@phdthesis{Emer2013, author = {Emer, Wolfgang}, title = {Von der Konzeption zur Praxis}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus4-77199}, school = {Universit{\"a}t Potsdam}, pages = {IV, 123, A4, 271}, year = {2013}, abstract = {Die kumulative Dissertation zur Projektdidaktik tr{\"a}gt den Titel „Von der Konzeption zur Praxis: Zur Entwicklung der Projektdidaktik am Oberstufen-Kolleg Bielefeld und ihre Impulsgebung und Modellbildung f{\"u}r das deutsche Regelschulwesen". Die Dissertation versteht sich als beispielgebende Umsetzung und Implementierung der Projektdidaktik f{\"u}r das Regelschulsystem. Auf der Basis von 22 bereits erschienenen Publikationen und einer Monographie werden mit f{\"u}nf methodischen Zugriffen (bildungshistorisch, dichte Beschreibung, Aktionsforschung, empirische Untersuchung an Regelschulen und Implementierungsforschung, s. Kapitel 1) in sieben Kapiteln (2- 8) des systematischen ersten Teils die Entwicklung der Unterrichtsform Projektunterricht in der BRD, Projektbegriff und Weiterentwicklung des Konzepts, Methodik, Bewertung sowie Organisation des Projektunterrichts am Oberstufen-Kolleg, der Versuchsschule des Landes NRW, in Auseinandersetzung mit der allgemeinen Projektdidaktik dargestellt sowie Formen und Verfahren der erprobten Implementierung in das Regelschulsystem pr{\"a}sentiert. Ein Schlusskapitel (9) fasst die Ergebnisse zusammen. Im umfangreichen Anhang finden sich verschiedene Publikationen zu Aspekten der Projektdidaktik, auf die der systematische Teil jeweils Bezug nimmt. Die bildungshistorische Analyse (Kapitel 2) untersucht das Verh{\"a}ltnis von p{\"a}dagogischer Theorie und schulischer Praxis, die weder in Literatur und noch in Praxis gen{\"u}gend verbunden sind. Nach der Rezeption der gut erforschten Konzeptgeschichte p{\"a}dagogischer Theorie in Anlehnung an Dewey und Kilpatrick wird durch eine erste Analyse der „Praxisgeschichte" des Projektunterrichts auf ein Forschungsdesiderat hingewiesen, dies auch um die Projektpraxis am Oberstufen-Kolleg in Beziehung zu der in den Regelschulen setzen zu k{\"o}nnen. Dabei wurden seit 1975 sechs Entwicklungslinien herausgearbeitet: Start, Krise und ihre {\"U}berwindung durch {\"O}ffnung und Vernetzung (1975-1990), didaktisch-methodische Differenzierung und Notwendigkeit von Professionalisierung (ab 1990) sowie Schulentwicklung und Institutionalisierung (seit Ende der 1990er Jahre). Projektunterricht besteht am Oberstufen-Kolleg seit der Gr{\"u}ndung 1974 als fest eingerichtete Unterrichtsform (seit 2002 zweimal j{\"a}hrlich 2 Wochen) mit dem Ziel, f{\"u}r das Regelschulsystem die Projektdidaktik zu erproben und weiterzuentwickeln. Als wichtige praxisorientierte Ziele wurden ein praxistauglicher Begriff, Bildungswert und Kompetenzen im Unterschied zum Lehrgang herausgearbeitet (z.B. handlungs- und anwendungsorientierte Kompetenzen) und das Verh{\"a}ltnis zum Fachunterricht bestimmt (Kapitel 3). Letzteres wurde am Beispiel des Fachs Geschichte entwickelt und exemplarisch in Formen der Verzahnung dargestellt (Kapitel 6). Auch f{\"u}r die methodische Dimension galt, die allgemeine Projektdidaktik weiterzuentwickeln durch ihre Abgrenzung zu anderen Methoden der {\"O}ffnung von Schule und Unterricht (Kapitel 4). Dabei wurde als zentrales methodisches Prinzip die Handlungsorientierung bestimmt sowie sieben Phasen und jeweilige Handlungsschritte festgelegt. Besonders Planung und Rollenwechsel bed{\"u}rfen dabei besonderer Beachtung, um Selbstt{\"a}tigkeit der ProjektteilnehmerInnen zu erreichen. Verschiedene methodische „Et{\"u}den" ( z.B. Gruppenarbeit, recherchieren, sich {\"o}ffentlich verhalten), handlungsorientierte Vorformen und projektorientiertes Arbeiten sollten die Vollform Projektunterricht vorbereiten helfen. Die Bewertung von Projekten (Kapitel 5) stellt andere Anforderungen als der Lehrgang, weil sie unterschiedliche Bewertungsebenen (z.B. Prozessbedeutung, Produktbeurteilung, Gruppenbewertung) umfasst. Dazu sind am Oberstufen-Kolleg andere Bewertungsformen als die Ziffernnote entwickelt worden: