im See hervorgerufen worden. Die Ablagerung von nicht warvierten Sedimenten weist auf stärkere Seezirkulation und sauerstoffreichere Bedingungen am Seegrund hin. Die Seezirkulation beeinflusst zusätzlich zum Sedimentmuster auch geochemische Prozesse im See. Zum Beispiel verändert sich die Proxy-Bedeutung der stabilen Kohlenstoffisotope von organischem Material (δ13COM) in Reaktion auf das veränderte Sauerstoffregime. Während geringer Seezirkulation und stärkeren anoxischen Bedingungen werden stark negative δ13COM Werte durch mikrobielle Aktivität hervorgerufen. Im Gegensatz verursachen Phasen mit verstärkter Seezirkulation positivere δ13COM Werte, was vermutlich auf stärkeren Abbau von organischem Material im sauerstoffangereicherten Milieu am Seegrund zurückzuführen ist. Die Warvenerhaltung zeigt einen ansteigenden Trend der Seezirkulation im Tiefen See nach ungefähr 4000 Jahre vor heute an. Dieser Trend ist überlagert mit kurzzeitigen Seezirkulationsveränderungen auf dekadischen Zeitskalen. Der Vergleich mit anderen Archiven in Zentral-Europa lässt darauf schließen, dass der Langzeittrend wahrscheinlich auf graduelle Veränderungen der orbitalen Parameter zurückzuführen ist, was kühlere und windigere Bedingungen in Zentral-Europa hervorgerufen hatte und damit die Seezirkulation im Tiefen See verstärkt hat. Die kurzzeitigen Phasen von verstärkter Seezirkulation fallen mit Siedlungsperioden am Tiefen See zusammen, die mit Pollendaten vom selben Sedimentkern rekonstruiert wurden. Die Waldrodung verringerte den Windschutz des Sees, was möglicherweise zu einer erhöhten Sensitivität der Seezirkulation zu Windstress geführt hat. Ein erster Vergleich des Tiefen Sees zu dem ICLEA Untersuchungsgebiet des Czechowskie See zeigt, dass in beiden Seen drei gemeinsame Phasen verstärkter Seezirkulation auftreten, die auch mit bekannten Zeiten veränderter Klimabedingungen zusammenfallen (2.8 ka event, Migrationsperiode und die Kleine Eiszeit). Diese Ergebnisse zeigen, dass die Seezirkulation von einer Kombination aus Klimaveränderung auf langen und kurzen Zeitskalen und der Abholzung des Menschen angetrieben wird. Zusammengefasst erweitert die hier vorliegende Arbeit das Wissen von Klima und Umweltveränderungen in NO Deutschland. Zudem wird gezeigt, dass ein regionaler Vergleich verschiedener Untersuchungsgebieten mit unabhängigen Chronologien ein verbessertes Auseinanderhalten von Klimaeinflüssen und menschlichen Einflüssen auf die Seesysteme ermöglicht. Damit kann ein verbessertes Verständnis der Paläoklimadynamik in Zentral-Europa gewonnen werden. KW - palaeoclimate KW - Paläoklima KW - Holocene KW - Holozän KW - varved lake sediments KW - warvierte Seesedimente KW - Tiefer See KW - Tiefer See KW - human impact KW - menschliche Einflüsse Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-103037 ER - TY - GEN A1 - Drygala, Frank A1 - Korablev, Nikolay A1 - Ansorge, Hermann A1 - Fickel, Jörns A1 - Isomursu, Marja A1 - Elmeros, Morten A1 - Kowalczyk, Rafał A1 - Baltrunaite, Laima A1 - Balciauskas, Linas A1 - Saarma, Urmas A1 - Schulze, Christoph A1 - Borkenhagen, Peter A1 - Frantz, Alain C. T1 - Homogenous population genetic structure of the non-native raccoon dog (Nyctereutes procyonoides) in Europe as a result of rapid population expansion T2 - Postprints der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe N2 - The extent of gene flow during the range expansion of non-native species influences the amount of genetic diversity retained in expanding populations. Here, we analyse the population genetic structure of the raccoon dog (Nyctereutes procyonoides) in north-eastern and central Europe. This invasive species is of management concern because it is highly susceptible to fox rabies and an important secondary host of the virus. We hypothesized that the large number of introduced animals and the species' dispersal capabilities led to high population connectivity and maintenance of genetic diversity throughout the invaded range. We genotyped 332 tissue samples from seven European countries using 16 microsatellite loci. Different algorithms identified three genetic clusters corresponding to Finland, Denmark and a large 'central' population that reached from introduction areas in western Russia to northern Germany. Cluster assignments provided evidence of long-distance dispersal. The results of an Approximate Bayesian Computation analysis supported a scenario of equal effective population sizes among different pre-defined populations in the large central cluster. Our results are in line with strong gene flow and secondary admixture between neighbouring demes leading to reduced genetic structuring, probably a result of its fairly rapid population expansion after introduction. The results presented here are remarkable in the sense that we identified a homogenous genetic cluster inhabiting an area stretching over more than 1500km. They are also relevant for disease management, as in the event of a significant rabies outbreak, there is a great risk of a rapid virus spread among raccoon dog populations. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 540 KW - distance seed dispersial KW - medium-sized carnivores KW - biological invasion KW - Southeast Finland KW - rabies spread KW - F-statistics KW - N-E KW - diversity KW - history KW - colonization Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-410921 SN - 1866-8372 IS - 540 ER - TY - GEN A1 - Lachmair, Martin A1 - Ruiz Fernandez, Susana A1 - Bury, Nils-Alexander A1 - Gerjets, Peter A1 - Fischer, Martin H. A1 - Bock, Otmar L. T1 - How body orientation affects concepts of space, time and valence BT - functional relevance of integrating sensorimotor experiences during word processing T2 - Postprints der Universität Potsdam : Humanwissenschaftliche Reihe N2 - The aim of the present study was to test the functional relevance of the spatial concepts UP or DOWN for words that use these concepts either literally (space) or metaphorically (time, valence). A functional relevance would imply a symmetrical relationship between the spatial concepts and words related to these concepts, showing that processing words activate the related spatial concepts on one hand, but also that an activation of the concepts will ease the retrieval of a related word on the other. For the latter, the rotation angle of participant's body position was manipulated either to an upright or a head-down tilted body position to activate the related spatial concept. Afterwards participants produced in a within-subject design previously memorized words of the concepts space, time and valence according to the pace of a metronome. All words were related either to the spatial concept UP or DOWN. The results including Bayesian analyses show (1) a significant interaction between body position and words using the concepts UP and DOWN literally, (2) a marginal significant interaction between body position and temporal words and (3) no effect between body position and valence words. However, post-hoc analyses suggest no difference between experiments. Thus, the authors concluded that integrating sensorimotor experiences is indeed of functional relevance for all three concepts of space, time and valence. However, the strength of this functional relevance depends on how close words are linked to mental concepts representing vertical space. T3 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe - 505 KW - mental timeline KW - cognition KW - language KW - representation KW - hypothesis KW - mechanisms KW - future KW - flies KW - line KW - mind Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-410942 SN - 1866-8364 IS - 505 ER - TY - GEN A1 - Festman, Julia A1 - Clahsen, Harald T1 - How Germans prepare for the English past tense BT - silent production of inflected words during EEG T2 - Postprints der Universität Potsdam : Humanwissenschaftliche Reihe N2 - Processes involved in late bilinguals' production of morphologically complex words were studied using an event-related brain potentials (ERP) paradigm in which EEGs were recorded during participants' silent productions of English past- and present-tense forms. Twenty-three advanced second language speakers of English (first language [L1] German) were compared to a control group of 19 L1 English speakers from an earlier study. We found a frontocentral negativity for regular relative to irregular past-tense forms (e.g., asked vs. held) during (silent) production, and no difference for the present-tense condition (e.g., asks vs. holds), replicating the ERP effect obtained for the L1 group. This ERP effect suggests that combinatorial processing is involved in producing regular past-tense forms, in both late bilinguals and L1 speakers. We also suggest that this paradigm is a useful tool for future studies of online language production. T3 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe - 521 KW - morphologically complex words KW - masked priming experiments KW - brain potentials KW - speech production KW - time-course KW - language production KW - electrophysiological evidence KW - late bilinguals KW - lexical access KW - 2nd-language Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-414455 IS - 521 SP - 487 EP - 506 ER - TY - GEN A1 - Festman, Julia A1 - Clahsen, Harald T1 - How Germans prepare for the English past tense BT - silent production of inflected words during EEG T2 - Postprints der Universität Potsdam Humanwissenschaftliche Reihe N2 - Processes involved in late bilinguals' production of morphologically complex words were studied using an event-related brain potentials (ERP) paradigm in which EEGs were recorded during participants' silent productions of English past- and present-tense forms. Twenty-three advanced second language speakers of English (first language [L1] German) were compared to a control group of 19 L1 English speakers from an earlier study. We found a frontocentral negativity for regular relative to irregular past-tense forms (e.g., asked vs. held) during (silent) production, and no difference for the present-tense condition (e.g., asks vs. holds), replicating the ERP effect obtained for the L1 group. This ERP effect suggests that combinatorial processing is involved in producing regular past-tense forms, in both late bilinguals and L1 speakers. We also suggest that this paradigm is a useful tool for future studies of online language production. T3 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe - 504 KW - morphologically complex words KW - masked priming experiments KW - brain potentials KW - speech production KW - time-course KW - language production KW - electrophysiological evidence KW - late bilinguals KW - lexical access KW - 2nd-language Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-413678 SN - 1866-8364 IS - 504 ER - TY - GEN A1 - Niedl, Robert Raimund A1 - Berenstein, Igal A1 - Beta, Carsten T1 - How imperfect mixing and differential diffusion accelerate the rate of nonlinear reactions in microfluidic channels N2 - In this paper, we show experimentally that inside a microfluidic device, where the reactants are segregated, the reaction rate of an autocatalytic clock reaction is accelerated in comparison to the case where all the reactants are well mixed. We also find that, when mixing is enhanced inside the microfluidic device by introducing obstacles into the flow, the clock reaction becomes slower in comparison to the device where mixing is less efficient. Based on numerical simulations, we show that this effect can be explained by the interplay of nonlinear reaction kinetics (cubic autocatalysis) and differential diffusion, where the autocatalytic species diffuses slower than the substrate. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 253 KW - arsenious acid KW - fronts KW - paper KW - poly(dimethylsiloxane) KW - scale KW - systems Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-95810 SP - 6451 EP - 6457 ER - TY - GEN A1 - Nakano, Yoko A1 - Ikemoto, Yu A1 - Jacob, Gunnar A1 - Clahsen, Harald T1 - How Orthography Modulates Morphological Priming BT - Subliminal Kanji Activation in Japanese N2 - The current study investigates to what extent masked morphological priming is modulated by language-particular properties, specifically by its writing system. We present results from two masked priming experiments investigating the processing of complex Japanese words written in less common (moraic) scripts. In Experiment 1, participants performed lexical decisions on target verbs; these were preceded by primes which were either (i) a past-tense form of the same verb, (ii) a stem-related form with the epenthetic vowel -i, (iii) a semantically-related form, and (iv) a phonologically-related form. Significant priming effects were obtained for prime types (i), (ii), and (iii), but not for (iv). This pattern of results differs from previous findings on languages with alphabetic scripts, which found reliable masked priming effects for morphologically related prime/target pairs of type (i), but not for non-affixal and semantically-related primes of types (ii), and (iii). In Experiment 2, we measured priming effects for prime/target pairs which are neither morphologically, semantically, phonologically nor - as presented in their moraic scripts—orthographically related, but which—in their commonly written form—share the same kanji, which are logograms adopted from Chinese. The results showed a significant priming effect, with faster lexical-decision times for kanji-related prime/target pairs relative to unrelated ones. We conclude that affix-stripping is insufficient to account for masked morphological priming effects across languages, but that language-particular properties (in the case of Japanese, the writing system) affect the processing of (morphologically) complex words. T3 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe - 293 KW - Japanese KW - decompositon KW - kana KW - kanji KW - morpho-orthography KW - morphologically complex words Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-91692 ER - TY - GEN A1 - Töpfer, Kai A1 - Tremblay, Jean Christophe T1 - How surface reparation prevents catalytic oxidation of carbon monoxide on atomic gold at defective magnesium oxide surfaces N2 - In this contribution, we study using first principles the co-adsorption and catalytic behaviors of CO and O2 on a single gold atom deposited at defective magnesium oxide surfaces. Using cluster models and point charge embedding within a density functional theory framework, we simulate the CO oxidation reaction for Au1 on differently charged oxygen vacancies of MgO(001) to rationalize its experimentally observed lack of catalytic activity. Our results show that: (1) co-adsorption is weakly supported at F0 and F2+ defects but not at F1+ sites, (2) electron redistribution from the F0 vacancy via the Au1 cluster to the adsorbed molecular oxygen weakens the O2 bond, as required for a sustainable catalytic cycle, (3) a metastable carbonate intermediate can form on defects of the F0 type, (4) only a small activation barrier exists for the highly favorable dissociation of CO2 from F0, and (5) the moderate adsorption energy of the gold atom on the F0 defect cannot prevent insertion of molecular oxygen inside the defect. Due to the lack of protection of the color centers, the surface becomes invariably repaired by the surrounding oxygen and the catalytic cycle is irreversibly broken in the first oxidation step. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 325 Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-394978 ER - TY - GEN A1 - Gronostaj, Anna A1 - Werner, Elise A1 - Bochow, Eric A1 - Vock, Miriam T1 - How to learn things at school you don't already know BT - experiences of gifted grade-skippers in Germany T2 - Postprints der Universität Potsdam : Humanwissenschaftliche Reihe N2 - Skipping a grade, one specific form of acceleration, is an intervention used for gifted students. Quantitative research has shown acceleration to be a highly successful intervention regarding academic achievement, but less is known about the social-emotional outcomes of grade-skipping. In the present study, the authors used the grounded theory approach to examine the experiences of seven gifted students aged 8 to 16 years who skipped a grade. The interviewees perceived their feeling of being in the wrong place before the grade-skipping as strongly influenced by their teachers, who generally did not respond adequately to their needs. We observed a close interrelationship between the gifted students' intellectual fit and their social situation in class. Findings showed that the grade-skipping in most of the cases bettered the situation in school intellectually as well as socially, but soon further interventions, for instance, a specialized and demanding class- or subject-specific acceleration were added to provide sufficiently challenging learning opportunities. T3 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe - 415 KW - qualitative methodologies KW - social and/or emotional development and adjustment KW - acceleration KW - grade-skipping Y1 - 2018 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-405211 IS - 415 ER - TY - CHAP ED - Meinel, Christoph ED - Polze, Andreas ED - Oswald, Gerhard ED - Strotmann, Rolf ED - Seibold, Ulrich ED - Schulzki, Bernhard T1 - HPI Future SOC Lab BT - Proceedings 2016 N2 - The “HPI Future SOC Lab” is a cooperation of the Hasso Plattner Institute (HPI) and industrial partners. Its mission is to enable and promote exchange and interaction between the research community and the industrial partners. The HPI Future SOC Lab provides researchers with free of charge access to a complete infrastructure of state of the art hard and software. This infrastructure includes components, which might be too expensive for an ordinary research environment, such as servers with up to 64 cores and 2 TB main memory. The offerings address researchers particularly from but not limited to the areas of computer science and business information systems. Main areas of research include cloud computing, parallelization, and In-Memory technologies. This technical report presents results of research projects executed in 2016. Selected projects have presented their results on April 5th and November 3th 2016 at the Future SOC Lab Day events. N2 - Das Future SOC Lab am HPI ist eine Kooperation des Hasso-Plattner-Instituts mit verschiedenen Industriepartnern. Seine Aufgabe ist die Ermöglichung und Förderung des Austausches zwischen Forschungsgemeinschaft und Industrie. Am Lab wird interessierten Wissenschaftlern eine Infrastruktur von neuester Hard- und Software kostenfrei für Forschungszwecke zur Verfügung gestellt. Dazu zählen teilweise noch nicht am Markt verfügbare Technologien, die im normalen Hochschulbereich in der Regel nicht zu finanzieren wären, bspw. Server mit bis zu 64 Cores und 2 TB Hauptspeicher. Diese Angebote richten sich insbesondere an Wissenschaftler in den Gebieten Informatik und Wirtschaftsinformatik. Einige der Schwerpunkte sind Cloud Computing, Parallelisierung und In-Memory Technologien. In diesem Technischen Bericht werden die Ergebnisse der Forschungsprojekte des Jahres 2016 vorgestellt. Ausgewählte Projekte stellten ihre Ergebnisse am 5. April 2016 und 3. November 2016 im Rahmen der Future SOC Lab Tag Veranstaltungen vor. KW - Future SOC Lab KW - research projects KW - multicore architectures KW - In-Memory technology KW - cloud computing KW - machine learning KW - artifical intelligence KW - Future SOC Lab KW - Forschungsprojekte KW - Multicore Architekturen KW - In-Memory Technologie KW - Cloud Computing KW - maschinelles Lernen KW - künstliche Intelligenz Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-406787 ER - TY - THES A1 - Pavlenko, Elena T1 - Hybrid nanolayer architectures for ultrafast acousto-plasmonics in soft matter T1 - Hybride Nanolayer-Architekturen für ultraschnelle Akusto-Plasmonics in weicher Materie N2 - The goal of the presented work is to explore the interaction between gold nanorods (GNRs) and hyper-sound waves. For the generation of the hyper-sound I have used Azobenzene-containing polymer transducers. Multilayer polymer structures with well-defined thicknesses and smooth interfaces were built via layer-by-layer deposition. Anionic polyelectrolytes with Azobenzene side groups (PAzo) were alternated with cationic polymer PAH, for the creation of transducer films. PSS/PAH multilayer were built for spacer layers, which do not absorb in the visible light range. The properties of the PAzo/PAH film as a transducer are carefully characterized by static and transient optical spectroscopy. The optical and mechanical properties of the transducer are studied on the picosecond time scale. In particular the relative change of the refractive index of the photo-excited and expanded PAH/PAzo is Δn/n = - 2.6*10‐4. Calibration of the generated strain is performed by ultrafast X-ray diffraction calibrated the strain in a Mica substrate, into which the hyper-sound is transduced. By simulating the X-ray data with a linear-chain-model the strain in the transducer under the excitation is derived to be Δd/d ~ 5*10‐4. Additional to the investigation of the properties of the transducer itself, I have performed a series of experiments to study the penetration of the generated strain into various adjacent materials. By depositing the PAzo/PAH film onto a PAH/PSS structure with gold nanorods incorporated in it, I have shown that nanoscale impurities can be detected via the scattering of hyper-sound. Prior to the investigation of complex structures containing GNRs and the transducer, I have performed several sets of experiments on GNRs deposited on a small buffer of PSS/PAH. The static and transient response of GNRs is investigated for different fluence of the pump beam and for different dielectric environments (GNRs covered by PSS/PAH). A systematic analysis of sample architectures is performed in order to construct a sample with the desired effect of GNRs responding to the hyper-sound strain wave. The observed shift of a feature related to the longitudinal plasmon resonance in the transient reflection spectra is interpreted as the event of GNRs sensing the strain wave. We argue that the shift of the longitudinal plasmon resonance is caused by the viscoelastic deformation of the polymer around the nanoparticle. The deformation is induced by the out of plane difference in strain in the area directly under a particle and next to it. Simulations based on the linear chain model support this assumption. Experimentally this assumption is proven by investigating the same structure, with GNRs embedded in a PSS/PAH polymer layer. The response of GNRs to the hyper-sound wave is also observed for the sample structure with GNRs embedded in PAzo/PAH films. The response of GNRs in this case is explained to be driven by the change of the refractive index of PAzo during the strain propagation. N2 - Akustische Experimente auf ultraschnellen Zeitskalen ermöglichen die Bestimmung von Tiefeninformationen in Dünnschichtproben. Der Grundgedanke dieser Methode ist die Analyse von Schallwellen, die sich in dem zu untersuchenden Material ausbreiten. Die Schallpulse werden dabei üblicherweise mittels dünner Schichten erzeugt, die dafür auf die Probe aufgebracht werden. Diese Methode ist etabliert für die Untersuchung von harten, anorganischen Materialien, aber weniger entwickelt für weiche, organische Materialien. Die wenigen existierenden Untersuchungen von weichen Materialien mittels ultraschneller Akustik nutzen bisher die Ausdehnung dünner Metallfilme, beispielsweise aus Aluminium oder Titan, für den Umwandlungsprozess von kurzen Lichtpulsen zu Schallwellen. Die deutlich höheren Dichten der Metalle gegenüber der zu untersuchenden weichen Materie führen zu einer geringen Effizienz bei der Einkopplung der Schallpulse in das Material. Weiterhin ist es schwierig, die Metallfilme auf die zu untersuchenden Materialien chemisch aufzubringen. Eine Möglichkeit diese Probleme zu umgehen, ist die Verwendung von Licht-Schallwandlern aus chemisch ähnlicher, weicher Materialien. Hier präsentiere ich die Ergebnisse meiner Untersuchungen von Polymer Filmen, welche Azobenzen als aktiven Bestandteil für die photo-akustische Umwandlung enthalten. Dabei wurden die Filme mittels statischer, sowie auch zeitaufgelöster Spektroskopie untersucht. Mit zeitaufgelösten Brillouin-Streuungs-Experimenten habe ich die Schallgeschwindigkeit in den Polymeren und dem Azobenzen-Schallwandler zu 3.4±0.3 nm/ps bestimmt. Die relative transiente Änderung des Brechungsindex in dem Azobenzenfilm aus optischen Messungen beträgt Δn/n = - 2.6*10‐4. Die Untersuchung der Schallpropagation in verschiedenen Probengeometrien erlaubt es uns, Reflektionen der Schallwellen von verschiedenen Übergängen (Polymer/Quarz, Polymer/Luft) und die Ausbreitung der mechanischen Wellen in weiche (Polymere) und harte (Quarz) angrenzende Materialien zu studieren. Durch Untersuchungen an einer Probe mit Gold-Nano-Stäbchen innerhalb einer Polymerschicht habe ich die Möglichkeit aufgezeigt, die Tiefenposition der Nanopartikel zu bestimmen. Die Ausdehnung des photomechanischen Wandlers wurde mittels zeitaufgelöster Röntgenbeugung zu ε = Δd/d ̴ 5x10-4 bestimmt. Der zweite Teil der Doktorarbeit behandelt die Wechselwirkung von Schallwellen und Gold-Nano-Stäbchen (GNS). GNS werden oft in der Chemie und Biologie als plasmonische Marker eingesetzt. In den meisten Fällen werden die Teilchen dafür mit einer Hülle überzogen, um ihre Agglomeration zu unterdrücken oder um ihnen spezielle Sensoreigenschaften zu geben. Trotz ihrer häufigen Anwendung in teilweise sehr komplexen Geometrien sind die optischen und elastischen Eigenschaften der Hülle der Nanopartikel, sowie deren Wechselwirkung mit der Umgebung wenig erforscht. Um die Wechselwirkung zwischen GNS und Schallwellen zu untersuchen habe ich eine systematische Studie an verschiedenen Probenstrukturen unternommen. Dabei finden wir, dass die viskoelastische Verformung der Polymerhülle um die GNS von der unterschiedlichen Ausdehnung der Fläche unterhalb der Partikel und neben ihnen stammt. Diese Schlussfolgerung wird von einer Simulation ihrer Ausdehnungsdynamik unterstützt. Einen weiteren Beleg liefern Experimente bei denen die Verformung von Polymeren an der Oberfläche dadurch verringert wird, dass die Gold-Nano-Stäbchen mit einer zusätzlichen dünnen Polymerschicht bedeckt werden. KW - ultrafast dynamics KW - plasmonics KW - hypersound KW - azobenzene KW - ultrafast spectroscopy KW - ultraschnelle Dynamik KW - Pump-Probe Spektroskopie KW - Plasmonics KW - Gold-Nanopartikel KW - Azobenzene Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-99544 ER - TY - THES A1 - Grewe, Sina T1 - Hydro- and biogeochemical investigations of lake sediments in the Kenyan Rift Valley T1 - Hydro- und biogeochemische Untersuchungen von Seesedimenten aus dem Kenianischen Rift Valley N2 - Die Seen im kenianischen Riftsystem bieten die einmalige Gelegenheit eine große Bandbreite an hydrochemischen Umweltbedingungen zu studieren, die von Süßwasserseen bis hin zu hochsalinen und alkalinen Seen reichen. Da wenig über die hydro- und biogeochemischen Bedingungen in den darunterliegenden Seesedimenten bekannt ist, war es das Ziel dieser Arbeit, bereits existierende Datensätze mit Daten aus der Porenwasser- und Biomarker-Analyse zu erweitern. Zusätzlich wurden reduzierte Schwefelkomponenten und Sulfatreduktionsraten in den Sedimenten bestimmt. Mit den neu gewonnenen Daten wurde der anthropogene und mikrobielle Einfluss auf die Seesedimente untersucht sowie der Einfluss der Wasserchemie auf den Abbau und den Erhalt von organischem Material im Sediment. Zu den untersuchten Seen gehörten: Logipi, Eight (ein kleiner Kratersee in der Region Kangirinyang), Baringo, Bogoria, Naivasha, Oloiden und Sonachi. Die Biomarker-Zusammensetzungen in den untersuchten Seesedimenten waren ähnlich; allerdings gab es einige Unterschiede zwischen den salinen Seen und den Süßwasserseen. Einer dieser Unterschiede war das Vorkommen eines mit β-Carotin verwandten Moleküls, das nur in den salinen Seen gefunden wurde. Dieses Molekül stammt wahrscheinlich von Cyanobakterien, Einzellern die in großer Anzahl in salinen Seen vorkommen. In den beiden Süßwasserseen wurde Stigmasterol gefunden, ein für Süßwasseralgen charakteristisches Sterol. In dieser Studie hat sich gezeigt, dass Bogoria und Sonachi für Umweltrekonstruktionen mit Biomarkern besonders gut geeignet sind, da die Abwesenheit von Sauerstoff an deren Seegründen den Abbau von organischem Material verlangsamt. Andere Seen, wie zum Beispiel Naivasha, sind aufgrund des großen anthropogenen Einflusses weniger gut für solche Rekonstruktionen geeignet. Die Biomarker-Analyse bot jedoch die Möglichkeit, den menschlichen Einfluss auf den See zu studieren. Desweiteren zeigte diese Studie, dass sich Horizonte mit einem hohen Anteil an elementarem Schwefel als temporale Marker nutzen lassen. Diese Horizonte wurden zu einer Zeit abgelagert, als die Wasserpegel sehr niedrig waren. Der Schwefel wurde von Mikroorganismen abgelagert, die zu anoxygener Photosynthese oder Sulfidoxidation fähig sind. N2 - The lakes in the Kenyan Rift Valley offer the unique opportunity to study a wide range of hydrochemical environmental conditions, ranging from freshwater to highly saline and alkaline lakes. Because little is known about the hydro- and biogeochemical conditions in the underlying lake sediments, it was the aim of this study to extend the already existing data sets with data from porewater and biomarker analyses. Additionally, reduced sulphur compounds and sulphate reduction rates in the sediment were determined. The new data was used to examine the anthropogenic and microbial influence on the lakes sediments as well as the influence of the water chemistry on the degradation and preservation of organic matter in the sediment column. The lakes discussed in this study are: Logipi, Eight (a small crater lake in the region of Kangirinyang), Baringo, Bogoria, Naivasha, Oloiden, and Sonachi. The biomarker compositions were similar in all studied lake sediments; nevertheless, there were some differences between the saline and freshwater lakes. One of those differences is the occurrence of a molecule related to β-carotene, which was only found in the saline lakes. This molecule most likely originates from cyanobacteria, single-celled organisms which are commonly found in saline lakes. In the two freshwater lakes, stigmasterol, a sterol characteristic for freshwater algae, was found. In this study, it was shown that Lakes Bogoria and Sonachi can be used for environmental reconstructions with biomarkers, because the absence of oxygen at the lake bottoms slowed the degradation process. Other lakes, like for example Lake Naivasha, cannot be used for such reconstructions, because of the large anthropogenic influence. But the biomarkers proved to be a useful tool to study those anthropogenic influences. Additionally, it was observed that horizons with a high concentration of elemental sulphur can be used as temporal markers. Those horizons were deposited during times when the lake levels were very low. The sulphur was deposited by microorganisms which are capable of anoxygenic photosynthesis or sulphide oxidation. KW - Ostafrikansches Rift KW - saline Seen KW - Biomarker KW - Umweltrekonstruktion KW - Sulfatreduktion KW - Seesediment KW - East African Rift KW - saline lakes KW - biomarker KW - environmental reconstruction KW - sulphate reduction KW - lake sediment Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-98342 ER - TY - GEN A1 - Neugebauer, Ina A1 - Schwab, M. J. A1 - Waldmann, Nicolas D. A1 - Tjallingii, Rik A1 - Frank, U. A1 - Hadzhiivanova, E. A1 - Naumann, R. A1 - Taha, N. A1 - Agnon, Amotz A1 - Enzel, Y. A1 - Brauer, Achim T1 - Hydroclimatic variability in the Levant during the early last glacial (similar to 117-75 ka) derived from micro-facies analyses of deep Dead Sea sediments T2 - Postprints der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe N2 - The new sediment record from the deep Dead Sea basin (ICDP core 5017-1) provides a unique archive for hydroclimatic variability in the Levant. Here, we present high-resolution sediment facies analysis and elemental composition by micro-X-ray fluorescence (mu XRF) scanning of core 5017-1 to trace lake levels and responses of the regional hydroclimatology during the time interval from ca. 117 to 75 ka, i. e. the transition between the last interglacial and the onset of the last glaciation. We distinguished six major micro-facies types and interpreted these and their alterations in the core in terms of relative lake level changes. The two end-member facies for highest and lowest lake levels are (a) up to several metres thick, greenish sediments of alternating aragonite and detrital marl laminae (aad) and (b) thick halite facies, respectively. Intermediate lake levels are characterised by detrital marls with varying amounts of aragonite, gypsum or halite, reflecting lower-amplitude, shorter-term variability. Two intervals of pronounced lake level drops occurred at similar to 110-108 +/- 5 and similar to 93-87 +/- 7 ka. They likely coincide with stadial conditions in the central Mediterranean (Melisey I and II pollen zones in Monticchio) and low global sea levels during Marine Isotope Stage (MIS) 5d and 5b. However, our data do not support the current hypothesis of an almost complete desiccation of the Dead Sea during the earlier of these lake level low stands based on a recovered gravel layer. Based on new petrographic analyses, we propose that, although it was a low stand, this well-sorted gravel layer may be a vestige of a thick turbidite that has been washed out during drilling rather than an in situ beach deposit. Two intervals of higher lake stands at similar to 108-93 +/- 6 and similar to 87-75 +/- 7 ka correspond to interstadial conditions in the central Mediterranean, i. e. pollen zones St. Germain I and II in Monticchio, and Greenland interstadials (GI) 24+23 and 21 in Greenland, as well as to sapropels S4 and S3 in the Mediterranean Sea. These apparent correlations suggest a close link of the climate in the Levant to North Atlantic and Mediterranean climates during the time of the build-up of Northern Hemisphere ice shields in the early last glacial period. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 549 KW - Lake Lisan KW - Middle-east KW - ice-sheet KW - hydrological condition KW - climate variability KW - tropical plumes KW - Winter rainfall KW - Southern Levant KW - soreq cave KW - Near-east Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-411879 SN - 1866-8372 IS - 549 ER - TY - GEN A1 - Adhikari, Rishi Ram A1 - Glombitza, Clemens A1 - Nickel, Julia C. A1 - Anderson, Chloe H. A1 - Dunlea, Ann G. A1 - Spivack, Arthur J. A1 - Murray, Richard W. A1 - D’Hondt, Steven A1 - Kallmeyer, Jens T1 - Hydrogen utilization potential in subsurface sediments T2 - Frontiers in microbiology N2 - Subsurface microbial communities undertake many terminal electron-accepting processes, often simultaneously. Using a tritium-based assay, we measured the potential hydrogen oxidation catalyzed by hydrogenase enzymes in several subsurface sedimentary environments (Lake Van, Barents Sea, Equatorial Pacific, and Gulf of Mexico) with different predominant electron-acceptors. Hydrogenases constitute a diverse family of enzymes expressed by microorganisms that utilize molecular hydrogen as a metabolic substrate, product, or intermediate. The assay reveals the potential for utilizing molecular hydrogen and allows qualitative detection of microbial activity irrespective of the predominant electron-accepting process. Because the method only requires samples frozen immediately after recovery, the assay can be used for identifying microbial activity in subsurface ecosystems without the need to preserve live material. We measured potential hydrogen oxidation rates in all samples from multiple depths at several sites that collectively span a wide range of environmental conditions and biogeochemical zones. Potential activity normalized to total cell abundance ranges over five orders of magnitude and varies, dependent upon the predominant terminal electron acceptor. Lowest per-cell potential rates characterize the zone of nitrate reduction and highest per-cell potential rates occur in the methanogenic zone. Possible reasons for this relationship to predominant electron acceptor include (i) increasing importance of fermentation in successively deeper biogeochemical zones and (ii) adaptation of H(2)ases to successively higher concentrations of H-2 in successively deeper zones. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 447 KW - hydrogenase KW - tritium assay KW - deep biosphere KW - microbial activity KW - Lake Van KW - Barents Sea KW - Equatorial Pacific KW - Gulf of Mexico Y1 - 2018 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-407678 ER - TY - THES A1 - Bojahr, Andre T1 - Hypersound interaction studied by time-resolved inelastic light and x-ray scattering T1 - Wechselwirkende Hyperschallwellen untersucht mittels zeitaufgelöster inelastischer Licht- und Röntgenstreuung N2 - This publications-based thesis summarizes my contribution to the scientific field of ultrafast structural dynamics. It consists of 16 publications, about the generation, detection and coupling of coherent gigahertz longitudinal acoustic phonons, also called hypersonic waves. To generate such high frequency phonons, femtosecond near infrared laser pulses were used to heat nanostructures composed of perovskite oxides on an ultrashort timescale. As a consequence the heated regions of such a nanostructure expand and a high frequency acoustic phonon pulse is generated. To detect such coherent acoustic sound pulses I use ultrafast variants of optical Brillouin and x-ray scattering. Here an incident optical or x-ray photon is scattered by the excited sound wave in the sample. The scattered light intensity measures the occupation of the phonon modes. The central part of this work is the investigation of coherent high amplitude phonon wave packets which can behave nonlinearly, quite similar to shallow water waves which show a steepening of wave fronts or solitons well known as tsunamis. Due to the high amplitude of the acoustic wave packets in the solid, the acoustic properties can change significantly in the vicinity of the sound pulse. This may lead to a shape change of the pulse. I have observed by time-resolved Brillouin scattering, that a single cycle hypersound pulse shows a wavefront steepening. I excited hypersound pulses with strain amplitudes until 1% which I have calibrated by ultrafast x-ray diffraction (UXRD). On the basis of this first experiment we developed the idea of the nonlinear mixing of narrowband phonon wave packets which we call "nonlinear phononics" in analogy with the nonlinear optics, which summarizes a kaleidoscope of surprising optical phenomena showing up at very high electric fields. Such phenomena are for instance Second Harmonic Generation, four-wave-mixing or solitons. But in case of excited coherent phonons the wave packets have usually very broad spectra which make it nearly impossible to look at elementary scattering processes between phonons with certain momentum and energy. For that purpose I tested different techniques to excite narrowband phonon wave packets which mainly consist of phonons with a certain momentum and frequency. To this end epitaxially grown metal films on a dielectric substrate were excited with a train of laser pulses. These excitation pulses drive the metal film to oscillate with the frequency given by their inverse temporal displacement and send a hypersonic wave of this frequency into the substrate. The monochromaticity of these wave packets was proven by ultrafast optical Brillouin and x-ray scattering. Using the excitation of such narrowband phonon wave packets I was able to observe the Second Harmonic Generation (SHG) of coherent phonons as a first example of nonlinear wave mixing of nanometric phonon wave packets. N2 - Diese publikationsbasierte Dissertation fasst meinen Beitrag zum Forschungsgebiet der ultraschnellen Strukturdynamik zusammen. Diese Arbeit besteht aus 16 Publikationen aus den Bereichen der Erzeugung, Detektion und Kopplung von kohärenten Gigahertz longitudinal-akustischen Phononen, auch Hyperschallwellen genannt. Um solch hochfrequente Phononen zu erzeugen, werden Femtosekunden nahinfrarot Laserpulse benutzt, um Nanostrukturen auf einer ultraschnellen Zeitskala zu erhitzen. Die aufgeheizten Regionen der Nanostruktur dehnen sich aufgrund der hohen Temperatur aus und ein hochfrequenter Schallpuls wird generiert. Um solche akustischen Pulse zu detektieren benutze ich ultraschnelle Varianten der Brillouin- und Röntgenstreuung. Dabei wird ein einfallendes optisches oder Röntgenphoton an der erzeugten Schallwelle gestreut. Die gemessene Streuintensität ist hierbei ein Maß für die Besetzung einzelner Phononenzustände. Der zentrale Teil dieser Arbeit ist die Untersuchung von kohärenten Phonon-Wellenpaketen mit sehr hoher Amplitude. Diese Wellenpakete können sich nichtlinear verhalten, sehr ähnlich zu Flachwasserwellen bei denen nichtlineare Effekte in Form eines Aufsteilens der Wellenfronten oder der Existenz von Solitonen, bekannt als Tsunamis, äußern. Durch die hohe Amplitude der akustischen Wellenpakete können sich die akustischen Eigenschaften des Festkörpers in der Umgebung des Schallpulses signifikant ändern, welches sich dann in einer Formänderung des Schallpulses widerspiegelt. Ich konnte mittels zeitaufgelöster Brillouinstreuung das Aufsteilen der Wellenfronten eines Hyperschallpulses bestehend aus einem einzigen Oszillationszyklus beobachten. Hierbei wurden Hyperschallwellen mit einer Dehnungsamplitude von bis zu 1% angeregt, wobei ich diesen Wert mittels ultraschneller Röntgenbeugung kalibrieren konnte. Mit diesem ersten Experiment als Basis entwickelten wir die Idee der nichtlinearen Wellenmischung von schmalbandigen Phonon-Wellenpaketen unter dem Titel "nichtlineare Phononik" in Analogie zur nichtlinearen Optik, welche sich aus einer Reihe von verblüffenden optischen Phänomenen bei sehr hohen elektrischen Feldstärken zusammensetzt. Solche Phänomene sind z. B. die optische Frequenzverdopplung, das Vier-Wellen-Mischen oder Solitone. Nur sind im Falle von kohärenten Phononen die erzeugten Spektren sehr breitbandig, was die Untersuchung von spezifischen Phononen mit festem Impuls und definierter Frequenz fast unmöglich macht. Aus diesem Grund testete ich verschiedene Methoden um schmalbandige Phonon-Wellenpakete anzuregen, welche im Wesentlichen aus Phononen bestimmten Impulses und definierter Frequenz bestehen. Dafür wurden schließ lich epitaktisch auf ein dielektrisches Substrat aufgewachsene Metallfilme mit einen Laserpulszug angeregt. Hier sorgen die Lichtpulse für eine periodische Oszillation des Metalfilms, wobei die Anregefrequenz durch den inversen zeitlichen Abstand der Lichtpulse gegeben ist. Diese periodische Oszillation sendet dann ein Hyperschallwellenpaket eben dieser Frequenz ins Substrat. Die Monochromie dieser Wellenpakete konnte dabei mittels ultraschneller Brillouin- und Röntgenstreuung bestätigt werden. Durch die Benutzung dieser schmalbandigen Phonon-Wellenpakete war es mir möglich, die Frequenzverdopplung (SHG) von kohärenten Phononen zu beobachten, was ein erstes Beispiel für die nichtlineare Wellenmischung von nanometrischen Phonon-Wellenpaketen ist. KW - hypersound KW - nonlinear acoustics KW - ultrafast KW - Brillouin scattering KW - x-ray diffraction KW - self-steepening KW - second-harmonic generation KW - Phononen KW - Wechselwirkung KW - Anharmonizität KW - nichtlineare Wellenmischung KW - zweite Harmonische KW - Phononenstreuung KW - nichlineare Phononik Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-93860 ER - TY - GEN A1 - Connor, Daniel Oliver A1 - Zantow, Jonas A1 - Hust, Michael A1 - Bier, Frank Fabian A1 - von Nickisch-Rosenegk, Markus T1 - Identification of novel immunogenic proteins of Neisseria gonorrhoeae by phage display T2 - Postprints der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe N2 - Neisseria gonorrhoeae is one of the most prevalent sexually transmitted diseases worldwide with more than 100 million new infections per year. A lack of intense research over the last decades and increasing resistances to the recommended antibiotics call for a better understanding of gonococcal infection, fast diagnostics and therapeutic measures against N. gonorrhoeae. Therefore, the aim of this work was to identify novel immunogenic proteins as a first step to advance those unresolved problems. For the identification of immunogenic proteins, pHORF oligopeptide phage display libraries of the entire N. gonorrhoeae genome were constructed. Several immunogenic oligopeptides were identified using polyclonal rabbit antibodies against N. gonorrhoeae. Corresponding full-length proteins of the identified oligopeptides were expressed and their immunogenic character was verified by ELISA. The immunogenic character of six proteins was identified for the first time. Additional 13 proteins were verified as immunogenic proteins in N. gonorrhoeae. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 541 KW - proteomic analysis KW - vaccine antigens KW - gene-expression KW - Mycobacterium tuberculosis KW - antimicrobial resistance KW - recombinant antibodies KW - Salmonella Thyphimurium KW - untreatable Gonorrhea KW - multidrug-resistant KW - Escherichia coli Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-411077 SN - 1866-8372 IS - 541 ER - TY - GEN A1 - Paßlack, Nadine A1 - Schmiedchen, Bettina A1 - Raila, Jens A1 - Schweigert, Florian J. A1 - Stumpff, Friederike A1 - Kohn, Barbara A1 - Neumann, Konrad A1 - Zentek, Jürgen T1 - Impact of increasing dietary calcium levels on calcium excretion and vitamin D metabolites in the blood of healthy adult cats T2 - Postprints der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe N2 - Background Dietary calcium (Ca) concentrations might affect regulatory pathways within the Ca and vitamin D metabolism and consequently excretory mechanisms. Considering large variations in Ca concentrations of feline diets, the physiological impact on Ca homeostasis has not been evaluated to date. In the present study, diets with increasing concentrations of dicalcium phosphate were offered to ten healthy adult cats (Ca/phosphorus (P): 6.23/6.02, 7.77/7.56, 15.0/12.7, 19.0/17.3, 22.2/19.9, 24.3/21.6 g/kg dry matter). Each feeding period was divided into a 10-day adaptation and an 8-day sampling period in order to collect urine and faeces. On the last day of each feeding period, blood samples were taken. Results Urinary Ca concentrations remained unaffected, but faecal Ca concentrations increased (P < 0.001) with increasing dietary Ca levels. No effect on whole and intact parathyroid hormone levels, fibroblast growth factor 23 and calcitriol concentrations in the blood of the cats were observed. However, the calcitriol precursors 25(OH)D-2 and 25(OH)D-3, which are considered the most useful indicators for the vitamin D status, decreased with higher dietary Ca levels (P = 0.013 and P = 0.033). Increasing dietary levels of dicalcium phosphate revealed an acidifying effect on urinary fasting pH (6.02) and postprandial pH (6.01) (P < 0.001), possibly mediated by an increase of urinary phosphorus (P) concentrations (P < 0.001). Conclusions In conclusion, calcitriol precursors were linearly affected by increasing dietary Ca concentrations. The increase in faecal Ca excretion indicates that Ca homeostasis of cats is mainly regulated in the intestine and not by the kidneys. Long-term studies should investigate the physiological relevance of the acidifying effect observed when feeding diets high in Ca and P. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 542 KW - chronic kidney-disease KW - growth-factor 23 KW - parathyroid-hormone KW - urinary ph KW - phosphorus KW - FGF23 KW - deficiency KW - dogs KW - hypercalciuria KW - secretion Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-411302 SN - 1866-8372 IS - 542 ER - TY - GEN A1 - Siegmund, Jonatan Frederik A1 - Wiedermann, Marc A1 - Donges, Jonathan A1 - Donner, Reik Volker T1 - Impact of temperature and precipitation extremes on the flowering dates of four German wildlife shrub species T2 - Postprints der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe N2 - Ongoing climate change is known to cause an increase in the frequency and amplitude of local temperature and precipitation extremes in many regions of the Earth. While gradual changes in the climatological conditions have already been shown to strongly influence plant flowering dates, the question arises if and how extremes specifically impact the timing of this important phenological phase. Studying this question calls for the application of statistical methods that are tailored to the specific properties of event time series. Here, we employ event coincidence analysis, a novel statistical tool that allows assessing whether or not two types of events exhibit similar sequences of occurrences in order to systematically quantify simultaneities between meteorological extremes and the timing of the flowering of four shrub species across Germany. Our study confirms previous findings of experimental studies by highlighting the impact of early spring temperatures on the flowering of the investigated plants. However, previous studies solely based on correlation analysis do not allow deriving explicit estimates of the strength of such interdependencies without further assumptions, a gap that is closed by our analysis. In addition to direct impacts of extremely warm and cold spring temperatures, our analysis reveals statistically significant indications of an influence of temperature extremes in the autumn preceding the flowering. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 497 KW - event coincidence analysis KW - climate-change KW - weather extremes KW - plant phenology KW - interannual variability KW - air-temperature KW - responses KW - drought KW - trends KW - summer Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-408352 SN - 1866-8372 IS - 497 ER - TY - THES A1 - Sauermann, Antje T1 - Impact of the type of referring expression on the acquisition of word order variation T1 - Einfluss der Wahl des referierenden Ausdrucks auf den Erwerb von Wortstellungsvariation N2 - This dissertation examines the impact of the type of referring expression on the acquisition of word order variation in German-speaking preschoolers. A puzzle in the area of language acquisition concerns the production-comprehension asymmetry for non-canonical sentences like "Den Affen fängt die Kuh." (“The monkey, the cow chases.”), that is, preschoolers usually have difficulties in accurately understanding non-canonical sentences approximately until age six (e.g., Dittmar et al., 2008) although they produce non-canonical sentences already around age three (e.g., Poeppel & Wexler, 1993; Weissenborn, 1990). This dissertation investigated the production and comprehension of non-canonical sentences to address this issue. Three corpus analyses were conducted to investigate the impact of givenness, topic status and the type of referring expression on word order in the spontaneous speech of two- to four-year-olds and the child-directed speech produced by their mothers. The positioning of the direct object in ditransitive sentences was examined; in particular, sentences in which the direct object occurred before or after the indirect object in the sentence-medial positions and sentences in which it occurred in the sentence-initial position. The results reveal similar ordering patterns for children and adults. Word order variation was to a large extent predictable from the type of referring expression, especially with respect to the word order involving the sentence-medial positions. Information structure (e.g., topic status) had an additional impact only on word order variation that involved the sentence-initial position. Two comprehension experiments were conducted to investigate whether the type of referring expression and topic status influences the comprehension of non-canonical transitive sentences in four- and five-year-olds. In the first experiment, the topic status of the one of the sentential arguments was established via a preceding context sentence, and in the second experiment, the type of referring expression for the sentential arguments was additionally manipulated by using either a full lexical noun phrase (NP) or a personal pronoun. The results demonstrate that children’s comprehension of non-canonical sentences improved when the topic argument was realized as a personal pronoun and this improvement was independent of the grammatical role of the arguments. However, children’s comprehension was not improved when the topic argument was realized as a lexical NP. In sum, the results of both production and comprehension studies support the view that referring expressions may be seen as a sentence-level cue to word order and to the information status of the sentential arguments. The results highlight the important role of the type of referring expression on the acquisition of word order variation and indicate that the production-comprehension asymmetry is reduced when the type of referring expression is considered. N2 - Im Rahmen der vorliegenden Dissertation wurde der Einfluss des referierenden Ausdrucks auf den Erwerb von Wortstellungsvariationen bei deutschsprachigen Vorschulkindern untersucht. Eine zentrale Fragestellung im Spracherwerb betrifft die Asymmetrie zwischen Produktion und Verständnis. Diese Asymmetrie ist dadurch gekennzeichnet, dass sechsjährige Kinder oft Schwierigkeiten haben, Sätze in der nicht-kanonischen Wortstellung, z.B. „Den Affen fängt die Kuh.“, zu verstehen (z.B., Dittmar et al., 2008), obwohl bereits Dreijährige nicht-kanonische Sätze produzieren können (z.B., Poeppel & Wexler, 1993; Weissenborn, 1990). Um diese Asymmetrie zu untersuchen wurde in der Dissertation die Produktion und das Verständnis von nicht-kanonischen Sätzen betrachtet. In drei Korpusstudien wurde der Einfluss von Vorerwähntheit, Topikstatus und Wahl des referierenden Ausdrucks auf die Wortstellung in der Spontansprache von Zwei- bis Vierjährigen und in der kind-gerichteten Sprache ihre Mütter analysiert. Es wurde die Position des direkten Objektes in ditransitiven Sätzen untersucht, d.h., Sätze in denen das direkte Objekt vor oder nach dem indirekten Objekt in den satzmedialen Positionen stand, und Sätze in denen es in der satzinitialen Position stand. Die Ergebnisse zeigen ähnlich Abfolgemuster in der Satzproduktion der Kindern und Erwachsenen. Die Position des direkten Objektes, vor allem in den satzmedialen Positionen, war zu einem großen Teil durch die Wahl des referierenden Ausdrucks vorhersagbar. Informationsstrukturelle Faktoren (z.B. Topikstatus) hingegen beeinflussten - unabhängig vom Einfluss des referierenden Ausdrucks - nur die Wortstellung in der satzinitialen Position. Zwei Verständnisexperimente wurden durchgeführt um den Einfluss des referierenden Ausdrucks und des Topikstatuses auf das Verständnis von nicht-kanonischen transitiven Sätzen zu untersuchen. Im ersten Experiment wurde der Topikstatus eines der beiden Satzargumente durch einen vorherigen Kontext modifiziert. Im zweiten Experiment wurde zusätzlich der referierende Ausdruck modifiziert, d.h. das Topik wurde entweder durch eine lexikalische Nominalphrase (NP) oder ein Personalpronomen realisiert. Die Ergebnisse zeigen, dass vier- und fünfjährige Kinder Sätze in der nichtkanonischen Wortstellung besser verstehen konnten, wenn das Topik als Personalpronomen realisiert wurde, unabhängig von der grammatischen Rolle des Topiks. Das Satzverständnis war jedoch nicht verbessert, wenn das Topik als lexikalische NP realisiert wurde. Zusammengefasst zeigen die Ergebnisse der Produktions- und Verständnisstudien, dass der referierende Ausdruck als Hinweis auf die Wortstellung und auf den Informationsstatus der Argumente des Satzes von den Kindern genutzt werden kann. Sie unterstreichen somit die Bedeutung der Wahl des referierenden Ausdrucks auf den Erwerb von Wortstellungsvariation und zeigen, dass die Asymmetrie zwischen Produktion und Verständnis an Bedeutung verliert, wenn der referierende Ausdruck einbezogen wird. T3 - Spektrum Patholinguistik - Schriften - 9 KW - language acquisition KW - word order KW - information structure KW - referring expressions KW - corpus studies KW - language comprehension KW - Spracherwerb KW - Wortstellung KW - Informationsstruktur KW - referierender Ausdruck KW - Korpusstudien KW - Sprachverständnis Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-89409 SN - 978-3-86956-330-5 SN - 1869-3822 SN - 1869-3830 PB - Universitätsverlag Potsdam CY - Potsdam ER - TY - GEN A1 - Reibis, Rona Katharina A1 - Salzwedel, Annett A1 - Buhlert, Hermann A1 - Wegscheider, Karl A1 - Eichler, Sarah A1 - Völler, Heinz T1 - Impact of training methods and patient characteristics on exercise capacity in patients in cardiovascular rehabilitation T2 - Postprints der Universität Potsdam : Humanwissenschaftliche Reihe N2 - Aim: We aimed to identify patient characteristics and comorbidities that correlate with the initial exercise capacity of cardiac rehabilitation (CR) patients and to study the significance of patient characteristics, comorbidities and training methods for training achievements and final fitness of CR patients. Methods: We studied 557 consecutive patients (51.7 Æ 6.9 years; 87.9% men) admitted to a three-week in-patient CR. Cardiopulmonary exercise testing (CPX) was performed at discharge. Exercise capacity (watts) at entry, gain in training volume and final physical fitness (assessed by peak O 2 utilization (VO 2peak ) were analysed using analysis of covariance (ANCOVA) models. Results: Mean training intensity was 90.7 Æ 9.7% of maximum heart rate (81% continuous/19% interval training, 64% additional strength training). A total of 12.2 Æ 2.6 bicycle exercise training sessions were performed. Increase of training volume by an average of more than 100% was achieved (difference end/beginning of CR: 784 Æ 623 watts  min). In the multivariate model the gain in training volume was significantly associated with smoking, age and exercise capacity at entry of CR. The physical fitness level achieved at discharge from CR as assessed by VO 2peak was mainly dependent on age, but also on various factors related to training, namely exercise capacity at entry, increase of training volume and training method. Conclusion: CR patients were trained in line with current guidelines with moderate-to-high intensity and reached a considerable increase of their training volume. The physical fitness level achieved at discharge from CR depended on various factors associated with training, which supports the recommendation that CR should be offered to all cardiac patients. T3 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe - 442 KW - cardiac rehabilitation KW - exercise tests KW - cardiorespiratory fitness KW - multivariate modelling Y1 - 2018 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-405302 IS - 442 ER - TY - GEN A1 - Walter, Tim A1 - Collenburg, Lena A1 - Japtok, Lukasz A1 - Kleuser, Burkhard A1 - Schneider-Schaulies, Sibylle A1 - Müller, Nora A1 - Becam, Jerome A1 - Schubert-Unkmeir, Alexandra A1 - Kong, Ji Na A1 - Bieberich, Erhard A1 - Seibel, Jürgen T1 - Incorporation and visualization of azido-functionalized N-oleoyl serinol in Jurkat cells, mouse brain astrocytes, 3T3 fibroblasts and human brain microvascular endothelial cells N2 - The synthesis and biological evaluation of azido-N-oleoyl serinol is reported. It mimicks biofunctional lipid ceramides and has shown to be capable of click reactions for cell membrane imaging in Jurkat and human brain microvascular endothelial cells. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 324 Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-394960 ER - TY - THES A1 - Intziegianni, Konstantina T1 - Influence of age and pathology on Achilles tendon properties under functional tasks T1 - Einfluss von Alter und Pathologie auf Eigenschaften der Achillessehne während funktionaler Aufgaben N2 - Prevalence of Achilles tendinopathy increases with age, leading to a weaker tendon with predisposition to rupture. Previous studies, investigating Achilles tendon (AT) properties, are restricted to standardized isometric conditions. Knowledge regarding the influence of age and pa-thology on AT response under functional tasks remains limited. Therefore, the aim of the thesis was to investigate the influence of age and pathology on AT properties during a single-leg vertical jump. Healthy children, asymptomatic adults and patients with Achilles tendinopathy participated. Ultrasonography was used to assess AT-length, AT-cross-sectional area and AT-elongation. The reliability of the methodology used was evaluated both Intra- and inter-rater at rest and at maximal isometric plantar-flexion contraction and was further implemented to investigate tendon properties during functional task. During the functional task a single-leg vertical jump on a force plate was performed while simultaneously AT elongation and vertical ground reaction forces were recorded. AT compliance [mm/N] (elongation/force) and AT strain [%] (elongation/length) were calculated. Differences between groups were evaluated with respect to age (children vs. adults) and pathology (asymptomatic adults vs. patients). Good to excellent reliability with low levels of variability was achieved in the assessment of AT properties. During the jumps AT elongation was found to be statistical significant higher in children. However, no statistical significant difference was found for force among the groups. AT compliance and strain were found to be statistical significant higher only in children. No significant differences were found between asymptomatic adults and patients with tendinopathy. The methodology used to assess AT properties is reliable, allowing its implementation into further investigations. Higher AT-compliance in children might be considered as a protective factor against load-related injuries. During functional task, when higher forces are acting on the AT, tendinopathy does not result in a weaker tendon. N2 - Die Prävalenz der Achillessehenentendinopathie steigt mit zunehmendem Alter, was zu einer geschwächten Sehnenstruktur mit Prädisposition zur Ruptur führt. Frühere Studien, welche Achillesssehnen(AS)-Eigenschaften untersuchten, beschränkten sich auf standardisierte isometrische Bedingungen. Der Einfluss von Alter und Pathologie auf das AS-Verhalten während funktioneller Bewegungen ist unklar. Das die Ziel der vorliegenden Arbeit war es daher, den Einfluss des Alters und Pathologie auf AS-Eigenschaften während einen einbeinigen vertikalen Sprung zu untersuchen. Es wurden gesunde Kinder, asymptomatische Erwachsene und Patienten mit Achillessehnene-ndinopathie eingeschlossen. Sonographisch wurden AS-Länge, -Querschnittsfläche (cross-sectional area) und -Dehnung gemessen. Intra- und inter-rater Reliabilität der genutzten Methoden wurden sowohl in Ruhe als auch unter maximaler isometrischer Plantarflexion bestimmt und nachfolgend zur Untersuchung der funktionellen AS-Eigenschaften implementiert. Hierzu wurde ein einbeiniger vertikaler Sprung auf einer Kraftmessplatte absolviert und zeitgleich AS-Compliance sowie vertikale Bodenreaktionskräfte regsitriert. AS-Compliance [mm/N] (Dehnung/Kraft) und AS-Verformung [%] (Dehnung/Länge) wurden kalkuliert. Die Gruppenunterschiede wurden in Bezug auf Alter (Kinder vs. Erwachsene) und Pathologie (Erwachsene vs. Patienten) evaluiert. Bei der Bewertung der verwendeten Methode wurde eine gute bis sehr gute Reliabilität mit geringer Variabilität zur Beurteilung der AS-Eigenschaften erreicht. Während der einbeinigen Sprünge zeigte sich eine statistisch signifikant höhere AS-Dehnung bei Kindern verglichen zu Erwachsenen. Ein statistisch signifikanter Kraft-Unterschied bestand zwischen den Gruppen nicht. AS-Compliance und –Verformung waren ausschließlich statistisch signifikant höher bei den Kindern. Keine signifikanten Unterschiede zwischen Erwachsenen und Patienten wurden gefunden. Die Methodik zur Bestimmung der AS-Eigenschaften ist zuverlässig, was deren Implementierung in weitere funktionelle Untersuchungen ermöglicht. Die höhere funktionelle AS-Compliance bei Kindern kann als Schutz vor Überlastungsschäden diskutiert werden. Während funktioneller Aufgaben, bei denen höhere Kräfte auf die AS wirken, ging das Vorhandensein einer Tendinopathie nicht mit einer schwächeren Sehne einher. KW - Achilles tendon KW - tendinopathy KW - age KW - reliability KW - tendon mechanical properties KW - Achillessehne KW - Tendinopathie KW - Alter KW - Sehnen mechanische Eigenschaften Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-398732 ER - TY - GEN A1 - Müller, Steffen A1 - Carlsohn, Anja A1 - Müller, Juliane A1 - Baur, Heiner A1 - Mayer, Frank T1 - Influence of Obesity on Foot Loading Characteristics in Gait for Children Aged 1 to 12 Years N2 - Background Overweight and obesity are increasing health problems that are not restricted to adults only. Childhood obesity is associated with metabolic, psychological and musculoskeletal comorbidities. However, knowledge about the effect of obesity on the foot function across maturation is lacking. Decreased foot function with disproportional loading characteristics is expected for obese children. The aim of this study was to examine foot loading characteristics during gait of normal-weight, overweight and obese children aged 1-12 years. Methods A total of 10382 children aged one to twelve years were enrolled in the study. Finally, 7575 children (m/f: n = 3630/3945; 7.0 +/- 2.9yr; 1.23 +/- 0.19m; 26.6 +/- 10.6kg; BMI: 17.1 +/- 2.4kg/m(2)) were included for (complete case) data analysis. Children were categorized to normalweight (>= 3rd and <90th percentile; n = 6458), overweight (>= 90rd and <97th percentile; n = 746) or obese (>97th percentile; n = 371) according to the German reference system that is based on age and gender-specific body mass indices (BMI). Plantar pressure measurements were assessed during gait on an instrumented walkway. Contact area, arch index (AI), peak pressure (PP) and force time integral (FTI) were calculated for the total, fore-, mid-and hindfoot. Data was analyzed descriptively (mean +/- SD) followed by ANOVA/Welch-test (according to homogeneity of variances: yes/no) for group differences according to BMI categorization (normal-weight, overweight, obesity) and for each age group 1 to 12yrs (post-hoc Tukey Kramer/Dunnett's C; alpha = 0.05). Results Mean walking velocity was 0.95 +/- 0.25 m/s with no differences between normal-weight, overweight or obese children (p = 0.0841). Results show higher foot contact area, arch index, peak pressure and force time integral in overweight and obese children (p< 0.001). Obese children showed the 1.48-fold (1 year-old) to 3.49-fold (10 year-old) midfoot loading (FTI) compared to normal-weight. Conclusion Additional body mass leads to higher overall load, with disproportional impact on the midfoot area and longitudinal foot arch showing characteristic foot loading patterns. Already the feet of one and two year old children are significantly affected. Childhood overweight and obesity is not compensated by the musculoskeletal system. To avoid excessive foot loading with potential risk of discomfort or pain in childhood, prevention strategies should be developed and validated for children with a high body mass index and functional changes in the midfoot area. The presented plantar pressure values could additionally serve as reference data to identify suspicious foot loading patterns in children. T3 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe - 284 KW - plantar pressure distribution KW - body-mass index KW - prepubescent children KW - overweight children KW - childhood obesity KW - walking KW - speed KW - forces KW - adolescents KW - prevalence Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-90108 ER - TY - THES A1 - Wang, Victor-C. T1 - Injury and illness risk factors for elite athletes in training environment T1 - Verletzung und Krankheit Risikofaktoren für Elite-Athleten im Trainingsumfeld BT - a comparison between Germany and Taiwan BT - ein Vergleich zwischen Deutschland und Taiwan N2 - Since 1998, elite athletes’ sport injuries have been monitored in single sport event, which leads to the development of first comprehensive injury surveillance system in multi-sport Olympic Games in 2008. However, injury and illness occurred in training phases have not been systematically studied due to its multi-facets, potentially interactive risk related factors. The present thesis aim to address issues of feasibility of establishing a validated measure for injury/illness, training environment and psychosocial risk factors by creating the evaluation tool namely risk of injury questionnaire (Risk-IQ) for elite athletes, which based on IOC consensus statement 2009 recommended content of preparticipation evaluation(PPE) and periodic health exam (PHE). A total of 335 top level athletes and a total of 88 medical care providers from Germany and Taiwan participated in tow “cross-sectional plus longitudinal” Risk-IQ and MCPQ surveys respectively. Four categories of injury/illness related risk factors questions were asked in Risk-IQ for athletes while injury risk and psychological related questions were asked in MCPQ for MCP cohorts. Answers were quantified scales wise/subscales wise before analyzed with other factors/scales. In addition, adapted variables such as sport format were introduced for difference task of analysis. Validated with 2-wyas translation and test-retest reliabilities, the Risk-IQ was proved to be in good standard which were further confirmed by analyzed results from official surveys in both Germany and Taiwan. The result of Risk-IQ revealed that elite athletes’ accumulated total injuries, in general, were multi-factor dependent; influencing factors including but not limited to background experiences, medical history, PHE and PPE medical resources as well as stress from life events. Injuries of different body parts were sport format and location specific. Additionally, medical support of PPE and PHE indicated significant difference between German and Taiwan. The result of the present thesis confirmed that it is feasible to construct a comprehensive evalua-tion instrument for heterogeneous elite athletes cohorts’ risk factor analysis for injury/illness oc-curred during their non-competition periods. In average and with many moderators involved, Ger-man elite athletes have superior medical care support yet suffered more severe injuries than Tai-wanese counterparts. Opinions of injury related psychological issues reflected differently on vari-ous MCP groups irrespective of different nationalities. In general, influencing factors and interac-tions existed among relevant factors in both studies which implied further investigation with multiple regression analysis is needed for better understanding. N2 - Seit 1998 werden Sportverletzungen von Elitesportlern in Einzeldisziplinen untersucht und überwacht. Daraus entwickelte sich das erste Überwachungssystem von Sportverletzungen für verschiedene Sportdisziplinen, das zum ersten Mal 2008 bei den Olympischen Spielen zum Einsatz kam. Verletzungen und Krankheiten, die aus dem Training resultieren können, wurden bisher noch nicht systematisch beschrieben, da die potentiellen Verletzungsfaktoren vielfältig sein können. Die vorliegende Dissertation hat zum Ziel, Fragen der Zweckmäßigkeit einer validierten Maßnahme zum Verletzungsrisiko und den damit verbundenen psychosozialen Faktoren zu untersuchen. Ausgangspunkt für die Untersuchung ist das IOC consensus statement aus dem Jahr 2009 mit den beiden Bereichen PPE und PHE. 335 Elitesportler und 88 sportmedizinische Versorger aus Deutschland und Taiwan nahmen (zwischen Oktober 2013 und Februar 2014) an einer Querschnitts- und Längsstudie (Risk-IQ und MCPQ) teil. In der Risk-IQ-Umfrage unter den Elitesportlern wurden Fragen zu vier Kategorien von Verletzungsfaktoren gestellt. Die sportmedizinischen Versorger beantworteten Fragen zu Verletzungsrisiken und psychologische Fragen. Die Antworten wurden in Skalen und Unterskalen quantifiziert, bevor sie mit anderen Faktoren analysiert wurden. Darüber hinaus wurden angepasste Variablen wie zum Beispiel das Sportformat eingeführt. Im Vorfeld der Studie wurden die Übersetzungen der Umfragefragen validiert und Reliabilitäts-Test und Retests durchgeführt, bevor die Umfragen in Deutschland und Taiwan durchgeführt wurden. Das Ergebnis der Umfrage unter den Elitesportlern zeigt, dass die Sportverletzungen im Allgemeinen von verschiedenen Faktoren abhängig sind: Trainingserfahrungen, Leistungsniveau, medizinische Vorgeschichte, PHE und PPE Ressourcen sowie von psychosozialem Stress, der durch bestimmte Erlebnisse oder Schicksalsschläge ausgelöst werden kann. Die Art der Verletzungen werden durch die Sportart und den Trainingsort beeinflusst. Auch die medizinische Versorgung im Rahmen der PPE und PHE ist signifikant verschieden zwischen Deutschland und Taiwan. Im Ergebnis zeigt sich, dass es anhand eines umfassenden Erhebungsinstruments möglich ist, Verletzungsfaktoren für Elite-Athleten zu identifizieren. Zusammenfassend lässt sich sagen, dass deutsche Elitesportler eine bessere medizinische Versorgung genießen als taiwanische Elitesportler. Allerdings sind sie auch von schwereren Verletzungen betroffen. Die Antworten zu den psychosozialen Einflussfaktoren gehen auseinander und lassen sich nicht auf Sportler einer Nationalität beschränken. KW - injury and illness KW - risk factors KW - elite athlete KW - sport training KW - Germany KW - Taiwan KW - Risikofaktoren KW - Verletzung KW - Elite-Athleten KW - Deutschland KW - Taiwan KW - injury surveillance KW - multi-sports KW - IOC KW - Olympic Games KW - national Olympic committees (NOCs) KW - international sport federations (IFs) KW - international competition participation KW - training phases KW - interaction KW - feasibility KW - validated measure KW - training environment KW - psychosocial KW - evaluation tool KW - sport injury KW - questionnaire KW - Risk-IQ KW - IOC consensus statement 2009 KW - pre-participation evaluation (PPE) KW - periodic health exam (PHE) KW - medical care providers (MCP) KW - medical care providers questionnaire (MCPQ) KW - cross-sectional KW - longitudinal KW - intra-class correlation coefficient (ICC) KW - factor analysis KW - scales KW - sport format KW - sport location KW - 2-wyas translation KW - forward and backward translation KW - test-retest reliabilities KW - multi-factor KW - medical history KW - medical resources KW - stress KW - inventory of life events (ILE) KW - perceived stress scale (PSS) KW - overtraining syndrome KW - body parts KW - medical education KW - medical support KW - comprehensive evaluation instrument KW - heterogeneous cohorts KW - non-competition periods KW - moderators KW - severe injury KW - opinions KW - nationalities KW - interactions KW - multiple logistic regression KW - Colorado injury report system (CIRS) KW - sport injury risk factors model KW - TRIPP model KW - stress and injury model KW - Bland and Altman plot Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-100925 ER - TY - GEN A1 - Lukoszek, Radoslaw A1 - Feist, Peter A1 - Ignatova, Zoya T1 - Insights into the adaptive response of Arabidopsis thaliana to prolonged thermal stress by ribosomal profiling and RNA-Seq T2 - BMC plant biology N2 - Background: Environmental stress puts organisms at risk and requires specific stress-tailored responses to maximize survival. Long-term exposure to stress necessitates a global reprogramming of the cellular activities at different levels of gene expression. Results: Here, we use ribosome profiling and RNA sequencing to globally profile the adaptive response of Arabidopsis thaliana to prolonged heat stress. To adapt to long heat exposure, the expression of many genes is modulated in a coordinated manner at a transcriptional and translational level. However, a significant group of genes opposes this trend and shows mainly translational regulation. Different secondary structure elements are likely candidates to play a role in regulating translation of those genes. Conclusions: Our data also uncover on how the subunit stoichiometry of multimeric protein complexes in plastids is maintained upon heat exposure. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 438 KW - translation KW - ribosome profiling KW - transcription KW - RNA-Seq KW - secondary structure KW - G-quadruplexes, KW - heat stress response Y1 - 2018 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-407262 ER - TY - GEN A1 - Kuhlmann, Sabine A1 - Wayenberg, Ellen T1 - Institutional impact assessment in multi-level systems BT - conceptualizing decentralization effects from a comparative perspective T2 - International review of administrative sciences N2 - Comparative literature on institutional reforms in multi-level systems proceeds from a global trend towards the decentralization of state functions. However, there is only scarce knowledge about the impact that decentralization has had, in particular, upon the sub-central governments involved. How does it affect regional and local governments? Do these reforms also have unintended outcomes on the sub-central level and how can this be explained? This article aims to develop a conceptual framework to assess the impacts of decentralization on the sub-central level from a comparative and policyoriented perspective. This framework is intended to outline the major patterns and models of decentralization and the theoretical assumptions regarding de-/re-centralization impacts, as well as pertinent cross-country approaches meant to evaluate and compare institutional reforms. It will also serve as an analytical guideline and a structural basis for all the country-related articles in this Special Issue. T3 - Zweitveröffentlichungen der Universität Potsdam : Wirtschafts- und Sozialwissenschaftliche Reihe - 91 KW - administrative reform KW - comparison KW - coordination KW - effectiveness KW - efficiency KW - impact assessment KW - institutional reform, KW - local government Y1 - 2018 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-405314 VL - 82 IS - 2 ER - TY - THES A1 - Gonzalez Camargo, Rodolfo T1 - Insulin resistance in cancer cachexia and metabolic syndrome BT - role of insulin activated macrophages and miRNA-21-5p N2 - The ever-increasing fat content in Western diet, combined with decreased levels of physical activity, greatly enhance the incidence of metabolic-related diseases. Cancer cachexia (CC) and Metabolic syndrome (MetS) are both multifactorial highly complex metabolism related syndromes, whose etiology is not fully understood, as the mechanisms underlying their development are not completely unveiled. Nevertheless, despite being considered “opposite sides”, MetS and CC share several common issues such as insulin resistance and low-grade inflammation. In these scenarios, tissue macrophages act as key players, due to their capacity to produce and release inflammatory mediators. One of the main features of MetS is hyperinsulinemia, which is generally associated with an attempt of the β-cell to compensate for diminished insulin sensitivity (insulin resistance). There is growing evidence that hyperinsulinemia per se may contribute to the development of insulin resistance, through the establishment of low grade inflammation in insulin responsive tissues, especially in the liver (as insulin is secreted by the pancreas into the portal circulation). The hypothesis of the present study was that insulin may itself provoke an inflammatory response culminating in diminished hepatic insulin sensitivity. To address this premise, firstly, human cell line U937 differentiated macrophages were exposed to insulin, LPS and PGE2. In these cells, insulin significantly augmented the gene expression of the pro-inflammatory mediators IL-1β, IL-8, CCL2, Oncostatin M (OSM) and microsomal prostaglandin E2 synthase (mPGES1), and of the anti-inflammatory mediator IL-10. Moreover, the synergism between insulin and LPS enhanced the induction provoked by LPS in IL-1β, IL-8, IL-6, CCL2 and TNF-α gene. When combined with PGE2, insulin enhanced the induction provoked by PGE2 in IL-1β, mPGES1 and COX2, and attenuated the inhibition induced by PGE2 in CCL2 and TNF-α gene expression contributing to an enhanced inflammatory response by both mechanisms. Supernatants of insulin-treated U937 macrophages reduced the insulin-dependent induction of glucokinase in hepatocytes by 50%. Cytokines contained in the supernatant of insulin-treated U937 macrophages also activated hepatocytes ERK1/2, resulting in inhibitory serine phosphorylation of the insulin receptor substrate. Additionally, the transcription factor STAT3 was activated by phosphorylation resulting in the induction of SOCS3, which is capable of interrupting the insulin receptor signal chain. MicroRNAs, non-coding RNAs linked to protein expression regulation, nowadays recognized as active players in the generation of several inflammatory disorders such as cancer and type II diabetes are also of interest. Considering that in cancer cachexia, patients are highly affected by insulin resistance and inflammation, control, non-cachectic and cachectic cancer patients were selected and the respective circulating levels of pro-inflammatory mediators and microRNA-21-5p, a posttranscriptional regulator of STAT3 expression, assessed and correlated. Cachectic patients circulating cytokines IL-6 and IL-8 levels were significantly higher than those of non-cachectic and controls, and the expression of microRNA-21-5p was significantly lower. Additionally, microRNA-21-5p reduced expression correlated negatively with IL-6 plasma levels. These results indicate that hyperinsulinemia per se might contribute to the low grade inflammation prevailing in MetS patients and thereby promote the development of insulin resistance particularly in the liver. Diminished MicroRNA-21-5p expression may enhance inflammation and STAT3 expression in cachectic patients, contributing to the development of insulin resistance. N2 - O teor de gordura cada vez maior na dieta ocidental, combinada com a diminuição dos níveis de atividade física têm marcadamente aumentado à incidência de doenças relacionas ao metabolismo. A caquexia associada ao câncer (CC) e a síndrome metabólica (SM) são síndromes de etiologia complexa e multifatorial, não totalmente compreendida, e com mecanismos subjacentes ao seu desenvolvimento não completamente revelados. No entanto, apesar de serem consideradas "lados opostos", a CC e a MetS apresentam várias características em comum, tais como resistência à insulina e inflamação de baixo grau, com macrófagos teciduais como importantes coadjuvantes, devido à sua capacidade de produzir e liberar mediadores inflamatórios, e microRNAs, descritos como RNAs não-codificantes ligados à regulação da expressão de proteínas e reconhecidos como participantes ativos na geração de várias doenças inflamatórias, tais como o câncer e diabetes tipo II. Uma das principais características da MetS é a hiperinsulinemia, que está geralmente associada com uma tentativa da célula β do pâncreas de compensar a diminuição da sensibilidade à insulina (resistência à insulina). Um número crescente de evidências sugere que a hiperinsulinemia “por si só”, pode contribuir com o desenvolvimento de resistência à insulina através do estabelecimento de um quadro inflamatório de baixo grau, em tecidos sensíveis a insulina, e em particular no fígado, devido ao fato da insulina ser secretada pelo pâncreas na circulação portal. A hipótese do presente estudo foi que a insulina pode induzir uma resposta inflamatória em macrófagos e culminar em diminuição da sensibilidade hepática à insulina. Para confirmar esta hipótese, primeiramente, macrófagos diferenciados da linhagem de células humanas U937 foram expostos à insulina, LPS e PGE2. Nestas células, a insulina aumentou significativamente a expressão gênica dos mediadores pró-inflamatórios IL-1β, IL- 8, CCL2, oncostatina M (OSM) e prostaglandina E2 sintase microssomal (mPGES1), e do mediador anti-inflamatório IL-10. Além disso, o sinergismo entre insulina e LPS aumentou a indução provocada por LPS nos genes da IL-1β, IL-8, IL-6, CCL2 e TNF-α. Quando combinado com PGE2, a insulina aumentou a indução provocada pela PGE2 nos genes da IL-1β, mPGES1 e COX2, e restaurou a inibição induzida pela PGE2 no gene CCL2 e TNF-α.Subsequentemente, sobrenadantes dos macrófagos U937 tratados com insulina modulou negativamente a sinalização da insulina em culturas primárias de hepatócitos de rato, como observado pela atenuação de 50% da indução dependente de insulina da enzima glicoquinase. Citocinas contidas no sobrenadante de macrófagos U937 tratados com insulina também ativaram em hepatócitos ERK1/2, resultando na fosforilação do resíduo de serina inibitório do substrato do receptor de insulina. Adicionalmente, o fator de transcrição STAT3 foi ativado por um elevado grau de fosforilação e a proteína SOCS3, capaz de interromper a via de sinalização do receptor de insulina, foi induzida. Considerando que na caquexia associada ao câncer, pacientes são altamente afetados pela resistência à insulina e inflamação, pacientes controle, não caquéticos e caquéticos foram seleccionados e os respectivos níveis circulantes de mediadores pró-inflamatórios e microRNA-21-5p, um regulador pós-transcricional da expressão de STAT3, avaliados e correlacionados. Pacientes caquéticos exibiram citocinas circulantes IL-6 e IL-8 significativamente maiores do que pacientes não caquéticos e controles, assim como a expressão de microRNA-21-5p significativamente diminuida. Além disso, a reduzida expressão de microRNA-21-5p correlaciona-se negativamente com níveis de IL-6 no plasma. Estes resultados indicam que a hiperinsulinemia pode, por si só contribuir para o desenvolvimento da inflamação de baixo grau prevalente em pacientes com excesso de peso e obesos e, assim, promover o desenvolvimento de resistência à insulina especialmente no fígado e o nível reduzido de miRNA-21-5p pode modular a inflamação e expressão de STAT3 em pacientes caquéticos, contribuindo para o desenvolvimento da resistência à insulina. N2 - Der stetig steigende Fettgehalt in westlicher Ernährung in Kombination mit reduzierter körperlicher Aktivität hat zu einem dramatischen Anstieg der Inzidenz metabolischer Erkrankungen geführt. Tumorkachexie (Cancer cachexia, CC) und Metabolisches Syndrom (MetS) sind sehr komplexe, multifaktorielle metabolische Erkrankungen, deren Ätiologie nicht vollständig verstanden ist. Die molekularen Ursachen, die zu diesen Symptomkomplexen führen, sind noch unzureichend aufgeklärt. Obwohl ihr äußeres Erscheinungsbild stark gegensätzlich ist, haben MetS und CC etliche Gemeinsamkeiten wie zum Beispiel Insulinresistenz und eine chronische unterschwellige Entzündung. Sowohl bei der Entstehung der Insulinresistenz als auch bei der chronischen Entzündung spielen Makrophagen eine Schlüsselrolle, weil sie in der Lage sind pro-inflammatorische Mediatoren zu produzieren und freizusetzen. Eine der hervorstechendsten Auffälligkeiten des MetS ist die Hyperinsulinämie, die durch den Versuch der β-Zelle, die verminderte Insulinsensitivität (Insulinresistenz) zu kompensieren, zustande kommt. Es gibt zunehmend Hinweise darauf, dass die Hyperinsulinämie selber an der Entzündungsentstehung in Insulin-abhängigen Geweben beteiligt ist und dadurch zur Entwicklung und Verstärkung der Insulinresistenz beitragen kann. Dies trifft besonders auf die Leber zu, weil hier die Insulinspiegel besonders hoch sind, da Insulin vom Pankreas direkt in den Pfortaderkeislauf gelangt. Daher wurde in dieser Arbeit die Hypothese geprüft, ob Insulin selber eine Entzündungsantwort auslösen und dadurch die hepatische Insulinsensitivität senken kann. Zu diesem Zweck wurde die humane Zelllinie U937 durch PMA-Behandlung zu Makrophagen differenziert und diese Makrophagen mit Insulin, LPS und PGE2 inkubiert. In diesen Zellen steigerte Insulin die Expression der pro-inflammatorischen Mediatoren IL-1β, IL-8, CCL2, Oncostatin M (OSM) signifikant und induzierte die mikrosomale PGE-Synthase 1 (mPGES1) ebenso wie das antiinflammatorische Cytokin IL-10. Ferner verstärkte Insulin die LPS-abhängige Induktion des IL-1β-, IL-8-, IL-6-, CCL2- und TNFα-Gens. Ebenso verstärkte Insulin die PGE2-abhängige Induktion von IL-1β, mPGES1 und COX2. Im Gegensatz dazu schwächte es die Hemmende Wirkung von PGE2 auf Expression von TNFα und CCL2 ab und trug so auf beide Weisen zu einer Verstärkung der Entzündungsantwort bei. Überstände von Insulin-behandelten U937 Makrophagen reduzierten die Insulin-abhängige Induktion der Glukokinase in Hepatocyten um 50%. Die Cytokine, die im Überstand Insulin-behandelter Makrophagen enthalten waren, aktivierten in Hepatocyten ERK1/2, was zu einer inhibitorischen Serin-Phosphorylierung der Insulin Rezeptor Substrats (IRS) führte. Zusätzlich führten die Cytokine zu einer Phosphorylierung und Aktivierung von STAT3 und einer dadurch bedingten Induktion von SOCS3, das seinerseits die Insulinrezeptor-Signalkette unterbrechen kann. MicroRNAs, nicht-codierende RNAs, die an der Regulation der Proteinexpression beteiligt sind und deren Beteiligung an der Regulation der Entzündungsantwort bei zahlreichen Erkrankungen, unter anderem Tumorerkrankungen und Typ II Diabetes gezeigt wurde, sind auch von Interesse. Unter dem Blickwinkel, dass Tumor-Kachexie Patienten sich durch eine Insulinresistenz und eine systemische Entzündung auszeichnen, wurden in nichtkachektische und tumorkachektische Patienten Plasmaspiegel von pro-inflammatorischen Mediatoren und der microRNA-21-5p bestimmt, von der bekannt ist, dass sie ein posttranskriptioneller Regulator der STAT3 Expression ist. Die Spiegel der proinflammatorischen Mediatoren und der miRNA-21-5p wurden korreliert. In kachektischen Patienten waren die Spiegel der Cytokine IL-6 und IL-8 signifikant höher, die der miRNA-21- 5p signifikant niedriger als in nicht-kachektischen Patienten. Die Plasma IL-6-Spiegel korrelierten negativ mit den miRNA21-5p Spiegeln. Insgesamt zeigen die Ergebnisse, dass eine Hyperinsulinämie selber zu der Entwicklung einer unterschwellingen Entzündung, wie sie in Patienten mit einem MetS vorherrscht, beitragen, und dadurch besonders in der Leber eine Insulinresistenz auslösen oder verstärken kann. Eine verringerte Expression der MicroRNA-21-5p kann in kachektischen Patienten die Entzündungsantwort, im Speziellen die STAT3 Expression, verstärken und dadurch zur Entwicklung einer Insulinresistenz beitragen KW - cachexia KW - metabolic syndrome KW - inflammation KW - insulin resistance KW - microRNAs KW - insulin KW - liver KW - macrophages KW - caquexia KW - síndrome metabólica KW - inflamação KW - resistência à insulina KW - microRNAs KW - insulina KW - fígado KW - macrófagos KW - Kachexie KW - metabolisches Syndrom KW - Entzündung KW - Insulinresistenz KW - MicroRNAs KW - Insulin KW - Leber KW - Makrophagen Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-100973 ER - TY - THES A1 - Mueller, Stefanie T1 - Interacting with personal fabrication devices T1 - Interaktion mit Personal Fabrication Geräten N2 - Personal fabrication tools, such as 3D printers, are on the way of enabling a future in which non-technical users will be able to create custom objects. However, while the hardware is there, the current interaction model behind existing design tools is not suitable for non-technical users. Today, 3D printers are operated by fabricating the object in one go, which tends to take overnight due to the slow 3D printing technology. Consequently, the current interaction model requires users to think carefully before printing as every mistake may imply another overnight print. Planning every step ahead, however, is not feasible for non-technical users as they lack the experience to reason about the consequences of their design decisions. In this dissertation, we propose changing the interaction model around personal fabrication tools to better serve this user group. We draw inspiration from personal computing and argue that the evolution of personal fabrication may resemble the evolution of personal computing: Computing started with machines that executed a program in one go before returning the result to the user. By decreasing the interaction unit to single requests, turn-taking systems such as the command line evolved, which provided users with feedback after every input. Finally, with the introduction of direct-manipulation interfaces, users continuously interacted with a program receiving feedback about every action in real-time. In this dissertation, we explore whether these interaction concepts can be applied to personal fabrication as well. We start with fabricating an object in one go and investigate how to tighten the feedback-cycle on an object-level: We contribute a method called low-fidelity fabrication, which saves up to 90% fabrication time by creating objects as fast low-fidelity previews, which are sufficient to evaluate key design aspects. Depending on what is currently being tested, we propose different conversions that enable users to focus on different parts: faBrickator allows for a modular design in the early stages of prototyping; when users move on WirePrint allows quickly testing an object's shape, while Platener allows testing an object's technical function. We present an interactive editor for each technique and explain the underlying conversion algorithms. By interacting on smaller units, such as a single element of an object, we explore what it means to transition from systems that fabricate objects in one go to turn-taking systems. We start with a 2D system called constructable: Users draw with a laser pointer onto the workpiece inside a laser cutter. The drawing is captured with an overhead camera. As soon as the the user finishes drawing an element, such as a line, the constructable system beautifies the path and cuts it--resulting in physical output after every editing step. We extend constructable towards 3D editing by developing a novel laser-cutting technique for 3D objects called LaserOrigami that works by heating up the workpiece with the defocused laser until the material becomes compliant and bends down under gravity. While constructable and LaserOrigami allow for fast physical feedback, the interaction is still best described as turn-taking since it consists of two discrete steps: users first create an input and afterwards the system provides physical output. By decreasing the interaction unit even further to a single feature, we can achieve real-time physical feedback: Input by the user and output by the fabrication device are so tightly coupled that no visible lag exists. This allows us to explore what it means to transition from turn-taking interfaces, which only allow exploring one option at a time, to direct manipulation interfaces with real-time physical feedback, which allow users to explore the entire space of options continuously with a single interaction. We present a system called FormFab, which allows for such direct control. FormFab is based on the same principle as LaserOrigami: It uses a workpiece that when warmed up becomes compliant and can be reshaped. However, FormFab achieves the reshaping not based on gravity, but through a pneumatic system that users can control interactively. As users interact, they see the shape change in real-time. We conclude this dissertation by extrapolating the current evolution into a future in which large numbers of people use the new technology to create objects. We see two additional challenges on the horizon: sustainability and intellectual property. We investigate sustainability by demonstrating how to print less and instead patch physical objects. We explore questions around intellectual property with a system called Scotty that transfers objects without creating duplicates, thereby preserving the designer's