z.B. ein „Reflexionsbericht" als individuelle R{\"u}ckmeldung von Sch{\"u}lerInnen und LehrerInnen und ein „Zertifikat" f{\"u}r besondere Leistungen im Projekt. Zentral f{\"u}r die Entwicklung von Projektunterricht ist jedoch die Organisationsfrage (Kapitel 7). Dazu bedarf es einer Organisationsgruppe Projekt, die die Unterrichtsform didaktisch betreut und in einem Hearing die angemeldeten Projekte ber{\"a}t. Das Oberstufen-Kolleg hat damit eine entwickelte „Projektkultur" organisatorisch umgesetzt. F{\"u}r eine empirische Untersuchung an sechs Regelschulen in Ostwestfalen ist dann eine idealtypische Merkmalsliste von schulischer „Projektkultur" als Untersuchungsinstrument entstanden, das zugleich als Leitlinie f{\"u}r Schulentwicklung im Bereich Projektlernen in den Regelschulen dienen kann. Zu dieser Implementierung (Kapitel 8) wurden Konzepte und Erfahrungen vom Oberstufen-Kolleg f{\"u}r schulinterne und schulexterne Fortbildungsformen sowie eine exemplarische Fortbildungseinheit entwickelt. So konnten in zahlreichen Lehrerfortbildungen durch die Versuchsschule Impulse f{\"u}r das Regelschulsystem gegeben werden.}, language = {de} } @phdthesis{Eitel2013, author = {Eitel, Meike}, title = {Reputationskommunikation von L{\"a}ndern : Instrumente und Erfolgsfaktoren - Theoretische Ans{\"a}tze und Untersuchung der Kommunikationspraxis am Fallbeispiel Schweiz}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-70137}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {Die professionalisierte Kommunikation komplexer Gebilde wie Staaten und Nationen, die ihre Hinwendung politischer Fragestellungen in die Sph{\"a}ren von Image und Einfluss verlegt, kommt vor dem Hintergrund wachsenden Wettbewerbs an der Bedeutung der Reputation nicht vorbei. Denn neben ihrer {\"o}konomischen Bedeutung legitimiert Reputation als mittel- oder langfristiges {\"o}ffentliches Ansehen, das ihren Tr{\"a}gern Definitions- und {\"U}berzeugungsmacht verschafft, Macht- und Herrschaftspositionen. In einer mediatisierten Gesellschaft w{\"a}chst die Bedeutung der Kommunikation mit der {\"O}ffentlichkeit sowohl f{\"u}r Erwerb und Erhalt von Reputation - wie auch f{\"u}r deren Aberkennung. Dabei spielt eine zunehmende Skandalisierung als Eigenheit der Mediengesellschaft eine Rolle, die eine erh{\"o}hte Fragilisierung der Reputation zur Folge hat und als wirksamster Mechanismus bei der Aberkennung von Reputation gilt, wie das Beispiel der d{\"a}nischen „Karikaturen-Aff{\"a}re" veranschaulicht. In einer kommunikativ schnelllebigen Welt, zunehmend frei verf{\"u}gbarer Information, geistern durch die Außenministerien des Global Village Begriffe wie Public Diplomacy, Nation Branding, Country Branding oder Place Branding, deren gemeinsamer Nenner zun{\"a}chst die nach außen gerichtete Kommunikation ist. Aber schon die Frage nach Absender und Adressat, nach Akteur und Rezipient, Botschaften und Zielgruppen verweist auf die Komplexit{\"a}t der Kommunikation eines Landes. Ziel der Untersuchung ist es in den Kommunikationsbem{\"u}hungen von L{\"a}ndern, Faktoren zu identifizieren, die Image und Reputation nachhaltig beeinflussen k{\"o}nnen. Dabei stehen die folgenden Fragen im Mittelpunkt der Untersuchung: Wie werden L{\"a}nder wahrgenommen und Reputation gebildet? K{\"o}nnen die Bezugsgruppen eines Landes durch die Stakeholdertheorie (Freeman 1984) beschrieben werden - und wenn ja, welche Konsequenzen hat eine solche Ber{\"u}cksichtigung der Anspruchs- und Adressatengruppen auf die Kommunikation eines Landes? Welche Aspekte der theoretischen Ans{\"a}tze k{\"o}nnen f{\"u}r die Kommunikation von L{\"a}ndern als zentral bewertet werden? Und schließlich: Kann die Reflexion durch die Praxis, am Fallbeispiel der Schweiz, die Relevanz der eruierten Aspekte best{\"a}tigen bzw. um weitere Aspekte erg{\"a}nzen und k{\"o}nnen auf dieser Grundlage Erfolgsfaktoren identifiziert und geeignete Instrumente f{\"u}r die Reputationskommunikation aufgezeigt werden?}, language = {de} } @phdthesis{Ehrentraut2013, author = {Ehrentraut, Stefan}, title = {Challenging Khmer citizenship : minorities, the state, and the international community in Cambodia}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-70355}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {The idea of a distinctly 'liberal' form of multiculturalism has emerged in the theory and practice of Western democracies and the international community has become actively engaged in its global dissemination via international norms and organizations. This thesis investigates the internationalization of minority rights, by exploring state-minority relations in Cambodia, in light of Will Kymlicka's theory of multicultural citizenship. Based on extensive empirical research, the analysis explores the situation and aspirations of Cambodia's ethnic Vietnamese, highland peoples, Muslim Cham, ethnic Chinese and Lao and the relationships between these groups and the state. All Cambodian regimes since independence have defined citizenship with reference to the ethnicity of the Khmer majority and have - often violently - enforced this conception through the assimilation of highland peoples and the Cham and the exclusion of ethnic Vietnamese and Chinese. Cambodia's current constitution, too, defines citizenship ethnically. State-sponsored Khmerization systematically privileges members of the majority culture and marginalizes minority members politically, economically and socially. The thesis investigates various international initiatives aimed at promoting application of minority rights norms in Cambodia. It demonstrates that these initiatives have largely failed to accomplish a greater degree of compliance with international norms in practice. This failure can be explained by a number of factors, among them Cambodia's neo-patrimonial political system, the geo-political fears of a 'minoritized' Khmer majority, the absence of effective regional security institutions, the lack of minority access to political decision-making, the significant differences between international and Cambodian conceptions of modern statehood and citizenship and the emergence of China as Cambodia's most important bilateral donor and investor. Based on this analysis, the dissertation develops recommendations for a sequenced approach to minority rights promotion, with pragmatic, less ambitious shorter-term measures that work progressively towards achievement of international norms in the longer-term.}, language = {en} } @phdthesis{Doering2013, author = {D{\"o}ring, Ivonne}, title = {Subjektive Krankheitskonzepte adip{\"o}ser Kinder : ihre Erfassung und ihr Einfluss auf den kindlichen Regulationsprozess}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-72322}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {Adipositas gilt seit einigen Jahren als eine der h{\"a}ufigsten chronischen Erkrankungen des Kindes- und Jugendalters. Welche Faktoren zu einer erfolgreichen Behandlung der Adipositas im Kindes- und Jugendalter f{\"u}hren, sind jedoch noch immer nicht ausreichend gekl{\"a}rt. Ein wichtiger - bisher jedoch weitgehend unbeachteter - Faktor, welcher m{\"o}glicherweise wegweisend f{\"u}r den Therapieverlauf sein kann, ist das subjektive Krankheitskonzept der betroffenen Kinder. Das bedeutsamste theoretische Modell, welches den Einfluss der individuellen Krankheitsvorstellungen auf den Regulationsprozess eines Menschen im Umgang mit Erkrankungen beschreibt, ist das Common Sense Model of Illness Representation (CSM) von Howard Leventhal. Ziel der vorliegenden Arbeit war es die subjektiven Krankheitskonzepte adip{\"o}ser Kinder zu erfassen und ihren Einfluss auf den Regulationsprozess zu analysieren. In einer ersten Untersuchung wurde mittels Daten von 168 adip{\"o}sen Kindern im Alter von 8 bis 12 Jahren zun{\"a}chst ein Fragebogen zur Erfassung der subjektiven Krankheitskonzepte entwickelt. Die Ergebnisse weisen darauf hin, dass der Fragebogen als reliabel und valide eingesch{\"a}tzt werden kann. Mit Hilfe dieses Fragebogens konnte nachgewiesen werden, dass adip{\"o}se Kinder Konstrukte {\"u}ber ihre Erkrankung haben, welche in eigenst{\"a}ndigen