copyright. N2 - Personal Fabrication Geräte, wie zum Beispiel 3D Drucker, sind dabei eine Zukunft zu ermöglichen in der selbst Benutzer ohne technisches Fachwissen eigene Objekte erstellen können. Obwohl die Hardware nun verfügbar ist, gibt es derzeit kein geeignetes Interaktionsmodel für Benutzer ohne Fachwissen. Heutzutage werden Objekte mit dem 3D Drucker in einem Stück hergestellt. Da der 3D Druck noch ein sehr langsames Verfahren ist und häufig so lange dauert, dass das Objekt über Nacht hergestellt werden muss, müssen Benutzer sorgfältig alles überprüfen bevor sie den Druckauftrag abschicken, da jeder Fehler einen weiteren Tag Wartezeit bedeuten kann. Benutzer ohne technischen Hintergrund haben jedoch nicht das notwendige Fachwissen um alle Faktoren vorhersagen zu können. In dieser Dissertation schlagen wir vor das Interaktionsmodel von Personal Fabrication Geräten zu ändern, um diese Benutzer besser zu unterstützen. Wir argumentieren, dass die Entwicklung von Personal Fabrication Geräten der Entwicklung von Personal Computern gleicht. Die ersten Computer arbeiteten ein Programm vollständig ab, bevor sie ein Ergebnis an den Benutzer zurückgaben. Durch die Verkleinerung der Interaktionseinheit von ganzen Programmen zu einzelnen Anfragen wurden turn-taking Systeme wie die Kommandozeile möglich. Mit der Einführung von direkter Manipulation konnten Benutzer schließlich kontinuierlich mit dem Program arbeiten: sie erhielten Feedback über jede einzelne Interaktion in Echtzeit. Wir untersuchen in dieser Arbeit ob die gleichen Interaktionskonzepte auf Personal Fabrication Geräte angewendet werden können. Wir beginnen diese Arbeit damit zu untersuchen wie man die Feedbackzeit bei der Interaktion mit ganzen Objekten verkürzen kann. Wir präsentieren eine Methode mit dem Namen Low-fidelity Fabrication, die bis zu 90% Druckzeit spart. Low-fidelity fabrication ist schnell, weil es 3D Modelle als grobe Vorschauobjekte druckt, die aber ausreichen um die Aspekte zu testen, die gerade wichtig sind. Abhängig vom aktuellen Testfokus schlagen wir vor verschiedene Konvertierungen vorzunehmen: Unser System faBrickator ist besonders für die ersten Testläufe geeignet, wenn ein modulares Design wichtig ist. Unser System WirePrint ist besonders nützlich im nächsten Schritt, wenn die Form des Objektes erhalten bleiben soll. Am Ende erlaubt unser System Platener ein Objekt so zu konvertieren, dass die technische Funktion des Objektes bewahrt wird. Wir erklären das Design unserer interaktiven Editoren und die zugrunde liegenden Konvertierungsalgorithmen. Durch die Verkleinerung der Interaktionseinheit auf ein einzelnes Element, wie zum Beispiel einer Linie, untersuchen wir wie man Objekt-basierte Fabrikationssysteme in turn-taking Systeme umwandeln kann. Wir zeigen unser 2D System constructable, das auf einem Laser-Cutter basiert. Benutzer von constructable verwenden einen Laserpointer um auf das Werkstück im Laser-Cutter zu zeichnen. Die Zeichnung wird mit einer Kamera aufgenommen, korrigiert, und anschließend direkt mit dem Laser-Cutter ausgeschnitten. Wir erweitern constructable zu 3D mit unserer neuen Laser-Cutter Technologie Laser-Origami. LaserOrigami erzeugt 3D Objekte, indem es mit dem defokussierten Laser das Werkstück erhitzt bis es verformbar wird, die Schwerkraft biegt das Werkstück anschließend in seine 3D Form. Obwohl constructable und LaserOrigami physisches Feedback schnell erzeugen, ist die Interaktion dennoch am besten als turn-taking zu beschreiben: Benutzer editieren zuerst und sehen danach das Ergebnis. Indem wir die Interaktionseinheit noch einmal verkleinern, nun auf ein einziges Feature, können wir Echtzeitfabrikation erreichen: Benutzereingabe und physisches Feedback sind so eng miteinander verbunden, dass es keine sichtbare Verzögerung mehr gibt. Damit können wir untersuchen, was es bedeutet von turn-taking Systemen zu direkter Manipulation überzugehen. Wir zeigen ein System mit dem Namen FormFab, das solch eine direkte interaktive Kontrolle ermöglicht. FormFab basiert auf dem gleichen Prinzip wie LaserOrigami: Ein Werkstück wird erhitzt bis es verformbar wird. Allerdings verwendet FormFab nicht die Schwerkraft zum verformen, sondern ein pneumatisches System, das Benutzer interaktiv steuern können. Wenn Benutzer den Luftdruck ändern, sehen sie wie sich die Größe der Form in Echtzeit ändert. Dies erlaubt ihnen die beste Entscheidung zu treffen während sie verschiedene Optionen evaluieren. Im letzten Kapitel dieser Dissertation extrapolieren wir die aktuelle Entwicklung in eine Zukunft in der eine große Anzahl von Personen eigene Objekte herstellen werden. Dabei entstehen zwei neue Herausforderungen: Nachhaltigkeit und das Bewahren von intellektuellem Eigentum. KW - human computer interaction KW - 3D printing KW - 3D Drucken KW - Laser Cutten KW - Interaktionsmodel Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-100908 ER - TY - GEN A1 - Krause, Florian A1 - Bekkering, Harold A1 - Pratt, Jay A1 - Lindemann, Oliver T1 - Interaction between numbers and size during visual search T2 - Postprints der Universität Potsdam : Humanwissenschaftliche Reihe N2 - The current study investigates an interaction between numbers and physical size (i.e. size congruity) in visual search. In three experiments, participants had to detect a physically large (or small) target item among physically small (or large) distractors in a search task comprising single-digit numbers. The relative numerical size of the digits was varied, such that the target item was either among the numerically large or small numbers in the search display and the relation between numerical and physical size was either congruent or incongruent. Perceptual differences of the stimuli were controlled by a condition in which participants had to search for a differently coloured target item with the same physical size and by the usage of LCD-style numbers that were matched in visual similarity by shape transformations. The results of all three experiments consistently revealed that detecting a physically large target item is significantly faster when the numerical size of the target item is large as well (congruent), compared to when it is small (incongruent). This novel finding of a size congruity effect in visual search demonstrates an interaction between numerical and physical size in an experimental setting beyond typically used binary comparison tasks, and provides important new evidence for the notion of shared cognitive codes for numbers and sensorimotor magnitudes. Theoretical consequences for recent models on attention, magnitude representation and their interactions are discussed. T3 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe - 623 KW - visual search KW - congruity effect KW - physical size KW - small target KW - semantic distance Y1 - 2020 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-435442 SN - 1866-8364 IS - 623 SP - 664 EP - 677 ER - TY - THES A1 - Käthner, Jana T1 - Interaction of spatial variability characterized by soil electrical conductivity and plant water status related to generative growth of fruit trees T1 - Interaktion der räumlichen Variabilität der scheinbaren elektrischen Leitfähigkeit des Bodens und des Pflanzenwasserzustandes auf das generative Wachstum von Obstbäumen N2 - Precision horticulture beschreibt ein neues Bewirtschaftungskonzept im Gartenbau, bei dem teilflächenspezifisch oder an den Einzelbaum angepasste Maßnahmen eine ressourcenschonende, intensitve Produktion ermöglichen. Die Datengrundlage wird aus räumlich aufgelösten Messungen aus der Produktionsanlage gewonnen, wobei sowohl kurzfristige Faktoren wie der effektive Pflanzenwasserzustand als auch langfristige Faktoren wie die Bodenvariabilität zur Informationsgewinnung genutzt werden können. Die vorliegende Arbeit umfasst eine Untersuchung der scheinbaren elektrischen Leitfähigkeit des Bodens (ECa), des Pflanzenwasserzustandes und der Fruchtqualität (zum Beispiel: Fruchtgröße) bei Prunus domestica L. (Pflaume) und Citrus x aurantium, Syn. Citrus paradisi (Grapefruit). Zielsetzungen der vorliegenden Arbeit waren (i) die Charakterisierung der 3D-Verteilung der scheinbaren elektrischen Leitfähigkeit des Bodens und Variabilität des Pflanzenwasserzustandes; (ii) die Untersuchung der Interaktion zwischen ECa, kumulativer Wassernutzungseffizienz (WUEc) und des crop water stress index (CWSI) bezogen auf die Fruchtqualität sowie (iii) eine Möglichkeit zur Einteilung von einzelnen Bäumen hinsichtlich der Bewässerung. Dazu fanden die Hauptuntersuchungen in der Pflaumenanlage statt. Diese Obstanlage befindet sich in Hanglage (3°) auf pleistozänen und postpleistozänen Substraten in semi-humiden Klima (Potsdam, Deutschland) und umfasst eine Fläche von 0,37 ha mit 156 Bäumen der Kultursorte ˈTophit Plusˈ auf der Unterlage Wavit. Die Anlage wurde 2009 mit ein und zwei-jährigen Bäumen in einem Pflanzabstand von 4 m entlang der Bewässerung und 5 m zwischen den Reihen angelegt. Dreimal pro Woche wurden die Bäume mit einer 50 cm über dem Boden installierten Tröpfchenbewässerung mit 1,6 l pro Baum bewässert. Mit Hilfe geoelektrischer Messungen wurde die scheinbare elektrische Leitfähigkeit des Oberbodens (0,25 m) mit einem Elektrodenabstand von 0,5 m (4-point light hp) an jedem Baum gemessen. Dadurch wurde die Anlage hinsichtlich ECa räumlich charakterisiert. Zusätzlich erfolgten Tomographiemessungen zur 3D-Charakterisierung der ECa und punktuell die Beprobung von Bohrlochprofilen bis 1 m Tiefe. Die vegetativen, generativen und Fruchtqualitätsdaten wurden an jedem Baum erhoben. Der momentane Pflanzenwasserzustand wurde mit der etablierten Scholander-Methode zur Wasserpotentialanalyse (Scholander Bombe) punktuell und mit Thermalaufnahmen flächendeckend bestimmt. Die Thermalaufnahmen erfolgten mit einer Infrarot-Kamera (ThermaCam SC 500), die auf einem Traktor in 3,3 m Höhe über dem Boden montiert war. Die Thermalaufnahmen (320 x 240 Pixel) der Kronenoberfläche wurden mit einem Öffnungswinkel von 45° und einer geometrischen Auflösung von 6,41 mm x 8,54 mm aufgenommen. Mit Hilfe der Kronentemperatur aus den Thermalbildern und den Temperaturen eines nassen und trockenen Referenzblattes wurde der CWSI berechnet. Es wurde die Anpassung des CWSI für die Messung in semi-humidem Klima erarbeitet, wobei die Erhebung der Referenztemperaturen automatisiert aus den Thermalbildern erfolgte. Die Boniturdaten wurden mit Hilfe eines Varianz-Stabilisierungsverfahrens in eine Normalverteilung transformiert. Die statistischen Analysen sowie die automatisierte Auswertungsroutine erfolgten mit eigenen Skripten in MATLAB® (R2010b sowie R2016a) und einem freien Programm (spatialtoolbox). Die Hot-spot Analysen dienten der Prüfung, ob ein beobachtetes Muster statistisch signifikant ist. Evaluiert wurde die Methode mit der etablierten k-mean Analyse. Zum Testen der Hot-spot Analyse wurden ECa, Stammumfang und Ertrag Daten aus einer Grapefruitanlage (Adana, Türkei) mit 179 Bäumen auf einem Boden vom Typ Xerofkuvent mit toniger und tonig-lehmiger Textur herangezogen. Die Überprüfung der Interaktion zwischen den kritischen Werten aus den Boden- und Pflanzenwasserzustandsinformationen zu den vegetativen und generativen Pflanzenwachtumsvariablen erfolgte durch die Anwendung der ANOVA und die Ermittlung des Korrelationskoeffizienten. In der Arbeit konnte gezeigt werden, dass die Variabilität der Boden- und Pflanzeninformationen in Obstanlagen auch kleinräumig hoch ist. Es konnte gezeigt werden, dass die räumlich gefundenen Muster in den ECa über die Jahre zwischen 2011-2012 (r = 0.88) beziehungsweise 2012-2013 (r = 0.71) stabil geblieben sind. Zum anderen wurde gezeigt, dass eine CWSI-Bestimmung auch im semi-humiden Klima möglich ist. Es wurde ein Zusammenhang (r = - 0.65, p < 0.0001) mit der etablierten Methode der Blattwasser-potentialanalyse ermittelt. Die Interaktion zwischen der ECa aus verschiedenen Tiefen und den Pflanzenvariablen ergab einen hoch signifikanten Zusammenhang mit dem Oberboden, in dem das Bewässerungswasser zu finden war. Es wurde eine Korrelation zwischen Ertrag und ECatopsoil von r = 0.52 ermittelt. Durch die Anwendung der Hot-spot Analyse konnten Extremwerte in den räumlichen Daten ermittelt werden. Diese Extrema dienten zur Einteilung der Zonen in cold-spot, random und hot-spot. Die random Zone weist die höchsten Korrelationen zu den Pflanzenvariablen auf. Ferner konnte gezeigt werden, dass bereits im semi-humiden Klima der Pflanzenwasserstatus entscheidend zur Fruchtqualität beiträgt. Zusammenfassend lässt sich sagen, dass die räumliche Variabilität der Fruchtqualität durch die Interaktion von Wassernutzungseffizienz und CWSI sowie in geringerem Maße durch den ECa des Bodens. In der Pflaumenanlage im semi-humiden Klima war die Bewässerung ausschlaggebend für die Produktion von qualitativ hochwertigen Früchten. N2 - Precision horticulture encompasses site- or tree-specific management in fruit plantations. Of decisive importance is spatially resolved data (this means data from each tree) from the production site, since it may enable customized and, therefore, resource-efficient production measures. The present thesis involves an examination of the apparent electrical conductivity of the soil (ECa), the plant water status spatially measured by means of the crop water stress index (CWSI), and the fruit quality (e.g. fruit size) for Prunus domestica L. (plums) and Citrus x aurantium, Syn. Citrus paradisi (grapefruit). The goals of the present work were i) characterization of the 3D distribution of the apparent electrical conductivity of the soil and variability of the plant’s water status; ii) investigation of the interaction between ECa, CWSI, and fruit quality; and iii) an approach for delineating management zones with respect to managing trees individually. To that end, the main investigations took place in the plum orchard. This plantation got a slope of 3° grade on Pleistocene and post-Pleistocene substrates in a semi-humid climate (Potsdam, Germany) and encloses an area of 0.37 ha with 156 trees of the cultivar ˈTophit Plusˈ on a Wavit rootstock. The plantation was laid in 2009 with annual and biannual trees spaced 4 m distance along the irrigation system and 5 m between the rows. The trees were watered three times a week with a drip irrigation system positioned 50 cm above ground level providing 1.6 l per tree per event. With the help of geoelectric measurements, the apparent electrical conductivity of the upper soil (0.25 m) was measured for each tree with an electrode spacing of 0.5 m (4-point light hp). In this manner, the plantation was spatially charted with respect to the soil’s ECa. Additionally, tomography measurements were performed for 3D mapping of the soil ECa and spot checks of drilled cores with a profile of up to 1 m. The vegetative, generative, and fruit quality data were collected for each tree. The instantaneous plant water status was comprehensively determined in spot checks with the established Scholander method for water potential analysis (Scholander pressure bomb) as well as thermal imaging. An infrared camera was used for the thermal imaging (ThermaCam SC 500), mounted on a tractor 3.3 m above ground level. The thermal images (320 x 240 px) of the canopy surface were taken with an aperture of 45° and a geometric resolution of 8.54 x 6.41 mm. With the aid of the canopy temperature readings from the thermal images, cross-checked with manual temperature measurements of a dry and a wet reference leaf, the crop water stress index (CWSI) was calculated. Adjustments in CWSI for measurements in a semi-humid climate were developed, whereas the collection of reference temperatures was automatically collected from thermal images. The bonitur data were transformed with the help of a variance stabilization process into a normal distribution. The statistical analyses as well as the automatic evaluation routine were performed with several scripts in MATLAB® (R2010b and R2016a) and a free program (spatialtoolbox). The hot spot analysis served to check whether an observed pattern is statistically significant. The method was evaluated with an established k-mean analysis. To test the hot-spot analysis by comparison, data from a grapefruit plantation (Adana, Turkey) was collected, including soil ECa, trunk circumference, and yield data. The plantation had 179 trees on a soil of type Xerofkuvent with clay and clay-loamy texture. The examination of the interaction between the critical values from the soil and plant water status information and the vegetative and generative plant growth variables was performed with the application from ANOVA. The study indicates that the variability of the soil and plant information in fruit production is high, even considering small orchards. It was further indicated that the spatial patterns found in the soil ECa stayed constant through the years (r = 0.88 in 2011-2012 and r = 0.71 in 2012-2013). It was also demonstrated that CWSI determination may also be possible in semi-humid climate. A correlation (r = - 0.65, p < 0.0001) with the established method of leaf water potential analysis was found. The interaction between the ECa from various depths and the plant variables produced a highly significant connection with the topsoil in which the irrigation system was to be found. A correlation between yield and ECatopsoil of r = 0.52 was determined. By using the hot-spot analysis, extreme values in the spatial data could be determined. These extremes served to divide the zones (cold-spot, random, hot-spot). The random zone showed the highest correlation to the plant variables. In summary it may be said that the cumulative water use efficiency (WUEc) was enhanced with high crop load. While the CWSI had no effect on fruit quality, the interaction of CWSI and WUEc even outweighed the impact of soil ECa on fruit quality in the production system with irrigation. In the plum orchard, irrigation was relevant for obtaining high quality produce even in the semi-humid climate. KW - precision horticulture KW - plum KW - tree water status KW - spatial variability KW - Präzision Gartenbau KW - Pflaume KW - Pflanzenwasserzustand KW - räumliche Variabilität Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-397666 ER - TY - GEN A1 - Zurnic, Irena A1 - Hütter, Sylvia A1 - Rzeha, Ute A1 - Stanke, Nicole A1 - Reh, Juliane A1 - Müllers, Erik A1 - Hamann, Martin V. A1 - Kern, Tobias A1 - Gerresheim, Gesche K. A1 - Lindel, Fabian A1 - Serrao, Erik A1 - Lesbats, Paul A1 - Engelman, Alan N. A1 - Cherepanov, Peter A1 - Lindemann, Dirk T1 - Interactions of prototype foamy virus capsids with host cell polo-like kinases are important for efficient viral DNA integration T2 - Postprints der Universität Potsdam : Mathematisch Naturwissenschaftliche Reihe N2 - Unlike for other retroviruses, only a few host cell factors that aid the replication of foamy viruses (FVs) via interaction with viral structural components are known. Using a yeast-two-hybrid (Y2H) screen with prototype FV (PFV) Gag protein as bait we identified human polo-like kinase 2 (hPLK2), a member of cell cycle regulatory kinases, as a new interactor of PFV capsids. Further Y2H studies confirmed interaction of PFV Gag with several PLKs of both human and rat origin. A consensus Ser-Thr/Ser-Pro (S-T/S-P) motif in Gag, which is conserved among primate FVs and phosphorylated in PFV virions, was essential for recognition by PLKs. In the case of rat PLK2, functional kinase and polo-box domains were required for interaction with PFV Gag. Fluorescently-tagged PFV Gag, through its chromatin tethering function, selectively relocalized ectopically expressed eGFP-tagged PLK proteins to mitotic chromosomes in a Gag STP motif-dependent manner, confirming a specific and dominant nature of the Gag-PLK interaction in mammalian cells. The functional relevance of the Gag-PLK interaction was examined in the context of replication-competent FVs and single-round PFV vectors. Although STP motif mutated viruses displayed wild type (wt) particle release, RNA packaging and intra-particle reverse transcription, their replication capacity was decreased 3-fold in single-cycle infections, and up to 20-fold in spreading infections over an extended time period. Strikingly similar defects were observed when cells infected with single-round wt Gag PFV vectors were treated with a pan PLK inhibitor. Analysis of entry kinetics of the mutant viruses indicated a post-fusion defect resulting in delayed and reduced integration, which was accompanied with an enhanced preference to integrate into heterochromatin. We conclude that interaction between PFV Gag and cellular PLK proteins is important for early replication steps of PFV within host cells. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 580 KW - core protein KW - HIV-1 infection KW - retroviral integration KW - reverse transcription KW - nuclear-localization KW - box domain KW - in-vivo KW - Gag KW - PLK1 KW - phosphorylation Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-411317 SN - 1866-8372 IS - 580 ER - TY - GEN A1 - Ghosh, Surya K. A1 - Cherstvy, Andrey G. A1 - Petrov, Eugene P. A1 - Metzler, Ralf T1 - Interactions of rod-like particles on responsive elastic sheets N2 - What are the physical laws of the mutual interactions of objects bound to cell membranes, such as various membrane proteins or elongated virus particles? To rationalise this, we here investigate by extensive computer simulations mutual interactions of rod-like particles adsorbed on the surface of responsive elastic two-dimensional sheets. Specifically, we quantify sheet deformations as a response to adhesion of such filamentous particles. We demonstrate that tip-to-tip contacts of rods are favoured for relatively soft sheets, while side-by-side contacts are preferred for stiffer elastic substrates. These attractive orientation-dependent substrate-mediated interactions between the rod-like particles on responsive sheets can drive their aggregation and self-assembly. The optimal orientation of the membrane-bound rods is established via responding to the elastic energy profiles created around the particles. We unveil the phase diagramme of attractive–repulsive rod–rod interactions in the plane of their separation and mutual orientation. Applications of our results to other systems featuring membrane-associated particles are also discussed. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 256 Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-95882 ER - TY - THES A1 - Mey, Jürgen T1 - Intermontane valley fills T1 - Intermontane Talverfüllungen BT - recorders of climate, tectonics and landscape evolution BT - Zeugen von Klima, Tektonik und Landschaftsentwicklung N2 - Sedimentary valley fills are a widespread characteristic of mountain belts around the world. They transiently store material over time spans ranging from thousands to millions of years and therefore play an important role in modulating the sediment flux from the orogen to the foreland and to oceanic depocenters. In most cases, their formation can be attributed to specific fluvial conditions, which are closely related to climatic and tectonic processes. Hence, valley-fill deposits constitute valuable archives that offer fundamental insight into landscape evolution, and their study may help to assess the impact of future climate change on sediment dynamics. In this thesis I analyzed intermontane valley-fill deposits to constrain different aspects of the climatic and tectonic history of mountain belts over multiple timescales. First, I developed a method to estimate the thickness distribution of valley fills using artificial neural networks (ANNs). Based on the assumption of geometrical similarity between exposed and buried parts of the landscape, this novel and highly automated technique allows reconstructing fill thickness and bedrock topography on the scale of catchments to entire mountain belts. Second, I used the new method for estimating the spatial distribution of post-glacial sediments that are stored in the entire European Alps. A comparison with data from exploratory drillings and from geophysical surveys revealed that the model reproduces the measurements with a root mean squared error (RMSE) of 70m and a coefficient of determination (R2) of 0.81. I used the derived sediment thickness estimates in combination with a model of the Last Glacial Maximum (LGM) icecap to infer the lithospheric response to deglaciation, erosion and deposition, and deduce their relative contribution to the present-day rock-uplift rate. For a range of different lithospheric and upper mantle-material properties, the results suggest that the long-wavelength uplift signal can be explained by glacial isostatic adjustment with a small erosional contribution and a substantial but localized tectonic component exceeding 50% in parts of the Eastern Alps and in the Swiss Rhône Valley. Furthermore, this study reveals the particular importance of deconvolving the potential components of rock uplift when interpreting recent movements along active orogens and how this can be used to constrain physical properties of the Earth’s interior. In a third study, I used the ANN approach to estimate the sediment thickness of alluviated reaches of the Yarlung Tsangpo River, upstream of the rapidly uplifting Namche Barwa massif. This allowed my colleagues and me to reconstruct the ancient river profile of the Yarlung Tsangpo, and to show that in the past, the river had already been deeply incised into the eastern margin of the Tibetan Plateau. Dating of basal sediments from drill cores that reached the paleo-river bed to 2–2.5 Ma are consistent with mineral cooling ages from the Namche Barwa massif, which indicate initiation of rapid uplift at ~4 Ma. Hence, formation of the Tsangpo gorge and aggradation of the voluminous valley fill was most probably a consequence of rapid uplift of the Namche Barwa massif and thus tectonic activity. The fourth and last study focuses on the interaction of fluvial and glacial processes at the southeastern edge of the Karakoram. Paleo-ice-extent indicators and remnants of a more than 400-m-thick fluvio-lacustrine valley fill point to blockage of the Shyok River, a main tributary of the upper Indus, by the Siachen Glacier, which is the largest glacier in the Karakoram Range. Field observations and 10Be exposure dating attest to a period of recurring lake formation and outburst flooding during the penultimate glaciation prior to ~110 ka. The interaction of Rivers and Glaciers all along the Karakorum is considered a key factor in landscape evolution and presumably promoted headward erosion of the Indus-Shyok drainage system into the western margin of the Tibetan Plateau. The results of this thesis highlight the strong influence of glaciation and tectonics on valley-fill formation and how this has affected the evolution of different mountain belts. In the Alps valley-fill deposition influenced the magnitude and pattern of rock uplift since ice retreat approximately 17,000 years ago. Conversely, the analyzed valley fills in the Himalaya are much older and reflect environmental conditions that prevailed at ~110 ka and ~2.5 Ma, respectively. Thus, the newly developed method has proven useful for inferring the role of sedimentary valley-fill deposits in landscape evolution on timescales ranging from 1,000 to 10,000,000 years. N2 - Sedimentäre Talverfüllungen sind ein häufiges Merkmal von Gebirgen auf der ganzen Welt. Sie speichern Abtragungsprodukte über Zeiträume von Tausenden bis Millionen von Jahren und beeinflussen den Sedimenttransport vom Gebirge in das Vorland und in die ozeanischen Becken. Die Bildung solcher Sedimentspeicher geht oft auf Zustände im fluvialen System zurück, welche mit bestimmten klimatischen und tektonischen Prozessen in Verbindung gebracht werden können. Talverfüllungen stellen daher wertvolle Archive dar, die über fundamentale Zusammenhänge in der Landschaftsgenese Aufschluss geben und deren Untersuchung dazu beiträgt, die Auswirkungen des Klimawandels auf die Sedimentdynamik im Gebirge zu prognostizieren. In dieser Arbeit untersuchte ich intermontane Talverfüllungen, um die klimatische und tektonische Geschichte von Gebirgszügen über mehrere Zeitskalen hinweg zu ermitteln. Zuerst entwickelte ich eine Methode zur Abschätzung von Sedimentmächtigkeiten mit Hilfe von künstlichen neuralen Netzen, die auf der Annahme basiert, dass sich die zugeschütteten und die freiliegenden Bereiche der Landschaft geometrisch ähneln. Diese neuartige und hochautomatisierte Methode macht es möglich, Sedimentmächtigkeiten und Untergrundtopographien für einzelne Einzugsgebiete bis hin zu ganzen Gebirgen abzuschätzen. Als zweites benutzte ich die neue Methode, um die Mächtigkeitsverteilung der postglazialen Sedimentspeicher in den Europäischen Alpen zu rekonstruieren. Ein Vergleich mit Daten aus Bohrlochmessungen und geophysikalischen Explorationen zeigte, dass das Modell die gemessenen Mächtigkeiten mit einem quadratischen Mittelwert des Fehlers (RMSE) von 70m und einem Bestimmtheitsmaß (R2) von 0.81 reproduziert. Ich verwendete diese Sedimentverteilung in Kombination mit einem Modell der alpinen Eiskappe des letzten glazialen Maximums (LGM), um die Reaktion der Lithosphäre auf Abschmelzen, Erosion und Ablagerung zu berechnen und deren Beiträge zur derzeitigen Gesteinshebung abzuleiten. Unter Berücksichtigung einer Reihe verschiedener Eigenschaften der Lithosphäre und des oberen Erdmantels zeigten die Resultate, dass das langwellige Hebungsmuster im Wesentlichen durch Glazialisostasie erklärt werden kann und dass die Entlastung durch Erosion eine untergeordnete Rolle spielt. Darüber hinaus postulierte ich eine tektonische Komponente von über 50% in Teilen der Ostalpen und im Schweizer Rhône Tal. Die Studie verdeutlicht, dass die Entflechtung der Prozesse, die zur Gesteinshebung beitragen, eine entscheidende Rolle spielt bei der Interpretation rezenter Bewegungen entlang aktiver Orogene und bei der Abschätzung von physikalischen Eigenschaften des Erdinneren. Im dritten Teil berechnete ich die Mächtigkeitsverteilung der sedimentären Talverfüllung des Yarlung Tsangpo Tales oberhalb des Namche Barwa Massivs am östlichen Rand des Tibet Plateaus. Dies ermöglichte meinen Kollegen und mir das ehemalige Flusslängsprofil zu rekonstruieren und zu zeigen, dass sich der Yarlung Tsangpo in der Vergangenheit bereits tief in den östlichen Rand des Tibet Plateaus einschnitt. Die Basis der Sedimente wurde erbohrt und beprobt und deren Ablagerung auf 2–2.5 Ma datiert was konsistent mit Abkühlungsaltern von Mineralen des Namche Barwa Massivs ist, die auf den Beginn einer beschleunigten Hebung vor ~4 Ma hindeuten. Dies führte zu der Schlussfolgerung, dass die Bildung der Tsangpo Schlucht und die Aggradation der Talsedimente höchstwahrscheinlich in Folge der schnellen Hebung des Namche Barwa Massivs geschah, welche letztendlich auf tektonische Aktivität zurück geht. Der vierte und letzte Teil behandelt die Interaktion fluvialer und glazialer Prozesse am südöstlichen Rand des Karakorums. Indikatoren für die frühere Eisausdehnung und die Überreste einer bis zu 400m mächtigen fluvio-lakustrinen Talverfüllung weisen auf eine Blockade des Shyok, eines Hauptzuflusses es Oberen Indus, durch den Siachen Gletscher, den größten Gletscher des Karakorums, hin. Weitere Geländebefunde und Oberflächendatierungen mittels kosmogenem 10Be bezeugen, dass es während des vorletzten Glaziales zu einem mehrfachen Aufstauen des Shyok und damit assoziierten Seeausbrüchen gekommen ist. Das Zusammenwirken von Flüssen und Gletschern entlang des Karakorums war maßgeblich für die Landschaftsentwicklung und führte möglicherweise zum Einschneiden von Tälern in den westlichen Rand des Tibet Plateaus. Die vorliegende Arbeit unterstreicht die Bedeutung von Vergletscherung und Tektonik bei der Bildung von intermontanen Sedimentspeichern und deren Einwirken auf die Entwicklung zweier Gebirge. In den Alpen beeinflusst die Ablagerung von Talfüllungen die Raten und das Muster der Gesteinshebung seit Rückzug des Eises vor ca. 17,000 Jahren. Demgegenüber sind die in dieser Arbeit betrachteten Talfüllungen des Himalayas weit älter und geben Aufschluss über die Umweltbedingungen vor jeweils 110 ka und 2.5 Ma. Es zeigt sich, dass die neue Methode zur Abschätzung von Mächtigkeiten und Volumina intermontaner Talverfüllungen dazu beiträgt, die Landschaftsentwicklung über Zeiträume von 1,000 bis 10,000,000 Jahren zu rekonstruieren. KW - intermontane valley fill KW - sediment thickness KW - bedrock elevation KW - artificial neural networks KW - sediment volume KW - landscape evolution KW - glacial isostatic adjustment KW - isostatic uplift KW - LGM KW - Ice model KW - European Alps KW - outburst floods KW - glacial incision KW - Tibetan Plateau KW - Shyok River KW - cosmogenic nuclides KW - exposure age dating KW - ice dam KW - Karakoram KW - Namche Barwa KW - Yarlung-Tsangpo Gorge KW - burial dating KW - tectonic uplift KW - syntaxis KW - intermontane Talverfüllungen KW - Sedimentmächtigkeit KW - Grundgesteinshöhe KW - künstliche neurale Netzwerke KW - Sedimentvolumen KW - Landschaftsentwicklung KW - Glazialisostasie KW - isostatische Hebung KW - LGM KW - Eismodell KW - Europäische Alpen KW - Seeausbrüche KW - glaziale Einschneidung KW - Tibet Plateau KW - Shyok Fluss KW - kosmogene Nuklide KW - Expositionsaltersdatierung KW - Eisdamm KW - Karakorum KW - Namche Barwa KW - Yarlung-Tsangpo Schlucht KW - Verschüttungsaltersdatierung KW - tektonische Hebung KW - Syntaxe Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-103158 ER - TY - GEN A1 - Pimenova, Anastasiya V. A1 - Goldobin, Denis S. A1 - Rosenblum, Michael A1 - Pikovskij, Arkadij T1 - Interplay of coupling and common noise at the transition to synchrony in oscillator populations N2 - There are two ways to synchronize oscillators: by coupling and by common forcing, which can be pure noise. By virtue of the Ott-Antonsen ansatz for sine-coupled phase oscillators, we obtain analytically tractable equations for the case where both coupling and common noise are present. While noise always tends to synchronize the phase oscillators, the repulsive coupling can act against synchrony, and we focus on this nontrivial situation. For identical oscillators, the fully synchronous state remains stable for small repulsive coupling; moreover it is an absorbing state which always wins over the asynchronous regime. For oscillators with a distribution of natural frequencies, we report on a counter-intuitive effect of dispersion (instead of usual convergence) of the oscillators frequencies at synchrony; the latter effect disappears if noise vanishes. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 310 Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-103471 ER - TY - GEN A1 - Bondü, Rebecca A1 - Richter, Philipp T1 - Interrelations of justice, rejection, provocation, and moral disgust sensitivity and their links with the hostile attribution bias, trait anger, and aggression T2 - Postprints der Universität Potsdam : Humanwissenschaftliche Reihe N2 - Several personality dispositions with common features capturing sensitivities to negative social cues have recently been introduced into psychological research. To date, however, little is known about their interrelations, their conjoint effects on behavior, or their interplay with other risk factors. We asked N = 349 adults from Germany to rate their justice, rejection, moral disgust, and provocation sensitivity, hostile attribution bias, trait anger, and forms and functions of aggression. The sensitivity measures were mostly positively correlated; particularly those with an egoistic focus, such as victim justice, rejection, and provocation sensitivity, hostile attributions and trait anger as well as those with an altruistic focus, such as observer justice, perpetrator justice, and moral disgust sensitivity. The sensitivity measures had independent and differential effects on forms and functions of aggression when considered simultaneously and when controlling for hostile attributions and anger. They could not be integrated into a single factor of interpersonal sensitivity or reduced to other well-known risk factors for aggression. The sensitivity measures, therefore, require consideration in predicting and preventing aggression. T3 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe - 446 KW - justice sensitivity KW - rejection sensitivity KW - provocation sensitivity KW - moral disgust sensitivity KW - trait anger KW - hostile attribution bias KW - aggression Y1 - 2018 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-407697 IS - 446 ER - TY - THES A1 - Breakell Fernandez, Leigh T1 - Investigating word order processing using pupillometry and event-related potentials T1 - Untersuchung von Wortfolge-Verarbeitungen unter Verwendung von Pupillometrie und EEG N2 - In this thesis sentence processing was investigated using a psychophysiological measure known as pupillometry as well as Event-Related Potentials (ERP). The scope of the the- sis was broad, investigating the processing of several different movement constructions with native speakers of English and second language learners of English, as well as word order and case marking in German speaking adults and children. Pupillometry and ERP allowed us to test competing linguistic theories and use novel methodologies to investigate the processing of word order. In doing so we also aimed to establish pupillometry as an effective way to investigate the processing of word order thus broadening the methodological spectrum. N2 - Die Doktorarbeit befasste sich mit der Untersuchung von Satzverarbeitung mittels der psychophysiologischen Methode Pupillometrie sowie EEG .Sie umfasst die Untersuchung verschiedener syntaktischer Konstruktionen und Kasusmarkierungen, deren Verarbeitung bei Muttersprachlern und Zweitsprachenlernern des Englischen sowie deutschsprachigen Erwachsenen und Kindern getestet wurden. Pupillometrie und EEG machten es möglich, konkurrierende linguistische Theorien zu testen und neuartige Methodiken zur Untersuchung der Verarbeitung von Wortfolgen zu nutzen. Ein besonderer Schwerpunkt bestand darin, Pupillometrie als effektive Art der Untersuchung von Wortfolge-Verarbeitungen zu etablieren und damit das methodologische Spektrum zu erweitern. KW - pupillometry KW - ERP KW - movement structures KW - L2 KW - word order processing KW - child language processing KW - auditory sentence processing KW - Verarbeitung von Zweitsprachen KW - EEG KW - Verarbeitung von Wortfolgen KW - Pupillometrie KW - Eye-Tracking Satzverarbeitung KW - Sprachverarbeitung bei Kindern Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-91438 ER - TY - GEN A1 - Avila, Daiana Silva A1 - Benedetto, Alexandre A1 - Au, Catherine A1 - Bornhorst, Julia A1 - Aschner, Michael A. T1 - Involvement of heat shock proteins on Mn-induced toxicity in Caenorhabditis elegans T2 - BMC pharmacology and toxicology N2 - Background: All living cells display a rapid molecular response to adverse environmental conditions, and the heat shock protein family reflects one such example. Hence, failing to activate heat shock proteins can impair the cellular response. In the present study, we evaluated whether the loss of different isoforms of heat shock protein ( hsp ) genes in Caenorhabditis elegans would affect their vulnerability to Manganese (Mn) toxicity. Methods: We exposed wild type and selected hsp mutant worms to Mn (30 min) and next evaluated further the most susceptible strains. We analyzed survi val, protein carbonylation (as a marker of oxidative stress) and Parkinson ’ s disease related gene expression immediately after Mn exposure. Lastly, we observed dopaminergic neurons in wild type worms and in hsp-70 mutants following Mn treatment. Analysis of the data was performed by one-way or two way ANOVA, depending on the case, followed by post-hoc Bonferroni test if the overall p value was less than 0.05. Results: We verified that the loss of hsp-70, hsp-3 and chn-1 increased the vulnerability to Mn, as exposed mutant worms showed lower survival rate and increased protein oxidation. The importance of hsp-70 against Mn toxicity was then corroborated in dopaminergic neurons, where Mn neurotoxicity was aggravated. The lack of hsp-70 also blocked the transcriptional upregulation of pink1 , a gene that has been linked to Parkinson ’ sdisease. Conclusions: Taken together, our data suggest that Mn exposu re modulates heat shock protein expression, particularly HSP-70, in C. elegans .Furthermore,lossof hsp-70 increases protein oxidation and dopaminergic neuronal degeneration following manganese exposure, which is associated with the inhibition of pink1 increased expression, thus pot entially exacerbating the v ulnerability to this metal. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 439 KW - Caenorhabitis elegans KW - Manganese KW - heat shock proteins KW - hsp-70 KW - pink1 Y1 - 2018 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-407286 ER - TY - THES A1 - Pampel, Jonas T1 - Ionothermal carbon materials T1 - Ionothermale Kohlenstoffmaterialien BT - advanced synthesis and electrochemical applications BT - erweiterte Synthese und elektrochemische Anwendungen N2 - Alternative concepts for energy storage and conversion have to be developed, optimized and employed to fulfill the dream of a fossil-independent energy economy. Porous carbon materials play a major role in many energy-related devices. Among different characteristics, distinct porosity features, e.g., specific surface area (SSA), total pore volume (TPV), and the pore size distribution (PSD), are important to maximize the performance in the final device. In order to approach the aim to synthesize carbon materials with tailor-made porosity in a sustainable fashion, the present thesis focused on biomass-derived precursors employing and developing the ionothermal carbonization. During the ionothermal carbonization, a salt melt simultaneously serves as solvent and porogen. Typically, eutectic mixtures containing zinc chloride are employed as salt phase. The first topic of the present thesis addressed the possibility to precisely tailor the porosity of ionothermal carbon materials by an experimentally simple variation of the molar composition of the binary salt mixture. The developed pore tuning tool allowed the synthesis of glucose derived carbon materials with predictable SSAs in the range of ~ 900 to ~ 2100 m2 g-1. Moreover, the nucleobase adenine was employed as precursor introducing nitrogen functionalities in the final material. Thereby, the chemical properties of the carbon materials are varied leading to new application fields. Nitrogen doped carbons (NDCs) are able to catalyze the oxygen reduction reaction (ORR) which takes place on the cathodic site of a fuel cell. The herein developed porosity tailoring allowed the synthesis of adenine derived NDCs with outstanding SSAs of up to 2900 m2 g-1 and very large TPV of 5.19 cm3 g-1. Furthermore, the influence of the porosity on the ORR could be directly investigated enabling the precise optimization of the porosity characteristics of NDCs for this application. The second topic addressed the development of a new method to investigate the not-yet unraveled mechanism of the oxygen reduction reaction using a rotating disc electrode setup. The focus was put on noble-metal free catalysts. The results showed that the reaction pathway of the investigated catalysts is pH-dependent indicating different active species at different pH-values. The third topic addressed the expansion of the used salts for the ionothermal approach towards hydrated calcium and magnesium chloride. It was shown that hydrated salt phases allowed the introduction of a secondary templating effect which was connected to the coexistence of liquid and solid salt phases. The method enabled the synthesis of fibrous NDCs with SSAs of up to 2780 m2 g-1 and very large TPV of 3.86 cm3 g-1. Moreover, the concept of active site implementation by a facile low-temperature metalation employing the obtained NDCs as solid ligands could be shown for the first time in the context of ORR. Overall, the thesis may pave the way towards highly porous carbon with tailor-made porosity materials prepared by an inexpensive and sustainable pathway, which can be applied in energy related field thereby supporting the needed expansion of the renewable energy sector. N2 - Alternative Konzepte für Energiespeicherung und –umwandlung müssen entwickelt, optimiert und praktisch angewendet werden, um den Traum einer erdölunabhängigen Energiewirtschaft zu realisieren. Poröse Kohlenstoffmaterialien spielen eine bedeutende Rolle in vielen energierelevanten Anwendungen. Speziell die porösen Eigenschaften des Kohlenstoffs, wie die spezifische Oberfläche (engl. specific surface area: SSA), das totale Porenvolumen (engl. total pore volume: TPV) und die Porengrößenverteilung, sind von großer Bedeutung für eine Maximierung der Leistung in der Endanwendung. Die vorliegende Arbeit konzentrierte sich auf den Einsatz und die Weiterentwicklung der ionothermalen Karbonisierung ausgehend von biomassebasierten Präkursoren, um eine nachhaltige Synthese hochporöser Kohlenstoffe mit einstellbarer Porosität zu ermöglichen. In der ionothermalen Synthese fungieren Salzschmelzen simultan als Lösungsmittel und Porogen während der Karbonisierung. Als Salzphase werden hierbei häufig eutektische Zinkchloridhaltige binäre Salzmischungen verwendet. In der vorliegenden Arbeit wurde im ersten Schritt die Variation der molaren Zusammensetzung der binären Salzphase als neue Methode eingeführt, um eine kontinuierliche Veränderung der Porosität des synthetisierten Kohlenstoffs zu bewirken. Diese Methode erlaubte die Synthese von Glukose-basierten Kohlenstoffen mit einstellbarer SSA zwischen ~ 900 und ~ 2100 m2 g-1. Des Weiteren wurde die Nukleinbase Adenin als Präkursor verwendet, wodurch eine Stickstoffdotierung des finalen Kohlenstoffmaterials erreicht wurde. Die damit einhergehende Veränderung der chemischen Eigenschaften des Materials führt zu neuen Anwendungsbereichen. Stickstoffdotierte Kohlen (engl. nitrogen doped carbons: NDCs) können beispielsweise die Sauerstoffreduktion katalysieren, welche auf der Kathodenseite der Brennstoffzelle abläuft. Das entwickelte Verfahren zur Einstellung der Porosität erlaubte einerseits die Synthese von Adenin-basierten NDCs mit beeindruckenden SSAs von bis zu 2900 m2 g-1 und extrem hohen TPVs von bis zu 5,19 cm3 g-1. Andererseits konnte der Einfluss der Porosität auf die Sauerstoffreduktion direkt untersucht und infolge dessen die Porosität der NDCs für diese Anwendung optimiert werden. Im zweiten Schritt wurde ein neues Verfahren entwickelt, um mittels der rotierenden Scheibenelektrode den noch nicht geklärten Mechanismus der Sauerstoffreduktion zu untersuchen, vor allem in Bezug auf edelmetallfreie Katalysatoren. Die Ergebnisse zeigten, dass der Reaktionsverlauf der Sauerstoffreduktion pH-Wert abhängig ist. Diese deutet auf verschiedene aktive Spezies in Abhängigkeit des pH-Werts hin. Im dritten Schritt wurde der gezielte Einsatz von hydrierten Salzen (Magnesium- und Calciumchlorid) als Salzphase für die ionothermale Synthese untersucht. Es konnte gezeigt werden, dass Hydrate einen sekundären Templatierungseffekt erlauben, was anhand der Koexistenz von flüssigen und festen Salzphasen erklärt werden konnte. Hierdurch konnten faserartige NDC-Materialien mit SSAs von bis zu 2780 m2 g-1 und TPVs von bis zu 3,86 cm3 g-1 synthetisiert werden. Des Weiteren wurde anhand dieser NDC-Materialien erfolgreich gezeigt, dass es möglich ist sauerstoffreduktionsaktive Spezies durch einfache Metallierung mit Eisenionen bei niedrigen Temperaturen einzuführen. Zusammenfassend konnte die vorliegende Arbeit die kostengünstige und nachhaltige Synthese hochporöser Materialien mit einstellbarer Porosität zeigen, welche in energierelevanten Bereichen eingesetzt werden können. Hierdurch kann die notwendige Erweiterung des Sektors der erneuerbaren Energien unterstützt werden. KW - porous materials KW - nitrogen doped carbons KW - ORR KW - oxygen reduction reaction KW - electrocatalysis KW - poröse Materialien KW - stickstoffdotierte Kohlenstoffe KW - ORR KW - Sauerstoff Reduktion KW - Elektrokatalyse KW - ionothermal synthesis KW - ionothermale Synthese Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-101323 ER - TY - GEN A1 - Gerth, Sabrina A1 - Klassert, Annegret A1 - Dolk, Thomas A1 - Fliesser, Michael A1 - Fischer, Martin H. A1 - Nottbusch, Guido A1 - Festman, Julia T1 - Is Handwriting Performance Affected by the Writing Surface? BT - Comparing Preschoolers', Second Graders', and Adults' Writing Performance on a Tablet vs. Paper N2 - Due to their multifunctionality, tablets offer tremendous advantages for research on handwriting dynamics or for interactive use of learning apps in schools. Further, the widespread use of tablet computers has had a great impact on handwriting in the current generation. But, is it advisable to teach how to write and to assess handwriting in pre- and primary schoolchildren on tablets rather than on paper? Since handwriting is not automatized before the age of 10 years, children's handwriting movements require graphomotor and visual feedback as well as permanent control of movement execution during handwriting. Modifications in writing conditions, for instance the smoother writing surface of a tablet, might influence handwriting performance in general and in particular those of non-automatized beginning writers. In order to investigate how handwriting performance is affected by a difference in friction of the writing surface, we recruited three groups with varying levels of handwriting automaticity: 25 preschoolers, 27 second graders, and 25 adults. We administered three tasks measuring graphomotor abilities, visuomotor abilities, and handwriting performance (only second graders and adults). We evaluated two aspects of handwriting performance: the handwriting quality with a visual score and the handwriting dynamics using online handwriting measures [e.g., writing duration, writing velocity, strokes and number of inversions in velocity (NIV)]. In particular, NIVs which describe the number of velocity peaks during handwriting are directly related to the level of handwriting automaticity. In general, we found differences between writing on paper compared to the tablet. These differences were partly task-dependent. The comparison between tablet and paper revealed a faster writing velocity for all groups and all tasks on the tablet which indicates that all participants—even the experienced writers—were influenced by the lower friction of the tablet surface. Our results for the group-comparison show advancing levels in handwriting automaticity from preschoolers to second graders to adults, which confirms that our method depicts handwriting performance in groups with varying degrees of handwriting automaticity. We conclude that the smoother tablet surface requires additional control of handwriting movements and therefore might present an additional challenge for learners of handwriting. T3 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe - 308 KW - children KW - graphomotor control KW - handwriting KW - movement kinematics KW - tablet KW - writing acquisition Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-100384 ER - TY - GEN A1 - Zancolli, Giulia A1 - Baker, Timothy G. A1 - Barlow, Axel A1 - Bradley, Rebecca K. A1 - Calvete, Juan J. A1 - Carter, Kimberley C. A1 - de Jager, Kaylah A1 - Owens, John Benjamin A1 - Price, Jenny Forrester A1 - Sanz, Libia A1 - Scholes-Higham, Amy A1 - Shier, Liam A1 - Wood, Liam A1 - Wüster, Catharine E. A1 - Wüster, Wolfgang T1 - Is hybridization a source of adaptive venom variation in rattlesnakes? BT - a test, using a crotalus scutulatus × viridis hybrid zone in southwestern New Mexico T2 - Toxins N2 - Venomous snakes often display extensive variation in venom composition both between and within species. However, the mechanisms underlying the distribution of different toxins and venom types among populations and taxa remain insufficiently known. Rattlesnakes (Crotalus, Sistrurus) display extreme inter-and intraspecific variation in venom composition, centered particularly on the presence or absence of presynaptically neurotoxic phospholipases A2 such as Mojave toxin (MTX). Interspecific hybridization has been invoked as a mechanism to explain the distribution of these toxins across rattlesnakes, with the implicit assumption that they are adaptively advantageous. Here, we test the potential of adaptive hybridization as a mechanism for venom evolution by assessing the distribution of genes encoding the acidic and basic subunits of Mojave toxin across a hybrid zone between MTX-positive Crotalus scutulatus and MTX-negative C. viridis in southwestern New Mexico, USA. Analyses of morphology, mitochondrial and single copy-nuclear genes document extensive admixture within a narrow hybrid zone. The genes encoding the two MTX subunits are strictly linked, and found in most hybrids and backcrossed individuals, but not in C. viridis away from the hybrid zone. Presence of the genes is invariably associated with presence of the corresponding toxin in the venom. We conclude that introgression of highly lethal neurotoxins through hybridization is not necessarily favored by natural selection in rattlesnakes, and that even extensive hybridization may not lead to introgression of these genes into another species. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 443 KW - adaptation KW - Crotalus KW - evolution KW - hybridization KW - introgression KW - Mojave toxin KW - molecular evolution KW - venom Y1 - 2018 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-407595 ER - TY - JOUR A1 - Zoref, Arye T1 - Journeys for God in Ṣūfī and Judeo Arabic Literature JF - PaRDeS : Journal of the Association of Jewish Studies [22 (2016)] = Muslim-Jewish Dialogue JF - PaRDeS : Zeitschrift der Vereinigung für Jüdische Studien [22 (2016)] = Muslim-Jewish Dialogue N2 - Das Konzept der drei Reisen als einen Weg zur spirituellen Entwicklung wurde von einem der Gründerväter der islamischen Mystik, Dhu al-Nun, eingeführt. Später wurde die Anwendung des Konzepts verfeinert, indem es mit der sufischen Technik verschiedene Präpositionen hinzuzufügen kombiniert wurde, um dadurch zwischen den spirituellen Stufen zu unterscheiden. Mit der Verwendung der Wörter Reise (Safar) und Gott (Allah) und dem Hinzufügen einer Präposition zum Wort Gott konnten sufische Schriftsteller die verschiedenen Wege zu Gott oder die Stationen (Maqamat) auf diesem Weg aufzeichnen. Ibn al-’Arabi spricht Anfang des dreizehnten Jahrhunderts von drei verschiedenen Wegen: von Gott, zu Gott und in Gott. Am Ende des dreizehnten Jahrhunderts spricht der jüdisch-arabische Bibelkommentator Tanchum ha-Yerushalmi von den drei Reisen als drei Stationen eines kontinuierlichen Weges. Eine nahezu identische Beschreibung ist eine Generation danach beim muslimischen Gelehrten Qayyim al-Jawziyya zu finden. Aus den drei Reisen werden im vierzehnten Jahrhundert in den Schriften des sufischen Schriftstellers al-Qashani vier, wobei das Schema der drei Präpositionen beibehalten wurde. Kurz vor dem Ende des vierzehnten Jahrhunderts sind in den Schriften von R. David ha-Nagid nur noch zwei Reisen zu finden: zu Gott und in Gott. All dies zeigt uns, dass uns die jüdisch-arabische Literatur dabei helfen kann die geschichtliche Entwicklung der sufischen Ideen genauer nachzuzeichnen. N2 - The concept of three journeys as a way to denote spiritual development was introduced by Dhu al-Nun, one of the founding fathers of Islamic mysticism. The use of this concept was later refined by combining it with the Sufi technique of adding different prepositions to a certain term, in order to differentiate between spiritual stages. By using the words journey (Safar) and God (Allah) and inserting a preposition before the word God, Sufi writers could map the different roads to God or the stations (Maqamat) on this road. Ibn al-'Arabi, in the beginning of the thirteenth century, speaks of three different ways: from God, toward God and in God. Tanchum ha-Yerushalmi, the Judeo Arabic biblical commentator from the end of this century, speaks of the three journeys as three stations of one continuous way. A nearly identical description we can find in the writing of the Muslim scholar Ibn Qayyim al-Jawziyya, a generation later. Later in the fourteenth century, in the writing of the Sufi writer al-Qashani, the three travels become four, although the scheme of three prepositions is preserved. Near the end of the fourteenth century, in the writings of R. David ha-Nagid, we find only two journeys: to God and in God. All this tells us that Judeo Arabic literature can help us map with greater precision the historical development of Sufi ideas. Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-99635 SN - 978-3-86956-370-1 SN - 1614-6492 SN - 1862-7684 VL - 22 SP - 109 EP - 119 PB - Universitätsverlag Potsdam CY - Potsdam ER - TY - GEN A1 - Räling, Romy A1 - Hanne, Sandra A1 - Schröder, Astrid A1 - Keßler, Carla A1 - Wartenburger, Isabell T1 - Judging the animacy of words BT - the influence of typicality and age of acquisition in a semantic decision task N2 - The age at which members of a semantic category are learned (age of acquisition), the typicality they demonstrate within their corresponding category, and the semantic domain to which they belong (living, non-living) are known to influence the speed and accuracy of lexical/semantic processing. So far, only a few studies have looked at the origin of age of acquisition and its interdependence with typicality and semantic domain within the same experimental design. Twenty adult participants performed an animacy decision task in which nouns were classified according to their semantic domain as being living or non-living. Response times were influenced by the independent main effects of each parameter: typicality, age of acquisition, semantic domain, and frequency. However, there were no interactions. The results are discussed with respect to recent models concerning the origin of age of acquisition effects. T3 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe - 305 KW - Age of acquisition KW - Animacy decision KW - Semantic classification task KW - Typicality Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-98402 ER - TY - GEN A1 - Makowicz, Amber M. A1 - Tiedemann, Ralph A1 - Steele, Rachel N. A1 - Schlupp, Ingo T1 - Kin recognition in a clonal fish, Poecilia formosa T2 - PLoS ONE N2 - Relatedness strongly influences social behaviors in a wide variety of species. For most species, the highest typical degree of relatedness is between full siblings with 50% shared genes. However, this is poorly understood in species with unusually high relatedness between individuals: clonal organisms. Although there has been some investigation into clonal invertebrates and yeast, nothing is known about kin selection in clonal vertebrates. We show that a clonal fish, the Amazon molly (Poecilia formosa), can distinguish between different clonal lineages, associating with genetically identical, sister clones, and use multiple sensory modalities. Also, they scale their aggressive behaviors according to the relatedness to other females: they are more aggressive to non-related clones. Our results demonstrate that even in species with very small genetic differences between individuals, kin recognition can be adaptive. Their discriminatory abilities and regulation of costly behaviors provides a powerful example of natural selection in species with limited genetic diversity. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 431 KW - toxic hydrogen-sulfide KW - sexual selection KW - hybrid origin KW - discrimination KW - behavior KW - competition KW - aggression KW - cues KW - consequences KW - avoidance Y1 - 2018 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-411329 ER - TY - GEN A1 - Schulze, Nicole A1 - Koetz, Joachim T1 - Kinetically Controlled Growth of Gold Nanotriangles in a Vesicular Template Phase by Adding a Strongly Alternating Polyampholyte N2 - This paper is focused on the temperature dependent synthesis of gold nanotriangles in a vesicular template phase, containing phosphatidylcholin and AOT, by adding the strongly alternating polyampholyte PalPhBisCarb. UV-vis absorption spectra in combination with TEM micrographs show that flat gold nanoplatelets are formed predominantly in presence of the polyampholyte at 45 °C. The formation of triangular and hexagonal nanoplatelets can be directly influenced by the kinetic approach, i.e., by varying the polyampholyte dosage rate at 45 °C. Corresponding zeta potential measurements indicate that a temperature dependent adsorption of the polyampholyte on the {111} faces will induce the symmetry breaking effect, which is responsible for the kinetically controlled hindered vertical and preferred lateral growth of the nanoplatelets. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 271 KW - Polyampholytes KW - Nanotriangles KW - Kinetically controlled nanocrystal growth Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-98380 ER - TY - GEN A1 - Kellermann, Patric A1 - Schönberger, Christine A1 - Thieken, Annegret T1 - Large-scale application of the flood damage model RAilway Infrastructure Loss (RAIL) T2 - Postprints der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe N2 - Experience has shown that river floods can significantly hamper the reliability of railway networks and cause extensive structural damage and disruption. As a result, the national railway operator in Austria had to cope with financial losses of more than EUR 100 million due to flooding in recent years. Comprehensive information on potential flood risk hot spots as well as on expected flood damage in Austria is therefore needed for strategic flood risk management. In view of this, the flood damage model RAIL (RAilway Infrastructure Loss) was applied to estimate (1) the expected structural flood damage and (2) the resulting repair costs of railway infrastructure due to a 30-, 100- and 300-year flood in the Austrian Mur River catchment. The results were then used to calculate the expected annual damage of the railway subnetwork and subsequently analysed in terms of their sensitivity to key model assumptions. Additionally, the impact of risk aversion on the estimates was investigated, and the overall results were briefly discussed against the background of climate change and possibly resulting changes in flood risk. The findings indicate that the RAIL model is capable of supporting decision-making in risk management by providing comprehensive risk information on the catchment level. It is furthermore demonstrated that an increased risk aversion of the railway operator has a marked influence on flood damage estimates for the study area and, hence, should be considered with regard to the development of risk management strategies. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 555 KW - climate KW - Europe KW - projections KW - events Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-411915 SN - 1866-8372 IS - 555 ER - TY - GEN A1 - Wacker, Alexander A1 - Piepho, Maike A1 - Harwood, John L. A1 - Guschina, Irina A. A1 - Arts, Michael T. T1 - Light-Induced Changes in Fatty Acid Profiles of Specific Lipid Classes in Several Freshwater Phytoplankton Species N2 - We tested the influence of two light intensities [40 and 300 μmol PAR / (m2s)] on the fatty acid composition of three distinct lipid classes in four freshwater phytoplankton species. We chose species of different taxonomic classes in order to detect potentially similar reaction characteristics that might also be present in natural phytoplankton communities. From samples of the bacillariophyte Asterionella formosa, the chrysophyte Chromulina sp., the cryptophyte Cryptomonas ovata and the zygnematophyte Cosmarium botrytis we first separated glycolipids (monogalactosyldiacylglycerol, digalactosyldiacylglycerol, and sulfoquinovosyldiacylglycerol), phospholipids (phosphatidylcholine, phosphatidylethanolamine, phosphatidylglycerol, phosphatidylinositol, and phosphatidylserine) as well as non-polar lipids (triacylglycerols), before analyzing the fatty acid composition of each lipid class. High variation in the fatty acid composition existed among different species. Individual fatty acid compositions differed in their reaction to changing light intensities in the four species. Although no generalizations could be made for species across taxonomic classes, individual species showed clear but small responses in their ecologically-relevant omega-3 and omega-6 polyunsaturated fatty acids (PUFA) in terms of proportions and of per tissue carbon quotas. Knowledge on how lipids like fatty acids change with environmental or culture conditions is of great interest in ecological food web studies, aquaculture, and biotechnology, since algal lipids are the most important sources of omega-3 long-chain PUFA for aquatic and terrestrial consumers, including humans. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 223 KW - fatty acid changes KW - freshwater algae KW - light adaptation KW - lipid classes Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-90682 SP - 1 EP - 13 ER - TY - THES A1 - Prokopović, Vladimir Z. T1 - Light-triggered release of bioactive compounds from HA/PLL multilayer films for stimulation of cells T1 - Licht-induzierte Freisetzung von Biomolekülen aus Hyaluronsäure-Poly-L-Lysin-Schichten zur Stimulierung von Zellen N2 - The concept of targeting cells and tissues by controlled delivery of molecules is essential in the field of biomedicine. The layer-by-layer (LbL) technology for the fabrication of polymer multilayer films is widely implemented as a powerful tool to assemble tailor-made materials for controlled drug delivery. The LbL films can as well be engineered to act as mimics of the natural cellular microenvironment. Thus, due to the myriad possibilities such as controlled cellular adhesion and drug delivery offered by LbL films, it becomes easily achievable to direct the fate of cells by growing them on the films. The aim of this work was to develop an approach for non-invasive and precise control of the presentation of bioactive molecules to cells. The strategy is based on employment of the LbL films, which function as support for cells and at the same time as reservoirs for bioactive molecules to be released in a controlled manner. UV light is used to trigger the release of the stored ATP with high spatio-temporal resolution. Both physico-chemical (competitive intermolecular interactions in the film) and biological aspects (cellular response and viability) are addressed in this study. Biopolymers hyaluronic acid (HA) and poly-L-lysine (PLL) were chosen as the building blocks for the LbL film assembly. Poor cellular adhesion to native HA/PLL films as well as significant degradation by cells within a few days were shown. However, coating the films with gold nanoparticles not only improved cellular adhesion and protected the films from degradation, but also formed a size-exclusion barrier with adjustable cut-off in the size range of a few tens of kDa. The films were shown to have high reservoir capacity for small charged molecules (reaching mM levels in the film). Furthermore, they were able to release the stored molecules in a sustained manner. The loading and release are explained by a mechanism based on interactions between charges of the stored molecules and uncompensated charges of the biopolymers in the film. Charge balance and polymer dynamics in the film play the pivotal role. Finally, the concept of light-triggered release from the films has been proven using caged ATP loaded into the films from which ATP was released on demand. ATP induces a fast cellular response, i.e. increase in intracellular [Ca2+], which was monitored in real-time. Limitations of the cellular stimulation by the proposed approach are highlighted by studying the stimulation as a function of irradiation parameters (time, distance, light power). Moreover, caging molecules bind to the film stronger than ATP does, which opens new perspectives for the use of the most diverse chemical compounds as caging molecules. Employment of HA/PLL films as a nouvelle support for cellular growth and hosting of bioactive molecules, along with the possibility to stimulate individual cells using focused light renders this approach highly efficient and unique in terms of precision and spatio-temporal resolution among those previously described. With its high potential, the concept presented herein provides the foundation for the design of new intelligent materials for single cell studies, with the focus on tissue engineering, diagnostics, and other cell-based applications. N2 - Das Konzept des Targetings von Zellen und Geweben mittels kontrollierter Wirkstoffverabreichung ist im Bereich der Biomedizin unerlässlich. Die layer-by-layer (LbL) Technologie ist eine etablierte Methode für die Herstellung von Polyelektrolyt-Multischichten, um intelligente, maßgeschneiderte Materialien für eine kontrollierte Wirkstoffabgabe aufzubauen. Die LbL Filme können das Verhalten einer natürlichen zellulären Mikroumgebung nachahmen. Wegen der unzähligen Möglichkeiten dieser Filme sind nicht nur das Wachstum und die Beeinflussung der Zellen, sondern auch die kontrollierte Wirkstoffabgabe leicht umzusetzen. Das Ziel der vorliegenden Arbeit war die Entwicklung eines nicht-invasiven Systems für die präzise Verabreichung von Biomolekülen an einzelne Zellen. Die Strategie beruht auf LbL Filmen, die einerseits als geeignete Oberfläche für das Zellwachstum dienen, andererseits aber auch die kontrollierte Abgabe von Biomolekülen ermöglichen. Die zeitlich und räumlich präzise Freisetzung von ATP wurde durch UV Bestrahlung eingeleitet/ausgelöst. Sowohl die physiko-chemischen als auch die biologischen Eigenschaften des Verfahrens wurden analysiert. Die LbL Filme wurden auf Basis der biokompatiblen Polymere Hyaluronsäure (HA) und Poly-L-Lysin (PLL) assembliert. Nach der Assemblierung waren die Filme zunächst zellabweisend und wurden von den Zellen innerhalb von ein paar Tagen abgebaut. Die Beschichtigung der Filme mit Gold-Nanopartikeln verbesserte nicht nur die Adhäsion der Zellen, sondern auch den Schutz gegen Abbau. Zudem wurde gezeigt, dass die Beschichtigung eine Molekulargewichtsausschlussgrenze mit verstellbarem cut-off in einem Bereich von nur einigen 10 kDa darstellt. Weiterhin wurde gezeigt, dass die Filme eine enorme Beladungskapazität aufweisen (bis hin zu einer Beladung im mM Bereich). Darüber hinaus konnten die Biomoleküle, die in diese Filme eingebettet wurden, langfristig und nachhaltig freigesetzt werden. Die Beladung und Freisetzung der Moleküle erfolgt durch die Interaktion zwischen eingebetteten Molekülen und freien Ladungen innerhalb des Polymerfilms. Das Ladungsverhältnis und die Polymerdynamik spielen dabei eine zentrale Rolle. Schließlich wurde gezeigt, dass die in Filmen eingebetteten caged-ATP Moleküle gezielt durch einen Laser freigesetzt werden können. ATP verursacht die schnelle zelluläre Antwort durch den Anstieg von intrazellulären Ca2+-Ionen, der in Echtzeit beobachtet werden kann. Um die Limitierungen dieses Ansatzes bei der zellulären Stimulation hervorzuheben, wurden verschiedene Bestrahlungsparameter (Zeit, Abstand, Laserleistung) analysiert. Außerdem binden viele caging-Moleküle stärker an die Polymerfilme als ATP, wodurch eine Vielzahl von chemischen Verbindungen als geeignete Moleküle für die Caging zur Verfügung stehen. Der Einsatz von HA/PLL Filmen als neue Oberfläche für Zellwachstum und als Reservoire für die Einbettung bioaktiver Moleküle samt der Möglichkeit einzelne Zellen mittels fokussierter Laserbestrahlung anzuregen, machen die Methode hoch effizient und einzigartig. Die Vorteile dieser Methode kommen durch die zeitliche und räumliche Präzision zustande. In Zukunft kann das in dieser Arbeit beschriebene Konzept für den Entwurf neuer Materialien für Untersuchungen mit einzelnen Zellen eingesetzt werden; mit dem Fokus auf Tissue Engineering, Diagnostik und anderen Zell- und biomedizinisch-basierten Applikationen. KW - multilayer films KW - light-triggered KW - stimulation of cells KW - drug release KW - Polyelektrolyt-Multischichten KW - Licht-induzierte KW - kontrollierte Freisetzung von Biomolekülen KW - Stimulierung von Zellen Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-97927 ER - TY - GEN A1 - Münzberg, Marvin A1 - Hass, Roland A1 - Khanh, Ninh Dinh Duc A1 - Reich, Oliver T1 - Limitations of turbidity process probes and formazine as their calibration standard T2 - Postprints der Universität Potsdam : Mathematisch Naturwissenschaftliche Reihe N2 - Turbidity measurements are frequently implemented for the monitoring of heterogeneous chemical, physical, or biotechnological processes. However, for quantitative measurements, turbidity probes need calibration, as is requested and regulated by the ISO 7027:1999. Accordingly, a formazine suspension has to be produced. Despite this regulatory demand, no scientific publication on the stability and reproducibility of this polymerization process is available. In addition, no characterization of the optical properties of this calibration material with other optical methods had been achieved so far. Thus, in this contribution, process conditions such as temperature and concentration have been systematically investigated by turbidity probe measurements and Photon Density Wave (PDW) spectroscopy, revealing an influence on the temporal formazine formation onset. In contrast, different reaction temperatures do not lead to different scattering properties for the final formazine suspensions, but give an access to the activation energy for this condensation reaction. Based on PDW spectroscopy data, the synthesis of formazine is reproducible. However, very strong influences of the ambient conditions on the measurements of the turbidity probe have been observed, limiting its applicability. The restrictions of the turbidity probe with respect to scatterer concentration are examined on the basis of formazine and polystyrene suspensions. Compared to PDW spectroscopy data, signal saturation is observed at already low reduced scattering coefficients. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 831 KW - photon density wave spectroscopy KW - turbidity probes KW - formazine KW - calibration standard KW - process analytical technology Y1 - 2020 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-428263 SN - 1866-8372 IS - 831 ER - TY - GEN A1 - Hohenstein, Sven A1 - Matuschek, Hannes A1 - Kliegl, Reinhold T1 - Linked linear mixed models BT - a joint analysis of fixation locations and fixation durations in natural reading T2 - Postprints der Universität Potsdam Humanwissenschaftliche Reihe N2 - The complexity of eye-movement control during reading allows measurement of many dependent variables, the most prominent ones being fixation durations and their locations in words. In current practice, either variable may serve as dependent variable or covariate for the other in linear mixed models (LMMs) featuring also psycholinguistic covariates of word recognition and sentence comprehension. Rather than analyzing fixation location and duration with separate LMMs, we propose linking the two according to their sequential dependency. Specifically, we include predicted fixation location (estimated in the first LMM from psycholinguistic covariates) and its associated residual fixation location as covariates in the second, fixation-duration LMM. This linked LMM affords a distinction between direct and indirect effects (mediated through fixation location) of psycholinguistic covariates on fixation durations. Results confirm the robustness of distributed processing in the perceptual span. They also offer a resolution of the paradox of the inverted optimal viewing position (IOVP) effect (i.e., longer fixation durations in the center than at the beginning and end of words) although the opposite (i.e., an OVP effect) is predicted from default assumptions of psycholinguistic processing efficiency: The IOVP effect in fixation durations is due to the residual fixation-location covariate, presumably driven primarily by saccadic error, and the OVP effect (at least the left part of it) is uncovered with the predicted fixation-location covariate, capturing the indirect effects of psycholinguistic covariates. We expect that linked LMMs will be useful for the analysis of other dynamically related multiple outcomes, a conundrum of most psychonomic research. T3 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe - 552 KW - linear mixed model KW - model linkage KW - eye movements KW - reading Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-428281 SN - 1866-8364 IS - 552 ER - TY - GEN A1 - Paape, Dario L. J. F. A1 - Vasishth, Shravan T1 - Local coherence and preemptive digging-in effects in German T2 - Postprints der Universität Potsdam : Humanwissenschaftliche Reihe N2 - SOPARSE predicts so-called local coherence effects: locally plausible but globally impossible parses of substrings can exert a distracting influence during sentence processing. Additionally, it predicts digging-in effects: the longer the parser stays committed to a particular analysis, the harder it becomes to inhibit that analysis. We investigated the interaction of these two predictions using German sentences. Results from a self-paced reading study show that the processing difficulty caused by a local coherence can be reduced by first allowing the globally correct parse to become entrenched, which supports SOPARSE’s assumptions. T3 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe - 417 KW - local coherence KW - digging-in effects KW - self-paced reading KW - SOPARSE KW - sentence processing KW - German Y1 - 2018 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-405337 IS - 417 ER - TY - JOUR A1 - Thuan, Tran ED - Grubic, Mira ED - Mucha, Anne T1 - Lone contrastive topic constructions BT - a puzzle from Vietnamese JF - Proceedings of the Semantics of African, Asian and Austronesian Languages (TripleA) 2 N2 - It has been long agreed by formal and functional researchers (primarily based on English data) that contrastive topic marking, namely marking a constituent as a contrastive topic via the B-accent/the rising intonation contour) requires the co-occurrence of focus marking via the A-accent/the falling intonation contour (see Sturgeon 2006, and references therein). However, this consensus has recently been disputed by new findings indicating the occurrence of utterances with only B-accent, dubbed as lone contrastive topic (Büring 2003, Constant 2014). In this paper, I argue, based on the data in Vietnamese, that the presence of lone contrastive topic is just apparent, and that the focus that co-occurs with the seemingly lone contrastive topic is a verum focus. Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-92323 SP - 52 EP - 64 ER - TY - GEN A1 - Lazarides, Rebecca A1 - Raufelder, Diana T1 - Longitudinal Effects of Student-Perceived Classroom Support on Motivation BT - A Latent Change Model N2 - This two-wave longitudinal study examined how developmental changes in students’ mastery goal orientation, academic effort, and intrinsic motivation were predicted by student-perceived support of motivational support (support for autonomy, competence, and relatedness) in secondary classrooms. The study extends previous knowledge that showed that support for motivational support in class is related to students’ intrinsic motivation as it focused on the developmental changes of a set of different motivational variables and the relations of these changes to student-perceived motivational support in class. Thus, differential classroom effects on students’ motivational development were investigated. A sample of 1088 German students was assessed in the beginning of the school year when students were in grade 8 (Mean age D 13.70, SD D 0.53, 54% girls) and again at the end of the next school year when students were in grade 9. Results of latent change models showed a tendency toward decline in mastery goal orientation and a significant decrease in academic effort from grade 8 to 9. Intrinsic motivation did not decrease significantly across time. Student-perceived support of competence in class predicted the level and change in students’ academic effort. The findings emphasized that it is beneficial to create classroom learning environments that enhance students’ perceptions of competence in class when aiming to enhance students’ academic effort in secondary school classrooms. T3 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe - 321 KW - classroom characteristics KW - autonomy KW - competence KW - relatedness KW - motivation KW - latent change model KW - adolescence Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-395695 ER - TY - GEN A1 - Warschburger, Petra A1 - Kröller, Katja T1 - Loss to follow-up in a randomized controlled trial study for pediatric weight management (EPOC) N2 - Background Attrition is a serious problem in intervention studies. The current study analyzed the attrition rate during follow-up in a randomized controlled pediatric weight management program (EPOC study) within a tertiary care setting. Methods Five hundred twenty-three parents and their 7–13-year-old children with obesity participated in the randomized controlled intervention trial. Follow-up data were assessed 6 and 12 months after the end of treatment. Attrition was defined as providing no objective weight data. Demographic and psychological baseline characteristics were used to predict attrition at 6- and 12-month follow-up using multivariate logistic regression analyses. Results Objective weight data were available for 49.6 (67.0) % of the children 6 (12) months after the end of treatment. Completers and non-completers at the 6- and 12-month follow-up differed in the amount of weight loss during their inpatient stay, their initial BMI-SDS, educational level of the parents, and child’s quality of life and well-being. Additionally, completers supported their child more than non-completers, and at the 12-month follow-up, families with a more structured eating environment were less likely to drop out. On a multivariate level, only educational background and structure of the eating environment remained significant. Conclusions The minor differences between the completers and the non-completers suggest that our retention strategies were successful. Further research should focus on prevention of attrition in families with a lower educational background. T3 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe - 307 KW - Attrition KW - Child KW - Obesity KW - Predictors KW - Weight management trial Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-100359 ER - TY - INPR A1 - Eckstein, Lars A1 - Reindfandt, Christoph T1 - Luhmann in da Contact Zone BT - Towards a Postcolonial Critique of Sociological Systems Theory N2 - Our aim in this contribution is to productively engage with the abstractions and complexities of Luhmann’s conceptions of society from a postcolonial perspective, with a particular focus on the explanatory powers of his sociological systems theory when it leaves the realms of Europe and ventures to describe regions of the global South. In view of its more recent global reception beyond Europe, our aim is to thus – following the lead of Dipesh Chakrabarty – provincialize Luhmann’s system theory especially with regard to its underlying assumptions about a global “world society”. For these purposes, we intend to revisit Luhmann in the post/colonial contact zone: We wish to reread Luhmann in the context of spaces of transcultural encounter where “global designs and local histories” (Mignolo), where inclusion into and exclusion from “world society” (Luhmann) clash and interact in intricate ways. The title of our contribution, ‘Luhmann in da Contact Zone’ is deliberately ambiguous: On the one hand, we of course use ‘Luhmann’ metonymically, as representative of a highly complex theoretical design. We shall cursorily outline this design with a special focus on the notion of a singular, modern “world society”, only to confront it with the epistemic challenges of the contact zone. On the other hand, this critique will also involve the close observation of Niklas Luhman as a human observer (a category which within the logic of systems theory actually does not exist) who increasingly transpires in his late writings on exclusion in the global South. By following this dual strategy, we wish to trace an increasing fracture between one Luhmann and the other, between abstract theoretical design and personalized testimony. It is by exploring and measuring this fracture that we hope to eventually be able to map out the potential of a possibly more productive encounter between systems theory and specific strands of postcolonial theory for a pluritopic reading of global modernity. Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-103298 ER - TY - GEN A1 - Ette, Ottmar T1 - Magic screens BT - Biombos, Namban Art, the art of globalization and education between China, Japan, India, Spanish America and Europe in the 17th and 18th Centuries T2 - Postprints der Universität Potsdam : Philosophische Reihe N2 - Garcilaso de la Vega el Inca, for several centuries doubtlessly the most discussed and most eminent writer of Andean America in the 16th and 17th centuries, throughout his life set the utmost value on the fact that he descended matrilineally from Atahualpa Yupanqui and from the last Inca emperor, Huayna Capac. Thus, both in his person and in his creative work he combined different cultural worlds in a polylogical way. (1) Two painters boasted that very same Inca descent - they were the last two great masters of the Cuzco school of painting, which over several generations of artists had been an institution of excellent renown and prestige, and whose economic downfall and artistic marginalization was vividly described by the French traveller Paul Mancoy in 1837.(2) While, during the 18th century, Cuzco school paintings were still much cherished and sought after, by the beginning of the following century the elite of Lima regarded them as behind the times and provincial, committed to an 'indigenous' painting style. The artists from up-country - such was the reproach - could not keep up with the modern forms of seeing and creating, as exemplified by European paragons. Yet, just how 'provincial', truly, was this art? T3 - Zweitveröffentlichungen der Universität Potsdam : Philosophische Reihe - 156 Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-413669 SN - 1866-8380 IS - 156 ER - TY - INPR A1 - Prasse, Paul A1 - Gruben, Gerrit A1 - Machlika, Lukas A1 - Pevny, Tomas A1 - Sofka, Michal A1 - Scheffer, Tobias T1 - Malware Detection by HTTPS Traffic Analysis N2 - In order to evade detection by network-traffic analysis, a growing proportion of malware uses the encrypted HTTPS protocol. We explore the problem of detecting malware on client computers based on HTTPS traffic analysis. In this setting, malware has to be detected based on the host IP address, ports, timestamp, and data volume information of TCP/IP packets that are sent and received by all the applications on the client. We develop a scalable protocol that allows us to collect network flows of known malicious and benign applications as training data and derive a malware-detection method based on a neural networks and sequence classification. We study the method's ability to detect known and new, unknown malware in a large-scale empirical study. KW - machine learning KW - computer security Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-100942 ER - TY - GEN A1 - Feldmann, David A1 - Maduar, Salim R. A1 - Santer, Mark A1 - Lomadze, Nino A1 - Vinogradova, Olga I. A1 - Santer, Svetlana T1 - Manipulation of small particles at solid liquid interface BT - light driven diffusioosmosis N2 - The strong adhesion of sub-micron sized particles to surfaces is a nuisance, both for removing contaminating colloids from surfaces and for conscious manipulation of particles to create and test novel micro/nano-scale assemblies. The obvious idea of using detergents to ease these processes suffers from a lack of control: the action of any conventional surface-modifying agent is immediate and global. With photosensitive azobenzene containing surfactants we overcome these limitations. Such photo-soaps contain optical switches (azobenzene molecules), which upon illumination with light of appropriate wavelength undergo reversible trans-cis photo-isomerization resulting in a subsequent change of the physico-chemical molecular properties. In this work we show that when a spatial gradient in the composition of trans- and cis- isomers is created near a solid-liquid interface, a substantial hydrodynamic flow can be initiated, the spatial extent of which can be set, e.g., by the shape of a laser spot. We propose the concept of light induced diffusioosmosis driving the flow, which can remove, gather or pattern a particle assembly at a solid-liquid interface. In other words, in addition to providing a soap we implement selectivity: particles are mobilized and moved at the time of illumination, and only across the illuminated area. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 293 KW - azobenzene KW - brushes KW - films KW - genomic DNA conformation KW - gradients KW - optical manipulation KW - photocontrol KW - photosensitive surfactants KW - tracking KW - transport Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-100338 ER - TY - THES A1 - Gopalakrishnan, Sathej T1 - Mathematical modelling of host-disease-drug interactions in HIV disease T1 - Mathematische Modellierung von Pathogen-Wirkstoff-Wirt-Interaktionen im Kontext der HIV Erkrankung N2 - The human immunodeficiency virus (HIV) has resisted nearly three decades of efforts targeting a cure. Sustained suppression of the virus has remained a challenge, mainly due to the remarkable evolutionary adaptation that the virus exhibits by the accumulation of drug-resistant mutations in its genome. Current therapeutic strategies aim at achieving and maintaining a low viral burden and typically involve multiple drugs. The choice of optimal combinations of these drugs is crucial, particularly in the background of treatment failure having occurred previously with certain other drugs. An understanding of the dynamics of viral mutant genotypes aids in the assessment of treatment failure with a certain drug combination, and exploring potential salvage treatment regimens. Mathematical models of viral dynamics have proved invaluable in understanding the viral life cycle and the impact of antiretroviral drugs. However, such models typically use simplified and coarse-grained mutation schemes, that curbs the extent of their application to drug-specific clinical mutation data, in order to assess potential next-line therapies. Statistical models of mutation accumulation have served well in dissecting mechanisms of resistance evolution by reconstructing mutation pathways under different drug-environments. While these models perform well in predicting treatment outcomes by statistical learning, they do not incorporate drug effect mechanistically. Additionally, due to an inherent lack of temporal features in such models, they are less informative on aspects such as predicting mutational abundance at treatment failure. This limits their application in analyzing the pharmacology of antiretroviral drugs, in particular, time-dependent characteristics of HIV therapy such as pharmacokinetics and pharmacodynamics, and also in understanding the impact of drug efficacy on mutation dynamics. In this thesis, we develop an integrated model of in vivo viral dynamics incorporating drug-specific mutation schemes learned from clinical data. Our combined modelling approach enables us to study the dynamics of different mutant genotypes and assess mutational abundance at virological failure. As an application of our model, we estimate in vivo fitness characteristics of viral mutants under different drug environments. Our approach also extends naturally to multiple-drug therapies. Further, we demonstrate the versatility of our model by showing how it can be modified to incorporate recently elucidated mechanisms of drug action including molecules that target host factors. Additionally, we address another important aspect in the clinical management of HIV disease, namely drug pharmacokinetics. It is clear that time-dependent changes in in vivo drug concentration could have an impact on the antiviral effect, and also influence decisions on dosing intervals. We present a framework that provides an integrated understanding of key characteristics of multiple-dosing regimens including drug accumulation ratios and half-lifes, and then explore the impact of drug pharmacokinetics on viral suppression. Finally, parameter identifiability in such nonlinear models of viral dynamics is always a concern, and we investigate techniques that alleviate this issue in our setting. N2 - Das Humane Immundefiecienz-Virus (HIV) widerstanden hat fast drei Jahrzehnten eff Orts targeting eine Heilung. Eine anhaltende Unterdrückung des Virus hat noch eine Herausforderung, vor allem aufgrund der bemerkenswerten evolutionären Anpassung, dass das Virus Exponate durch die Ansammlung von Medikamenten-resistenten Mutationen in seinem Genom. Aktuelle therapeutische Strategien zielen auf das Erreichen und die Erhaltung einer niedrigen virale Belastung und umfassen in der Regel mehrere Medikamente. Die Wahl der optimalen Kombinationen dieser Medikamente ist von entscheidender Bedeutung, besonders im Hintergrund der Behandlung Fehler eingetreten, die zuvor mit bestimmten anderen Medikamenten. Ein Verständnis für die Dynamik der viralen mutierten Genotypen Aids in die Bewertung der Behandlung Fehler mit einer bestimmten Kombination und der Erkundung potenzieller Bergung Behandlungsschemata. Mathematische Modelle für virale Dynamik haben sich als unschätzbar erwiesen hat im Verständnis der viralen Lebenszyklus und die Auswirkungen von antiretroviralen Medikamenten. Allerdings sind solche Modelle verwenden in der Regel simplified und grobkörnigen Mutation Regelungen, dass Aufkantungen den Umfang ihrer Anwendung auf Arzneimittel-ganz speziellec Mutation klinische Daten, um zu beurteilen, mögliche nächste-line Therapien. Statistische Modelle der Mutation Anhäufung gedient haben gut in präparieren Mechanismen der Resistenz Evolution durch Mutation Rekonstruktion Pathways unter verschiedenen Medikamenten-Umgebungen. Während diese Modelle führen gut in der Vorhersage der Ergebnisse der Behandlung durch statistische lernen, sie enthalten keine Droge E ffect mechanistisch. Darüber hinaus aufgrund einer innewohnenden Mangel an zeitlichen Funktionen in solchen Modellen, sie sind weniger informativ auf Aspekte wie die Vorhersage mutational Fülle an Versagen der Behandlung. Dies schränkt die Anwendung in der Analyse der Pharmakologie von antiretroviralen Medikamenten, insbesondere, Zeit-abhängige Merkmale der HIV-Therapie wie Pharmakokinetik und Pharmakodynamik, und auch in dem Verständnis der Auswirkungen von Drogen e fficacy auf Mutation Dynamik. In dieser Arbeit, die wir bei der Entwicklung eines integrierten Modells von In-vivo-virale Dynamik Einbeziehung drug-ganz speziellec Mutation Systeme gelernt aus den klinischen Daten. Unsere kombinierten Modellansatz ermöglicht uns die Untersuchung der Dynamik von diff schiedene mutierten Genotypen und bewerten mutational Fülle an virologischem Versagen. Als Anwendung unseres Modells schätzen wir In-vivo-fitness Merkmale der viralen Mutanten unter di fferent drug Umgebungen. Unser Ansatz erstreckt sich auch natürlich auf mehrere-Therapien. Weitere zeigen wir die Vielseitigkeit unseres Modells zeigen, wie es können Modified zu integrieren kürzlich aufgeklärt Mechanismen der Drug Action einschließlich Molekülen, dass target host Faktoren. Zusätzlich haben wir Adresse ein weiterer wichtiger Aspekt in der klinischen Management der HIV-Erkrankung, das heißt Drogen Pharmakokinetik. Es ist klar, dass die Zeit-abhängige Änderungen in In-vivo-Wirkstoffkonzentration könnten die Auswirkungen auf die antivirale E ffect und haben auch Einfluss auf die Entscheidungen über Dosierungsintervalle. Wir präsentieren ein Framework, bietet ein integriertes Verständnis der wichtigsten Merkmale von mehreren Dosierungsschemata einschließlich Kumulation Übersetzungen und Halbwertszeiten, und untersuchen Sie die Auswirkungen von Drogen auf die Pharmakokinetik Virussuppression. Schließlich, Parameter identifiFähigkeit in solchen nichtlineare Modelle der virale Dynamik ist immer ein Anliegen, und wir untersuchen Methoden, um dieses Problem in unserer Einstellung. KW - HIV KW - mathematical modelling KW - viral fitness KW - pharmacokinetics KW - parameter estimation KW - HIV Erkrankung KW - Pharmakokinetik KW - Fitness KW - mathematische Modellierung KW - Kombinationstherapie Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-100100 ER - TY - GEN A1 - Ćwiek-Kupczyńska, Hanna A1 - Altmann, Thomas A1 - Arend, Daniel A1 - Arnaud, Elizabeth A1 - Chen, Dijun A1 - Cornut, Guillaume A1 - Fiorani, Fabio A1 - Frohmberg, Wojciech A1 - Junker, Astrid A1 - Klukas, Christian A1 - Lange, Matthias A1 - Mazurek, Cezary A1 - Nafissi, Anahita A1 - Neveu, Pascal A1 - van Oeveren, Jan A1 - Pommier, Cyril A1 - Poorter, Hendrik A1 - Rocca-Serra, Philippe A1 - Sansone, Susanna-Assunta A1 - Scholz, Uwe A1 - van Schriek, Marco A1 - Seren, Ümit A1 - Usadel, Björn A1 - Weise, Stephan A1 - Kersey, Paul A1 - Krajewski, Paweł T1 - Measures for interoperability of phenotypic data BT - minimum information requirements and formatting T2 - Plant methods N2 - Background: Plant phenotypic data shrouds a wealth of information which, when accurately analysed and linked to other data types, brings to light the knowledge about the mechanisms of life. As phenotyping is a field of research comprising manifold, diverse and time ‑consuming experiments, the findings can be fostered by reusing and combin‑ ing existing datasets. Their correct interpretation, and thus replicability, comparability and interoperability, is possible provided that the collected observations are equipped with an adequate set of metadata. So far there have been no common standards governing phenotypic data description, which hampered data exchange and reuse. Results: In this paper we propose the guidelines for proper handling of the information about plant phenotyping experiments, in terms of both the recommended content of the description and its formatting. We provide a docu‑ ment called “Minimum Information About a Plant Phenotyping Experiment”, which specifies what information about each experiment should be given, and a Phenotyping Configuration for the ISA ‑Tab format, which allows to practically organise this information within a dataset. We provide examples of ISA ‑Tab ‑formatted phenotypic data, and a general description of a few systems where the recommendations have been implemented. Conclusions: Acceptance of the rules described in this paper by the plant phenotyping community will help to achieve findable, accessible, interoperable and reusable data. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 450 KW - data standardisation and formatting KW - experimental metadata KW - minimum information recommendations KW - plant phenotyping KW - experiment description Y1 - 2018 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-407299 ER - TY - THES A1 - Tamasi, Katalin T1 - Measuring children’s sensitivity to phonological detail using eye tracking and pupillometry T1 - Untersuchung der Sensitivität von Kleinkindern für phonologische Details mit Hilfe von Eye-Tracking und Pupillometrie N2 - Infants' lexical processing is modulated by featural manipulations made to words, suggesting that early lexical representations are sufficiently specified to establish a match with the corresponding label. However, the precise degree of detail in early words requires further investigation due to equivocal findings. We studied this question by assessing children’s sensitivity to the degree of featural manipulation (Chapters 2 and 3), and sensitivity to the featural makeup of homorganic and heterorganic consonant clusters (Chapter 4). Gradient sensitivity on the one hand and sensitivity to homorganicity on the other hand would suggest that lexical processing makes use of sub-phonemic information, which in turn would indicate that early words contain sub-phonemic detail. The studies presented in this thesis assess children’s sensitivity to sub-phonemic detail using minimally demanding online paradigms suitable for infants: single-picture pupillometry and intermodal preferential looking. Such paradigms have the potential to uncover lexical knowledge that may be masked otherwise due to cognitive limitations. The study reported in Chapter 2 obtained a differential response in pupil dilation to the degree of featural manipulation, a result consistent with gradient sensitivity. The study reported in Chapter 3 obtained a differential response in proportion of looking time and pupil dilation to the degree of featural manipulation, a result again consistent with gradient sensitivity. The study reported in Chapter 4 obtained a differential response to the manipulation of homorganic and heterorganic consonant clusters, a result consistent with sensitivity to homorganicity. These results suggest that infants' lexical representations are not only specific, but also detailed to the extent that they contain sub-phonemic information. N2 - Die lexikalische Verarbeitung bei Kleinkindern kann durch die Manipulation von phonologischen Merkmalen moduliert werden. Dies deutet darauf hin, dass frühe lexikalische Repräsentationen hinreichend spezifiziert sind, um einen Abgleich mit einem gehörten Wort herzustellen. Aufgrund von nicht einheitlichen Befunden ist jedoch weitere Forschung notwendig, um zu bestimmen, wie detailliert erste Wörter repräsentiert werden. Dieser Frage wurde nachgegangen, indem die Sensitivität der Kinder gegenüber dem Grad der Merkmalmanipulation (Kapitel 2 und 3) und gegenüber homorganischen und heterorganischen Konsonantenclustern (Kapitel 4) untersucht wurde. Eine gradiente Sensitivität gegenüber der Manipulation phonologischer Merkmale und eine Sensitivität gegenüber der Homorganizität deuten darauf hin, dass Gradientenempfindlichkeit auf der einen Seite und die Empfindlichkeit gegenüber der für die lexikalische Verarbeitung subphonemische Informationen relevant sind, was wiederum darauf schließen lässt, dass lexikalische Repräsentationen subphonemische Details enthalten. Die Studien, die in dieser Arbeit vorgestellt werden, untersuchen die Sensitivität von 30 Monate alten Kindern für subphonemische Details mit Online-Paradigmen, die für Kleinkinder geeignet sind: Einzelbild-Pupillometrie und "intermodal preferential looking". Diese Paradigmen haben das Potenzial, lexikalisches Wissen aufzudecken, das sonst aufgrund kognitiver Beanspruchungen verdeckt bleibt. Die in Kapitel 2 berichtete Studie zeigt eine differenzielle Reaktion in der Pupillendilatation in Verbindung mit dem Grad der Merkmalsmanipulation, ein Ergebnis, das die Sensitivität gegenüber der Gradienz der phonologischen Distanz nahelegt. Die Studie in Kapitel 3 zeigt eine differenzielle Reaktion sowohl in der Pupillendilatation auch in den Blickzeiten in Abhängigkeit vom Grad der phonologischen Merkmalmanipulation, ein Ergebnis das das der Studie 2 unterstützt. Die in Kapitel 4 berichtete Studie zeigt Unterschiede in der Pupillendilation nur in Reaktion auf eine phonologische Manipulation der homorganischen nicht aber der heterorganischen Konsonantencluster. Dieses Ergebnis stützt die Annahme, einer frühen Sensitivität gegenüber Homorganizität. Diese Ergebnisse deuten darauf hin, dass die lexikalischen Repräsentationen von Kleinkindern nicht nur spezifisch, sondern auch detailliert sind, da sie subphonemische Informationen enthalten. KW - phonological development KW - consonant clusters KW - mispronunciation detection KW - pupillometry KW - eye tracking KW - phonologische Entwicklung KW - Konsonantencluster KW - mispronunciation detection KW - Pupillometrie KW - Eye-Tracking Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-395954 ER - TY - THES A1 - Gomez, David T1 - Mechanisms of biochemical reactions within crowded environments T1 - Mechanismus der Biochemische Reaktionen im vollgestopfte Umgebungen N2 - The cell interior is a highly packed environment in which biological macromolecules evolve and function. This crowded media has effects in many biological processes such as protein-protein binding, gene regulation, and protein folding. Thus, biochemical reactions that take place in such crowded conditions differ from diluted test tube conditions, and a considerable effort has been invested in order to understand such differences. In this work, we combine different computationally tools to disentangle the effects of molecular crowding on biochemical processes. First, we propose a lattice model to study the implications of molecular crowding on enzymatic reactions. We provide a detailed picture of how crowding affects binding and unbinding events and how the separate effects of crowding on binding equilibrium act together. Then, we implement a lattice model to study the effects of molecular crowding on facilitated diffusion. We find that obstacles on the DNA impair facilitated diffusion. However, the extent of this effect depends on how dynamic obstacles are on the DNA. For the scenario in which crowders are only present in the bulk solution, we find that at some conditions presence of crowding agents can enhance specific-DNA binding. Finally, we make use of structure-based techniques to look at the impact of the presence of crowders on the folding a protein. We find that polymeric crowders have stronger effects on protein stability than spherical crowders. The strength of this effect increases as the polymeric crowders become longer. The methods we propose here are general and can also be applied to more complicated systems. N2 - Innerhalb einer Zelle, im Zytosol, entstehen und arbeiten sehr viele biologische Makromoleküle. Die Dichte dieser Moleküle ist sehr hoch und dieses ‘vollgestopfte’ Zytosol hat vielfältige Auswirkungen auf viele biologische Prozessen wie zum Beispiel Protein-Protein Interaktionen, Genregulation oder die Faltung von Proteinen. Der Ablauf von vielen biochemische Reaktionen in dieser Umgebung weicht von denen unter verdünnte Laborbedingungen ab. Um die Effekte dieses ‘makromolekularen Crowdings’ zu verstehen, wurde in den letzten Jahren bereits viel Mühe investiert. In dieser Arbeit kombinieren wir verschiede Computermethoden, um die Wirkungen des ‘makromolekularen Crowdings’ auf biologische Prozesse besser zu verstehen. Zuerst schlagen wir ein Gittermodell vor, um damit die Effekte des ‘makromolekularen Crowdings’ auf enzymatische Reaktionen zu studieren. Damit stellen wir ein detailliertes Bild zusammen, wie Crowding die Assoziations- und Dissozotationsraten beeinflusst und wie verschiedene crowding-Effekte zusammen auf die Gleichgewichtskonstante wirken. Weiterhin implementieren wir ein Gittermodell der ‘erleichterte Diffusion’. Unsere Ergebnisse zeigen, dass Hindernisse an der DNA die vereinfachte Diffusion beeinträchtigen. Das Ausmass dieser Wirkung hängt dabei von der Dynamik der Hindernisse an der DNA ab. Im dem Fall dass Crowder ausschließlich in der Lösung vorhanden sind, erhöhen sich unter bestimmten Bedingungen DNA-spezifische Bindungen. Schließlich nutzten wir strukturbasierte Techniken um damit die Auswirkungen von Crowding auf die Faltung von Proteinen zu untersuchen. Wir fanden dabei, dass Polymer Crowder stärkere Wirkungen auf die Proteinstabilität haben als kugelförmige Crowder. Dieser Effekt verstärkte sich mit der Länge der untersuchten Polymere. Die Methoden die hier vorgeschlagen werden, sind generell anwendbar und können auch an deutlich komplexeren Systemen angewandt werden. KW - molecular crowding KW - gene expression KW - enzymatic activity KW - protein folding KW - Molecular crowding KW - enzymatische Reaktionen KW - Genregulation KW - Faltung von Proteinen Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-94593 ER - TY - GEN A1 - Tomov, Petar A1 - Pena, Rodrigo F. O. A1 - Roque, Antonio C. A1 - Zaks, Michael A. T1 - Mechanisms of self-sustained oscillatory states in hierarchical modular networks with mixtures of electrophysiological cell types T2 - Frontiers in computational neuroscience N2 - In a network with a mixture of different electrophysiological types of neurons linked by excitatory and inhibitory connections, temporal evolution leads through repeated epochs of intensive global activity separated by intervals with low activity level. This behavior mimics "up" and "down" states, experimentally observed in cortical tissues in absence of external stimuli. We interpret global dynamical features in terms of individual dynamics of the neurons. In particular, we observe that the crucial role both in interruption and in resumption of global activity is played by distributions of the membrane recovery variable within the network. We also demonstrate that the behavior of neurons is more influenced by their presynaptic environment in the network than by their formal types, assigned in accordance with their response to constant current. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 452 KW - self-sustained activity KW - cortical oscillations KW - irregular firing activity KW - hierarchical modular networks KW - cortical network models KW - intrinsic neuronal diversity KW - up-down states KW - chaotic neural dynamics Y1 - 2018 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-407724 ER - TY - GEN A1 - Guardado-Calvo, Pablo A1 - Bignon, Eduardo A. A1 - Stettner, Eva A1 - Jeffers, Scott Allen A1 - Pérez-Vargas, Jimena A1 - Pehau-Arnaudet, Gerard A1 - Tortorici, M. Alejandra A1 - Jestin, Jean- Luc A1 - England, Patrick A1 - Tischler, Nicole D. A1 - Rey, Félix A. T1 - Mechanistic insight into bunyavirus-induced membrane fusion from structure-function analyses of the hantavirus envelope glycoprotein Gc T2 - Postprints der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe N2 - Hantaviruses are zoonotic viruses transmitted to humans by persistently infected rodents, giving rise to serious outbreaks of hemorrhagic fever with renal syndrome (HFRS) or of hantavirus pulmonary syndrome (HPS), depending on the virus, which are associated with high case fatality rates. There is only limited knowledge about the organization of the viral particles and in particular, about the hantavirus membrane fusion glycoprotein Gc, the function of which is essential for virus entry. We describe here the X-ray structures of Gc from Hantaan virus, the type species hantavirus and responsible for HFRS, both in its neutral pH, monomeric pre-fusion conformation, and in its acidic pH, trimeric post-fusion form. The structures confirm the prediction that Gc is a class II fusion protein, containing the characteristic beta-sheet rich domains termed I, II and III as initially identified in the fusion proteins of arboviruses such as alpha-and flaviviruses. The structures also show a number of features of Gc that are distinct from arbovirus class II proteins. In particular, hantavirus Gc inserts residues from three different loops into the target membrane to drive fusion, as confirmed functionally by structure-guided mutagenesis on the HPS-inducing Andes virus, instead of having a single "fusion loop". We further show that the membrane interacting region of Gc becomes structured only at acidic pH via a set of polar and electrostatic interactions. Furthermore, the structure reveals that hantavirus Gc has an additional N-terminal "tail" that is crucial in stabilizing the post-fusion trimer, accompanying the swapping of domain III in the quaternary arrangement of the trimer as compared to the standard class II fusion proteins. The mechanistic understandings derived from these data are likely to provide a unique handle for devising treatments against these human pathogens. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 676 KW - Semliki-forest-virus KW - Borne encephalitis-virus KW - N-linked glycosylation KW - human dendritic cells KW - Valley fever virus KW - Hantaan-virus KW - Hemorrhagic-fever KW - crystal-structure KW - electron crytomography KW - pulmonary syndrome Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-411599 SN - 1866-8372 IS - 676 ER - TY - GEN A1 - Niederer, Daniel A1 - Vogt, Lutz A1 - Wippert, Pia-Maria A1 - Puschmann, Anne-Katrin A1 - Pfeifer, Ann-Christin A1 - Schiltenwolf, Marcus A1 - Banzer, Winfried A1 - Mayer, Frank T1 - Medicine in spine exercise (MiSpEx) for nonspecific low back pain patients BT - study protocol for a multicentre, single-blind randomized controlled trial T2 - Postprints der Universität Potsdam : Humanwissenschaftliche Reihe N2 - Background: Arising from the relevance of sensorimotor training in the therapy of nonspecific low back pain patients and from the value of individualized therapy, the present trial aims to test the feasibility and efficacy of individualized sensorimotor training interventions in patients suffering from nonspecific low back pain. Methods and study design: A multicentre, single-blind two-armed randomized controlled trial to evaluate the effects of a 12-week (3 weeks supervised centre-based and 9 weeks home-based) individualized sensorimotor exercise program is performed. The control group stays inactive during this period. Outcomes are pain, and pain-associated function as well as motor function in adults with nonspecific low back pain. Each participant is scheduled to five measurement dates: baseline (M1), following centre-based training (M2), following home-based training (M3) and at two follow-up time points 6 months (M4) and 12 months (M5) after M1. All investigations and the assessment of the primary and secondary outcomes are performed in a standardized order: questionnaires – clinical examination – biomechanics (motor function). Subsequent statistical procedures are executed after the examination of underlying assumptions for parametric or rather non-parametric testing. Discussion: The results and practical relevance of the study will be of clinical and practical relevance not only for researchers and policy makers but also for the general population suffering from nonspecific low back pain. Trial registration: Identification number DRKS00010129. German Clinical Trial registered on 3 March 2016. T3 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe - 444 KW - sensorimotor training KW - motor control KW - exercise KW - low back painExercise KW - functional capacity KW - individualized intervention Y1 - 2018 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-407308 IS - 444 ER - TY - THES A1 - Markova, Mariya T1 - Metabolic and molecular effects of two different isocaloric high protein diets in subjects with type 2 diabetes T1 - Metabolische und molekulare Effekte zweier isokalorischer Hochproteindiäten unterschiedlicher Herkunft bei Probanden mit Typ-2-Diabetes N2 - Ernährung stellt ein wichtiger Faktor in der Prävention und Therapie von Typ-2-Diabetes dar. Frühere Studien haben gezeigt, dass Hochproteindiäten sowohl positive als auch negative Effekte auf den Metabolismus hervorrufen. Jedoch ist unklar, ob die Herkunft des Proteins dabei eine Rolle spielt. In der LeguAN-Studie wurden die Effekte von zwei unterschiedlichen Hochproteindiäten, entweder tierischer oder pflanzlicher Herkunft, bei Typ-2-Diabetes Patienten untersucht. Beide Diäten enthielten 30 EN% Proteine, 40 EN% Kohlenhydrate und 30 EN% Fette. Der Anteil an Ballaststoffen, der glykämischer Index und die Fettkomposition waren in beiden Diäten ähnlich. Die Proteinaufnahme war höher, während die Fettaufnahme niedriger im Vergleich zu den früheren Ernährungsgewohnheiten der Probanden war. Insgesamt führten beide Diätinterventionen zu einer Verbesserung der glykämischen Kontrolle, der Insulinsensitivität, des Leberfettgehalts und kardiovaskulärer Risikomarkern ohne wesentliche Unterschiede zwischen den Proteintypen. In beiden Interventionsgruppen wurden die nüchternen Glukosewerte zusammen mit Indizes von Insulinresistenz in einem unterschiedlichen Ausmaß, jedoch ohne signifikante Unterschiede zwischen beiden Diäten verbessert. Die Reduktion von HbA1c war ausgeprägter in der pflanzlichen Gruppe, während sich die Insulinsensitivität mehr in der tierischen Gruppe erhöhte. Die Hochproteindiäten hatten nur einen geringfügigen Einfluss auf den postprandialen Metabolismus. Dies zeigte sich durch eine leichte Verbesserung der Indizes für Insulinsekretion, -sensitivität und –degradation sowie der Werte der freien Fettsäuren. Mit Ausnahme des Einflusses auf die GIP-Sekretion riefen die tierische und die pflanzliche Testmahlzeit ähnliche metabolische und hormonelle Antworten, trotz unterschiedlicher Aminosäurenzusammensetzung. Die tierische Hochproteindiät führte zu einer selektiven Zunahme der fettfreien Masse und Abnahme der Fettmasse, was nicht signifikant unterschiedlich von der pflanzlichen Gruppe war. Darüber hinaus reduzierten die Hochproteindiäten den Leberfettgehalt um durchschnittlich 42%. Die Reduktion des Leberfettgehaltes ging mit einer Verminderung der Lipogenese, der Lipolyse und des freien Fettsäure Flux einher. Beide Interventionen induzierten einen moderaten Abfall von Leberenzymen im Blut. Die Reduktion des Leberfetts war mit einer verbesserten Glukosehomöostase und Insulinsensitivität assoziiert. Blutlipide sanken in allen Probanden, was eventuell auf die niedrigere Fettaufnahme zurückzuführen war. Weiterhin waren die Spiegel an Harnsäure und Inflammationsmarkern erniedrigt unabhängig von der Proteinquelle. Die Werte des systolischen und diastolischen Blutdrucks sanken nur in der pflanzlichen Gruppe, was auf eine potentielle Rolle von Arginin hinweist. Es wurden keine Hinweise auf eine beeinträchtigte Nierenfunktion durch die 6-wöchige Hochproteindiäten beobachtet unabhängig von der Herkunft der Proteine. Serumkreatinin war nur in der pflanzlichen Gruppe signifikant reduziert, was eventuell an dem geringen Kreatingehalt der pflanzlichen Nahrungsmittel liegen könnte. Jedoch sind längere Studien nötig, um die Sicherheit von Hochproteindiäten vollkommen aufklären zu können. Des Weiteren verursachte keine der Diäten eine Induktion des mTOR Signalwegs weder im Fettgewebe noch in Blutzellen. Die Verbesserung der Ganzkörper-Insulinsensitivität deutete auch auf keine Aktivierung von mTOR und keine Verschlechterung der Insulinsensitivität im Skeletmuskel hin. Ein nennenswerter Befund war die erhebliche Reduktion von FGF21, einem wichtigen Regulator metabolischer Prozesse, um ungefähr 50% bei beiden Proteinarten. Ob hepatischer ER-Stress, Ammoniumniveau oder die Makronährstoffpräferenz hinter dem paradoxen Ergebnis stehen, sollte weiter im Detail untersucht werden. Entgegen der anfänglichen Erwartung und der bisherigen Studienlage zeigte die pflanzlich-betonte Hochproteindiät keine klaren Vorteile gegenüber der tierischen Diät. Der ausgeprägte günstige Effekt des tierischen Proteins auf Insulinhomöostase trotz des hohen BCAA-Gehaltes war sicherlich unerwartet und deutet darauf hin, dass bei dem längeren Verzehr andere komplexe metabolische Adaptationen stattfinden. Einen weiteren Aspekt stellt der niedrigere Fettverzehr dar, der eventuell auch zu den Verbesserungen in beiden Gruppen beigetragen hat. Zusammenfassend lässt sich sagen, dass eine 6-wöchige Diät mit 30 EN% Proteinen (entweder pflanzlich oder tierisch), 40 EN% Kohlenhydraten und 30 EN% Fetten mit weniger gesättigten Fetten zu metabolischen Verbesserungen bei Typ-2-Diabetes Patienten unabhängig von Proteinherkunft führt. N2 - Dietary approaches contribute to the prevention and treatment of type 2 diabetes. High protein diets were shown to exert beneficial as well as adverse effects on metabolism. However, it is unclear whether the protein origin plays a role in these effects. The LeguAN study investigated in detail the effects of two high protein diets, either from plant or animal origin, in type 2 diabetic patients. Both diets contained 30 EN% protein, 40 EN% carbohydrates, and 30 EN% fat. Fiber content, glycemic index, and composition of dietary fats were similar in both diets. In comparison to previous dietary habits, the fat content was exchanged for protein, while the carbohydrate intake was not modified. Overall, both high protein diets led to improvements of glycemic control, insulin sensitivity, liver fat, and cardiovascular risk markers without remarkable differences between the protein types. Fasting glucose together with indices of insulin resistance were ameliorated by both interventions to varying extents but without significant differences between protein types. The decline of HbA1c was more pronounced in the plant protein group, whereby the improvement of insulin sensitivity in the animal protein group. The high protein intake had only slight influence on postprandial metabolism seen for free fatty acids and indices of insulin secretion, sensitivity and degradation. Except for GIP release, ingestion of animal and plant meals did not provoke differential metabolic and hormonal responses despite diverse circulating amino acid levels. The animal protein diets led to a selective increase of fat-free mass and decrease of total fat mass, which was not significantly different from the plant protein diet. Moreover, the high protein diets potently decreased liver fat content by 42% on average which was linked to significantly diminished lipogenesis, free fatty acids flux and lipolysis in adipose tissue. Moderate decline of circulating liver enzymes was induced by both interventions. The liver fat reduction was associated with improved glucose homeostasis and insulin sensitivity which underlines the protective effect of the diets. Blood lipid profile improved in all subjects and was probably related to the lower fat intake. Reductions in uric acid and markers of inflammation further argued for metabolic benefits of both high protein diets. Systolic and diastolic blood pressure declined only in the PP group pointing a possible role of arginine. Kidney function was not altered by high protein consumption over 6 weeks. The rapid decrease of serum creatinine in the PP group was noteworthy and should be further investigated. Protein type did not seem to play a role but long-term studies are warranted to fully elucidate safety of high protein regimen. Varying the source of dietary proteins did not affect the mTOR pathway in adipose tissue and blood cells under neither acute nor chronic settings. Enhancement of whole-body insulin sensitivity suggested also no alteration of mTOR and no impairment of insulin sensitivity in skeletal muscle. A remarkable outcome was the extensive reduction of FGF21, critical regulator of metabolic processes, by approximately 50% independently of protein type. Whether hepatic ER-stress, ammonia flux or rather macronutrient preferences is behind this paradoxical finding remains to be investigated in detail. Unlike initial expectations and previous reports plant protein based diet had no clear advantage over animal proteins. The pronounced beneficial effect of animal protein on insulin homeostasis despite high BCAA and methionine intake was certainly unexpected assuming more complex metabolic adaptations occurring upon prolonged consumption. In addition, the reduced fat intake may have also contributed to the overall improvements in both groups. Taking into account the above observed study results, a short-term diet containing 30 EN% protein (either from plant or animal origin), 40 EN% carbohydrates, and 30 EN% fat with lower SFA amount leads to metabolic improvements in diabetic patients, regardless of protein source. KW - type 2 diabetes KW - nutrition KW - protein KW - Typ-2-Diabetes KW - Ernährung KW - high protein diet Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-394310 ER - TY - GEN A1 - Errard, Audrey A1 - Ulrichs, Christian A1 - Kühne, Stefan A1 - Mewis, Inga A1 - Mishig, Narantuya A1 - Maul, Ronald A1 - Drungowski, Mario A1 - Parolin, Pia A1 - Schreiner, Monika A1 - Baldermann, Susanne T1 - Metabolite profiling reveals a specific response in tomato to predaceous Chrysoperla carnea larvae and herbivore(s)-predator interactions with the generalist pests Tetranychus urticae and Myzus persicae T2 - Frontiers in plant science N2 - The spider mite Tetranychus urticae Koch and the aphid Myzus persicae (Sulzer) both infest a number of economically significant crops, including tomato (Solanurn lycopersicum). Although used for decades to control pests, the impact of green lacewing larvae Chrysoperla carnea (Stephens) on plant biochemistry was not investigated. Here, we used profiling methods and targeted analyses to explore the impact of the predator and herbivore(s)-predator interactions on tomato biochemistry. Each pest and pest -predator combination induced a characteristic metabolite signature in the leaf and the fruit thus, the plant exhibited a systemic response. The treatments had a stronger impact on non-volatile metabolites including abscisic acid and amino acids in the leaves in comparison with the fruits. In contrast, the various biotic factors had a greater impact on the carotenoids in the fruits. We identified volatiles such as myrcene and alpha-terpinene which were induced by pest -predator interactions but not by single species, and we demonstrated the involvement of the phytohormone abscisic acid in tritrophic interactions for the first time. More importantly, C. carnea larvae alone impacted the plant metabolome, but the predator did not appear to elicit particular defense pathways on its own. Since the presence of both C. carnea larvae and pest individuals elicited volatiles which were shown to contribute to plant defense, C. carnea larvae could therefore contribute to the reduction of pest infestation, not only by its preying activity, but also by priming responses to generalist herbivores such as T urticae and M. persicae. On the other hand, the use of C. carnea larvae alone did not impact carotenoids thus, was not prejudicial to the fruit quality. The present piece of research highlights the specific impact of predator and tritrophic interactions with green lacewing larvae, spider mites, and aphids on different components of the tomato primary and secondary metabolism for the first time, and provides cues for further in-depth studies aiming to integrate entomological approaches and plant biochemistry. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 454 KW - carotenoids KW - plant volatiles KW - Chrysopidae KW - Solanaceae KW - multiple-pest infestation KW - tritrophic system KW - Twister TM KW - biological pest control Y1 - 2018 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-407913 ER - TY - GEN A1 - Behrendt, Felix Nicolas A1 - Schlaad, Helmut T1 - Metathesis polymerization of cystine-based macrocycles N2 - Macrocycles based on L-cystine were synthesized by ring-closing metathesis (RCM) and subsequently polymerized by entropy-driven ring-opening metathesis polymerization (ED-ROMP). Monomer conversion reached ∼80% in equilibrium and the produced poly(ester-amine-disulfide-alkene)s exhibited apparent molar masses (Mappw) of up to 80 kDa and dispersities (Đ) of ∼2. The polymers can be further functionalized with acid anhydrides and degraded by reductive cleavage of the main-chain disulfide. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 329 Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-395080 ER - TY - GEN A1 - Siegmund, Jonatan Frederik A1 - Sanders, Tanja G. M. A1 - Heinrich, Ingo A1 - Maaten, Ernst van der A1 - Simard, Sonia A1 - Helle, Gerhard A1 - Donner, Reik Volker T1 - Meteorological drivers of extremes in daily stem radius variations of beech, oak, and pine in Northeastern Germany BT - an event coincidence analysis T2 - Frontiers in plant science N2 - Observed recent and expected future increases in frequency and intensity of climatic extremes in central Europe may pose critical challenges for domestic tree species. Continuous dendrometer recordings provide a valuable source of information on tree stem radius variations, offering the possibility to study a tree's response to environmental influences at a high temporal resolution. In this study, we analyze stem radius variations (SRV) of three domestic tree species (beech, oak, and pine) from 2012 to 2014. We use the novel statistical approach of event coincidence analysis (ECA) to investigate the simultaneous occurrence of extreme daily weather conditions and extreme SRVs, where extremes are defined with respect to the common values at a given phase of the annual growth period. Besides defining extreme events based on individual meteorological variables, we additionally introduce conditional and joint ECA as new multivariate extensions of the original methodology and apply them for testing 105 different combinations of variables regarding their impact on SRV extremes. Our results reveal a strong susceptibility of all three species to the extremes of several meteorological variables. Yet, the inter-species differences regarding their response to the meteorological extremes are comparatively low. The obtained results provide a thorough extension of previous correlation-based studies by emphasizing on the timings of climatic extremes only. We suggest that the employed methodological approach should be further promoted in forest research regarding the investigation of tree responses to changing environmental conditions. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 456 KW - dendrometer measurements KW - event coincidence analysis KW - climate extremes KW - growth response Y1 - 2018 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-407943 ER - TY - THES A1 - Osudar, Roman T1 - Methane distribution and oxidation across aquatic interfaces T1 - Verteilung und Oxidation von Methan in aquatischen Ökosystemen BT - case studies from Arctic water bodies and the Elbe estuary BT - Fallstudien aus arktischen Wasserkörpern und dem Elbe Ästuar N2 - The increase in atmospheric methane concentration, which is determined by an imbalance between its sources and sinks, has led to investigations of the methane cycle in various environments. Aquatic environments are of an exceptional interest due to their active involvement in methane cycling worldwide and in particular in areas sensitive to climate change. Furthermore, being connected with each other aquatic environments form networks that can be spread on vast areas involving marine, freshwater and terrestrial ecosystems. Thus, aquatic systems have a high potential to translate local or regional environmental and subsequently ecosystem changes to a bigger scale. Many studies neglect this connectivity and focus on individual aquatic or terrestrial ecosystems. The current study focuses on environmental controls of the distribution and aerobic oxidation of methane at the example of two aquatic ecosystems. These ecosystems are Arctic fresh water bodies and the Elbe estuary which represent interfaces between freshwater-terrestrial and freshwater-marine environments, respectively. Arctic water bodies are significant atmospheric sources of methane. At the same time the methane cycle in Arctic water bodies is strongly affected by the surrounding permafrost environment, which is characterized by high amounts of organic carbon. The results of this thesis indicate that the methane concentrations in Arctic lakes and streams substantially vary between each other being regulated by local landscape features (e.g. floodplain area) and the morphology of the water bodies (lakes, streams and river). The highest methane concentrations were detected in the lake outlets and in a floodplain lake complex. In contrast, the methane concentrations measured at different sites of the Lena River did not vary substantially. The lake complexes in comparison to the Lena River, thus, appear as more individual and heterogeneous systems with a pronounced imprint of the surrounding soil environment. Furthermore, connected with each other Arctic aquatic environments have a large potential to transport methane from methane-rich water bodies such as streams and floodplain lakes to aquatic environments relatively poor in methane such as the Lena River. Estuaries represent hot spots of oceanic methane emissions. Also, estuaries are intermediate zones between methane-rich river water and methane depleted marine water. Substantiated through this thesis at the example of the Elbe estuary, the methane distribution in estuaries, however, cannot entirely be described by the conservative mixing model i.e. gradual decrease from the freshwater end-member to the marine water end-member. In addition to the methane-rich water from the Elbe River mouth substantial methane input occurs from tidal flats, areas of significant interaction between aquatic and terrestrial environments. Thus, this study demonstrates the complex interactions and their consequences for the methane distribution within estuaries. Also it reveals how important it is to investigate estuaries at larger spatial scales. Methane oxidation (MOX) rates are commonly correlated with methane concentrations. This was shown in previous research studies and was substantiated by the present thesis. In detail, the highest MOX rates in the Arctic water bodies were detected in methane-rich streams and in the floodplain area while in the Elbe estuary the highest MOX rates were observed at the coastal stations. However, in these bordering environments, MOX rates are affected not only via the regulation through methane concentrations. The MOX rates in the Arctic lakes were shown to be also dependent on the abundance and community composition of methane-oxidising bacteria (MOB), that in turn are controlled by local landscape features (regardless of the methane concentrations) and by the transport of MOB between neighbouring environments. In the Elbe estuary, the MOX rates in addition to the methane concentrations are largely affected by the salinity, which is in turn regulated by the mixing of fresh- and marine waters. The magnitude of the salinity impact on MOX rates thereby depends on the MOB community composition and on the rate of the salinity change. This study extends our knowledge of environmental controls of methane distribution and aerobic methane oxidation in aquatic environments. It also illustrates how important it is to investigate complex ecosystems rather than individual ecosystems to better understand the functioning of whole biomes. N2 - Aufgrund des Anstiegs der Methankonzentration in der Atmosphäre, der durch ein Ungleichgewicht zwischen Quellen und Senken hervorgerufen wird, steht der Methankreislauf im Fokus der Forschung. Aquatische Ökosysteme, und im Speziellen solche, die vom Klimawechsel besonders betroffen sind, spielen eine wichtige Rolle im globalen Methankreislauf. Darüber hinaus können sie über große Areale miteinander verknüpft sein und terrestrische mit marinen Ökosystemen verbinden. In aquatischen Systemen können sich daher lokale und regionale Umweltänderungen auf sehr große räumliche Skalen auswirken. Viele Untersuchungen berücksichtigen diesen Zusammenhang nicht und betrachten aquatische unabhängig von den sich angrenzenden Ökosystemen. Die vorliegende Arbeit untersucht den Einfluss von Umweltfaktoren auf die Methankonzentration und die mikrobielle aerobe Methanoxidation. Der Schwerpunkt liegt dabei auf zwei aquatischen Ökosystemen, arktische Süßwassertransekte und Ästuare, und auf deren mikrobieller Ökologie. Diese beiden Ökosysteme beschreiben typische terrestrisch-limnische und limnisch-marine Übergangsbereiche. Arktische Gewässer stellen eine wichtige Quelle für atmosphärisches Methan dar. Sie werden außerdem stark durch den umgebenden Permafrost, der reich an organischer Substanz ist, beeinflusst. Die Ergebnisse der vorliegenden Arbeit zeigen am Beispiel des Lena-Deltas, dass sich die Methankonzentrationen in arktischen Seen und Fließgewässern wesentlich voneinander unterscheiden. Besonderen Einfluss üben hierbei das örtliche Landschaftsbild (z.B. Überflutungsbereiche) und die Charakteristika der Wasserkörper (Seen, Wasserläufe und Flüsse) aus. Die höchsten Methankonzentrationen wurden in Seeabläufen und in Seen einer Überflutungsebene (Seekomplex) gemessen. Im Gegensatz dazu unterschieden sich die Methankonzentrationen an verschiedenen Messpunkten der Lena nur unwesentlich. Der Seekomplex erscheint daher im Vergleich zur Lena heterogener und stark vom umgebenden Bodenökosystem beeinflusst. Die miteinander vernetzten arktischen aquatischen Ökosysteme haben darüber hinaus ein hohes Potential, Methan von methan-reichen Gewässern, wie Wasserläufen und Überflutungsgebieten, zu relativ methan-armen Gewässern wie der Lena zur transportieren. Ästuare sind „hot spots“ der Methanemission von marin beeinflussten Systemen. Sie stellen Übergangszonen zwischen methan-reichem Flusswasser und methan-armem Meerwasser dar. Wie die Untersuchungen am Elbe Ästuar zeigen, kann die Methanverteilung jedoch nicht immer hinreichend durch das konservative Durchmischungs-Model (graduelle Abnahme vom Süß- zum Meerwasser hin) beschrieben werden. Zusätzlich zum methan-reichen Wasser der Elbemündung konnte der Eintrag von Methan in Wattbereichen, Gegenden starker aquatischer und terrestrischer Interaktion, gezeigt werden. Diese Studie verdeutlicht demnach die Komplexität von Ästuarsystemen hinsichtlich der Methanverteilung und die Notwendigkeit, diese in größeren Maßstäben zu untersuchen. Methanoxidationsraten (MOX-Raten) korrelieren gewöhnlich mit den Methankonzentrationen. Dies zeigen die hier vorliegenden Daten aber auch vorherige Studien. Die höchsten MOX-Raten der arktischen Gewässer wurden im Rahmen dieser Arbeit in methan-reichen Fließgewässern sowie einer Überflutungsebene gemessen. Im Elbeästuar wurden die höchsten Werte an den Küstenstationen aufgezeichnet. In den jeweils untersuchten Übergangszonen werden die MOX-Raten jedoch nicht nur durch die Methankonzentrationen gekennzeichnet. In den arktischen Seen werden sie zusätzlich durch die Zellzahl und Populationsstruktur von Methan oxidierenden Bakterien (MOB) bestimmt, welche wiederum durch lokale Umweltfaktoren (unabhängig von der Methankonzentration) und den Transport von MOB zwischen benachbarten Ökosystemen beeinflusst werden. Im Elbeästuar hingegen werden die MOX-Raten neben den Methankonzentrationen größtenteils von der Salinität, die durch die Vermischung von Süß- und Salzwasser reguliert wird, bedingt. Die Ergebnisse dieser Arbeit zeigen auch, dass im Elbeästuar die Salinität, die durch die Vermischung von Süß- und Salzwasser reguliert wird, einen großen Einfluss auf die MOX-Raten hat. Das Ausmaß dieses Einflusses hängt dabei von der Populationsstruktur der MOB und der Geschwindigkeit des Salinitätswechsels ab. Zusammenfassend trägt die vorliegende Arbeit dazu bei, Zusammenhänge zwischen Methankonzentration, dem Prozess und Mikrobiom der aeroben Methanoxidation und bestimmten Umweltfaktoren wie beispielsweise der Salinität in aquatischen Systemen besser zu verstehen. Sie verdeutlicht außerdem, wie bedeutsam es ist, aquatische Ökosysteme in ihrer räumlichen Komplexität und nicht entkoppelt zu betrachten. KW - microbial methane oxidation KW - mikrobielle aerobe Methanoxidation KW - aquatic ecosystems KW - aquatischen Ökosystemen KW - Elbe estuary KW - Elbe Ästuar KW - Lena Delta KW - arktische Gewässer KW - arctic water bodies Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-96799 ER - TY - THES A1 - Schroth, Maximilian T1 - Microfinance and the enhancement of economic development in less developed countries T1 - Mikrofinanzierung und die Förderung wirtschaftlicher Entwicklung in weniger entwickelten Ländern N2 - It is the intention of this study to contribute to further rethinking and innovating in the Microcredit business which stands at a turning point – after around 40 years of practice it is endangered to fail as a tool for economic development and to become a doubtful finance product with a random scope instead. So far, a positive impact of Microfinance on the improvement of the lives of the poor could not be confirmed. Over-indebtment of borrowers due to the pre-dominance of consumption Microcredits has become a widespread problem. Furthermore, a rising number of abusive and commercially excessive practices have been reported. In fact, the Microfinance sector appears to suffer from a major underlying deficit: there does not exist a coherent and transparent understanding of its meaning and objectives so that Microfinance providers worldwide follow their own approaches of Microfinance which tend to differ considerably from each other. In this sense the study aims at consolidating the multi-faced and very often confusingly different Microcredit profiles that exist nowadays. Subsequently, in this study, the Microfinance spectrum will be narrowed to one clear-cut objective, in fact away from the mere monetary business transactions to poor people it has gradually been reduced to back towards a tool for economic development as originally envisaged by its pioneers. Hence, the fundamental research question of this study is whether, and under which conditions, Microfinance may attain a positive economic impact leading to an improvement of the living of the poor. The study is structured in five parts: the three main parts (II.-IV.) are surrounded by an introduction (I.) and conclusion (V.). In part II., the Microfinance sector is analysed critically aiming to identify the challenges persisting as well as their root causes. In the third part, a change to the macroeconomic perspective is undertaken in oder to learn about the potential and requirements of small-scale finance to enhance economic development, particularly within the economic context of less developed countries. By consolidating the insights gained in part IV., the elements of a new concept of Microfinance with the objecitve to achieve economic development of its borrowers are elaborated. Microfinance is a rather sensitive business the great fundamental idea of which is easily corruptible and, additionally, the recipients of which are predestined victims of abuse due to their limited knowledge in finance. It therefore needs to be practiced responsibly, but also according to clear cut definitions of its meaning and objectives all institutions active in the sector should be devoted to comply with. This is especially relevant as the demand for Microfinance services is expected to rise further within the years coming. For example, the recent refugee migration movement towards Europe entails a vast potential for Microfinance to enable these people to make a new start into economic life. This goes to show that Microfinance may no longer mainly be associated with a less developed economic context, but that it will gain importance as a financial instrument in the developed economies, too. N2 - Diese Studie soll einen Beitrag zur Grundlagenforschung in der Mikrofinanzierung leisten und zu Reflektion und Innovation im Mikrofinanzsektor anregen. Letzterer befindet sich zurzeit an einem Scheidepunkt: nach knapp 40 Jahren besteht die Gefahr, dass Mikrofinanzierung zu einem zweifelhaften Finanzprodukt ohne klare Richtung verkommt – anstatt sich als ein Mittel zur Förderung wirtschaftlicher Entwicklung zu etablieren. Bislang konnte noch kein Nachweis erbracht werden, dass Mikrofinanzierung einen positiven Einfluss auf die wirtschaftliche Entwicklung der Armen ausübt. Überschuldung der Kreditnehmer ist zu einem weit verbreiteten Problem geworden, die weite Mehrheit der Mikrokredite geht in den Konsum. Außerdem wird vielerorts über eine wachsende Anzahl missbräuchlicher Verleihpraktiken berichtet. Ein Hauptproblem scheint tatsächlich darin zu liegen, dass die Anbieter von Mikrofinanzdienstleistungen allesamt mit eigenen Mikrofinanzkonzepten arbeiten, die sich teilweise sehr stark voneinander unterscheiden. Ein kohärentes und transparentes Verständnis der Bedeutung und Zielsetzungen von Mikrofinanzierung liegt demnach nicht vor. Das Ziel dieser Studie ist daher, die vielschichtigen und oftmals verwirrenden Mikrokreditprofile zu konsolidieren. Das Spektrum von Mikrofinanzierung in dieser Studie soll auf ein klares Ziel eingegrenzt werden: weg von den wenig greifbaren Geldgeschäften für arme Haushalte hin zu einem Mittel zur Förderung der wirtschaftlichen Entwicklung wie ursprünglich von den Erschaffern der Mikrofinanzierung anvisiert. Die zentrale Forschungsfrage dieser Studie lautet daher, ob, und wenn ja, unter welchen Bedingungen, Mikrofinanzierung einen positiven Einfluss auf die wirtschaftliche Entwicklung und die Verbesserung des Lebens der Armen in weniger entwickelten Ländern ausüben kann. Die Studie gliedert sich in fünf Teile: Die drei Hauptteile (II.-IV.) sind eingerahmt von einer Einführung (I.) sowie einem Fazit (V.). In Teil II. wird der Mikrofinanzsektor kritisch analysiert. Es werden die aktuell bestehenden Probleme aufgezeigt und ihre möglichen Ursachen identifiziert. Im dritten Teil werden mithife einer makroökonomischen Betrachtungsweise Erkenntnisse über das Potenzial von Mikrofinanzierung zur Förderung wirtschaftlicher Entwicklung gesammelt. Ebenso über die dazu zu erfüllenden Anforderungen, insbesondere im Kontext weniger entwickelter Länder. In Teil IV. werden die Erkenntnisse konsolidiert und die Elemente eines neuen Mikrofinanzkonzept erarbeitet, das die Förderung der wirtschaftlichen Entwicklung der Kreditnehmer zum Ziel hat. Mikrofinanzierung ist ein sensibles Geschäft, dessen Grundidee leicht korrumpierbar ist und dessen Empfänger prädestinierte Opfer von Betrug und Missbrauch sind, da sie in der Regel über keinerlei Vorerfahrung in Finanzthemen verfügen. Es bedarf daher einer verantwortungsbewussten Praxis, die gleichermaßen nach klaren und transparenten Richtlinien bezüglich Bedeutung und Zielsetzungen ausgerichtet ist, nach denen sich alle aktiven Marktteilnehmer richten. Dies ist insbesondere auch deshalb relevant, da mit einer wachsenden Nachfrage nach Mikrokrediten in den nächsten Jahren zu rechnen ist. Beispielsweise stellt die aktuelle Flüchtlingsbewegung nach Europa ein riesiges Potenzial dar: Mikrokredite könnten den Grundstein für einen Neustart in das Berufsleben dieser Haushalte legen. Dies zeigt auch, dass Mikrofinanzierung nicht mehr ausschließlich mit dem Kontext weniger entwickelter Länder in Verbindung gebracht wird, sondern dass sie auch in den entwickelten Ländern an Bedeutung gewinnen wird. KW - microfinance KW - microcredits KW - money KW - capital market KW - impact KW - indirect help KW - economic development KW - crisis KW - over-indebtment KW - consumption KW - abuse KW - regulation KW - McKinnon KW - less developed countries KW - fragmentation KW - financial repression KW - complementary effect KW - investment KW - savings KW - banking accounts KW - domestic entrepreneurs KW - seed-financing KW - disposable capital KW - ordo-liberal policies KW - mobile banking KW - private wealth KW - foundations KW - impact investing KW - Mikrofinanzierung KW - Mikrokredite KW - Geld KW - Kapitalmarkt KW - Impact KW - indirekte Hilfe KW - wirtschaftliche Entwicklung KW - Krise KW - Überschuldung KW - Konsum KW - Missbrauch KW - Regulierung KW - McKinnon KW - weniger entwickelte Länder KW - Fragmentierung KW - finanzielle Unterdrückung KW - Komplementaritätseffekt KW - Investitionen KW - Sparen KW - Bankkonto KW - lokale Unternehmer KW - Gründungsfinanzierung KW - Kapitaldisposition KW - ordo-liberale Politik KW - mobile banking KW - Privatvermögen KW - Stiftungen KW - Impact Investing Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-94735 ER - TY - GEN A1 - Müller, Detlef A1 - Böckmann, Christine A1 - Kolgotin, Alexei A1 - Schneidenbach, Lars A1 - Chemyakin, Eduard A1 - Rosemann, Julia A1 - Znak, Pavel A1 - Romanov, Anton T1 - Microphysical particle properties derived from inversion algorithms developed in the framework of EARLINET T2 - Postprints der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe N2 - We present a summary on the current status of two inversion algorithms that are used in EARLINET (European Aerosol Research Lidar Network) for the inversion of data collected with EARLINET multiwavelength Raman lidars. These instruments measure backscatter coefficients at 355, 532, and 1064 nm, and extinction coefficients at 355 and 532 nm. Development of these two algorithms started in 2000 when EARLINET was founded. The algorithms are based on a manually controlled inversion of optical data which allows for detailed sensitivity studies. The algorithms allow us to derive particle effective radius as well as volume and surface area concentration with comparably high confidence. The retrieval of the real and imaginary parts of the complex refractive index still is a challenge in view of the accuracy required for these parameters in climate change studies in which light absorption needs to be known with high accuracy. It is an extreme challenge to retrieve the real part with an accuracy better than 0.05 and the imaginary part with accuracy better than 0.005-0.1 or +/- 50 %. Single-scattering albedo can be computed from the retrieved microphysical parameters and allows us to categorize aerosols into high-and low-absorbing aerosols. On the basis of a few exemplary simulations with synthetic optical data we discuss the current status of these manually operated algorithms, the potentially achievable accuracy of data products, and the goals for future work. One algorithm was used with the purpose of testing how well microphysical parameters can be derived if the real part of the complex refractive index is known to at least 0.05 or 0.1. The other algorithm was used to find out how well microphysical parameters can be derived if this constraint for the real part is not applied. The optical data used in our study cover a range of Angstrom exponents and extinction-to-backscatter (lidar) ratios that are found from lidar measurements of various aerosol types. We also tested aerosol scenarios that are considered highly unlikely, e.g. the lidar ratios fall outside the commonly accepted range of values measured with Raman lidar, even though the underlying microphysical particle properties are not uncommon. The goal of this part of the study is to test the robustness of the algorithms towards their ability to identify aerosol types that have not been measured so far, but cannot be ruled out based on our current knowledge of aerosol physics. We computed the optical data from monomodal logarithmic particle size distributions, i.e. we explicitly excluded the more complicated case of bimodal particle size distributions which is a topic of ongoing research work. Another constraint is that we only considered particles of spherical shape in our simulations. We considered particle radii as large as 7-10 mu m in our simulations where the Potsdam algorithm is limited to the lower value. We considered optical-data errors of 15% in the simulation studies. We target 50% uncertainty as a reasonable threshold for our data products, though we attempt to obtain data products with less uncertainty in future work. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 565 KW - aerosol-size distribution KW - backscatter lidar data KW - multiwavelength lidar KW - raman-lidar KW - tropospheric aerosol KW - regularization method KW - integral equations KW - optical-data KW - parameters KW - retrieval Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-411934 SN - 1866-8372 IS - 565 ER - TY - THES A1 - Samaras, Stefanos T1 - Microphysical retrieval of non-spherical aerosol particles using regularized inversion of multi-wavelength lidar data T1 - Retrieval der Mikrophysik von nichtkugelförmigen Aerosolpartikeln durch regularisierte Inversion von Mehrwellenlängen-Lidardaten N2 - Numerous reports of relatively rapid climate changes over the past century make a clear case of the impact of aerosols and clouds, identified as sources of largest uncertainty in climate projections. Earth’s radiation balance is altered by aerosols depending on their size, morphology and chemical composition. Competing effects in the atmosphere can be further studied by investigating the evolution of aerosol microphysical properties, which are the focus of the present work. The aerosol size distribution, the refractive index, and the single scattering albedo are commonly used such properties linked to aerosol type, and radiative forcing. Highly advanced lidars (light detection and ranging) have reduced aerosol monitoring and optical profiling into a routine process. Lidar data have been widely used to retrieve the size distribution through the inversion of the so-called Lorenz-Mie model (LMM). This model offers a reasonable treatment for spherically approximated particles, it no longer provides, though, a viable description for other naturally occurring arbitrarily shaped particles, such as dust particles. On the other hand, non-spherical geometries as simple as spheroids reproduce certain optical properties with enhanced accuracy. Motivated by this, we adapt the LMM to accommodate the spheroid-particle approximation introducing the notion of a two-dimensional (2D) shape-size distribution. Inverting only a few optical data points to retrieve the shape-size distribution is classified as a non-linear ill-posed problem. A brief mathematical analysis is presented which reveals the inherent tendency towards highly oscillatory solutions, explores the available options for a generalized solution through regularization methods and quantifies the ill-posedness. The latter will improve our understanding on the main cause fomenting instability in the produced solution spaces. The new approach facilitates the exploitation of additional lidar data points from depolarization measurements, associated with particle non-sphericity. However, the generalization of LMM vastly increases the complexity of the problem. The underlying theory for the calculation of the involved optical cross sections (T-matrix theory) is computationally so costly, that would limit a retrieval analysis to an unpractical point. Moreover the discretization of the model equation by a 2D collocation method, proposed in this work, involves double integrations which are further time consuming. We overcome these difficulties by using precalculated databases and a sophisticated retrieval software (SphInX: Spheroidal Inversion eXperiments) especially developed for our purposes, capable of performing multiple-dataset inversions and producing a wide range of microphysical retrieval outputs. Hybrid regularization in conjunction with minimization processes is used as a basis for our algorithms. Synthetic data retrievals are performed simulating various atmospheric scenarios in order to test the efficiency of different regularization methods. The gap in contemporary literature in providing full sets of uncertainties in a wide variety of numerical instances is of major concern here. For this, the most appropriate methods are identified through a thorough analysis on an overall-behavior basis regarding accuracy and stability. The general trend of the initial size distributions is captured in our numerical experiments and the reconstruction quality depends on data error level. Moreover, the need for more or less depolarization points is explored for the first time from the point of view of the microphysical retrieval. Finally, our approach is tested in various measurement cases giving further insight for future algorithm improvements. N2 - Zahlreiche Berichte von relativ schnellen Klimaveränderungen im vergangenen Jahrhundert liefern überzeugende Argumente über die Auswirkungen von Aerosolen und Wolken auf Wetter und Klima. Aerosole und Wolken wurden als Quellen größter Unsicherheit in Klimaprognosen identifiziert. Die Strahlungsbilanz der Erde wird verändert durch die Partikelgröße, ihre Morphologie und ihre chemische Zusammensetzung. Konkurrierende Effekte in der Atmosphäre können durch die Bestimmung von mikrophysikalischen Partikeleigenschaften weiter untersucht werden, was der Fokus der vorliegenden Arbeit ist. Die Aerosolgrößenverteilung, der Brechungsindex der Partikeln und die Einzel-Streu-Albedo sind solche häufig verwendeten Parameter, die mit dem Aerosoltyp und dem Strahlungsantrieb verbunden sind. Hoch entwickelte Lidare (Light Detection and Ranging) haben die Aerosolüberwachung und die optische Profilierung zu einem Routineprozess gemacht. Lidar-Daten wurden verwendet um die Größenverteilung zu bestimmen, was durch die Inversion des sogenannten Lorenz-Mie-Modells (LMM) gelingt. Dieses Modell bietet eine angemessene Behandlung für sphärisch angenäherte Partikeln, es stellt aber keine brauchbare Beschreibung für andere natürlich auftretende beliebig geformte Partikeln -wie z.B. Staubpartikeln- bereit. Andererseits stellt die Einbeziehung einer nicht kugelförmigen Geometrie –wie z.B. einfache Sphäroide- bestimmte optische Eigenschaften mit verbesserter Genauigkeit dar. Angesichts dieser Tatsache erweitern wir das LMM durch die Approximation von Sphäroid-Partikeln. Dazu ist es notwendig den Begriff einer zweidimensionalen Größenverteilung einzuführen. Die Inversion einer sehr geringen Anzahl optischer Datenpunkte zur Bestimmung der Form der Größenverteilung ist als ein nichtlineares schlecht gestelltes Problem bekannt. Eine kurze mathematische Analyse wird vorgestellt, die die inhärente Tendenz zu stark oszillierenden Lösungen zeigt. Weiterhin werden Optionen für eine verallgemeinerte Lösung durch Regularisierungsmethoden untersucht und der Grad der Schlechtgestelltheit quantifiziert. Letzteres wird unser Verständnis für die Hauptursache der Instabilität bei den berechneten Lösungsräumen verbessern. Der neue Ansatz ermöglicht es uns, zusätzliche Lidar-Datenpunkte aus Depolarisationsmessungen zu nutzen, die sich aus der Nicht-sphärizität der Partikeln assoziieren. Die Verallgemeinerung des LMMs erhöht erheblich die Komplexität des Problems. Die zugrundeliegende Theorie für die Berechnung der beteiligten optischen Querschnitte (T-Matrix-Ansatz) ist rechnerisch so aufwendig, dass eine Neuberechnung dieser nicht sinnvoll erscheint. Darüber hinaus wird ein zweidimensionales Kollokationsverfahren für die Diskretisierung der Modellgleichung vorgeschlagen. Dieses Verfahren beinhaltet Doppelintegrationen, die wiederum zeitaufwendig sind. Wir überwinden diese Schwierigkeiten durch Verwendung vorgerechneter Datenbanken sowie einer hochentwickelten Retrieval-Software (SphInX: Spheroidal Inversion eXperiments). Diese Software wurde speziell für unseren Zweck entwickelt und ist in der Lage mehrere Datensatzinversionen gleichzeitig durchzuführen und eine große Auswahl von mikrophysikalischen Retrieval-Ausgaben bereitzustellen. Eine hybride Regularisierung in Verbindung mit einem Minimierungsverfahren wird als Grundlage für unsere Algorithmen verwendet. Synthetische Daten-Inversionen werden mit verschiedenen atmosphärischen Szenarien durchgeführt, um die Effizienz verschiedener Regularisierungsmethoden zu untersuchen. Die Lücke in der gegenwärtigen wissenschaftlichen Literatur gewisse Unsicherheiten durch breitgefächerte numerische Fälle bereitzustellen, ist ein Hauptanliegen dieser Arbeit. Motiviert davon werden die am besten geeigneten Verfahren einer gründlichen Analyse in Bezug auf ihr Gesamtverhalten, d.h. Genauigkeit und Stabilität, unterzogen. Der allgemeine Trend der Anfangsgrößenverteilung wird in unseren numerischen Experimenten erfasst. Zusätzlich hängt die Rekonstruktionsqualität vom Datenfehler ab. Darüber hinaus wird die Anzahl der notwendigen Depolarisationspunkte zum ersten Mal aus der Sicht des mikrophysikalischen Parameter-Retrievals erforscht. Abschließend verwenden wir unsere Software für verschiedene Messfälle, was weitere Einblicke für künftige Verbesserungen des Algorithmus gibt. KW - microphysics KW - retrieval KW - lidar KW - aerosols KW - regularization KW - ill-posed KW - inversion KW - Mikrophysik KW - Retrieval KW - Lidar KW - Aerosole KW - Regularisierung KW - schlecht gestellt KW - Inversion Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-396528 ER -