Dimensionen gespeichert werden. Die gefundenen initialen Krankheitskonzepte adip{\"o}ser Kinder ergeben ein homogenes erwartungskonformes Bild. In einer zweiten Untersuchung wurden anschließend die subjektiven Krankheitskonzepte adip{\"o}ser Kinder, die Bew{\"a}ltigungsstrategien sowie gesundheits- und krankheitsrelevante Kriteriumsvariablen untersucht. Die Befragungen erfolgten vor Beginn einer station{\"a}ren Reha (T1), am Ende der Reha (T2) sowie sechs Monate nach Reha-Ende (T3). Von 107 Kindern liegen Daten zu allen drei Messzeitpunkten vor. Es konnte ein Zusammenhang zwischen Krankheitskonzepten, Bew{\"a}ltigungsstrategien und spezifischen Kriteriumsvariablen bei adip{\"o}sen Kindern nachgewiesen werden. Die Analyse der Wirkzusammenh{\"a}nge konnte zeigen, dass die kindlichen Krankheitskonzepte - neben den indirekten Einfl{\"u}ssen {\"u}ber die Bew{\"a}ltigungsstrategien - die Kriteriumsvariablen vor allem auch direkt beeinflussen k{\"o}nnen. Der Einfluss der initialen Krankheitskonzepte adip{\"o}ser Kinder konnte hierbei sowohl im querschnittlichen als auch im l{\"a}ngsschnittlichen Design best{\"a}tigt werden. Zudem konnten vielf{\"a}ltige Einfl{\"u}sse der Ver{\"a}nderung der subjektiven Krankheitskonzepte w{\"a}hrend der Therapie gefunden werden. Die Ver{\"a}nderungen der Krankheitskonzepte wirken sowohl mittelfristig auf die individuellen Bew{\"a}ltigungsstrategien am Ende der Reha als auch l{\"a}ngerfristig auf die adipositasspezifischen Kriteriumsvariablen Gewicht, Ern{\"a}hrung, Bewegung und Lebensqualit{\"a}t. Die Befunde st{\"a}rken die Relevanz und das Potential der zielgerichteten Modifikation adaptiver bzw. maladaptiver Krankheitskonzepte innerhalb der station{\"a}ren Therapie der kindlichen Adipositas. Zudem konnte best{\"a}tigt werden, dass subjektive Krankheitskonzepte und ihre Ver{\"a}nderung innerhalb der Therapie einen relevanten Beitrag zur Vorhersage des kindlichen Therapieerfolgs {\"u}ber einen l{\"a}ngerfristigen Zeitraum leisten k{\"o}nnen.}, language = {de} } @phdthesis{Duensing2013, author = {Duensing, Nina}, title = {Transport processes in the arbuscular mycorrhizal symbiosis}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-68210}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {The nutrient exchange between plant and fungus is the key element of the arbuscular mycorrhizal (AM) symbiosis. The fungus improves the plant's uptake of mineral nutrients, mainly phosphate, and water, while the plant provides the fungus with photosynthetically assimilated carbohydrates. Still, the knowledge about the mechanisms of the nutrient exchange between the symbiotic partners is very limited. Therefore, transport processes of both, the plant and the fungal partner, are investigated in this study. In order to enhance the understanding of the molecular basis underlying this tight interaction between the roots of Medicago truncatula and the AM fungus Rhizophagus irregularis, genes involved in transport processes of both symbiotic partners are analysed here. The AM-specific regulation and cell-specific expression of potential transporter genes of M. truncatula that were found to be specifically regulated in arbuscule-containing cells and in non-arbusculated cells of mycorrhizal roots was confirmed. A model for the carbon allocation in mycorrhizal roots is suggested, in which carbohydrates are mobilized in non-arbusculated cells and symplastically provided to the arbuscule-containing cells. New insights into the mechanisms of the carbohydrate allocation were gained by the analysis of hexose/H+ symporter MtHxt1 which is regulated in distinct cells of mycorrhizal roots. Metabolite profiling of leaves and roots of a knock-out mutant, hxt1, showed that it indeed does have an impact on the carbohydrate balance in the course of the symbiosis throughout the whole plant, and on the interaction with the fungal partner. The primary metabolite profile of M. truncatula was shown to be altered significantly in response to mycorrhizal colonization. Additionally, molecular mechanisms determining the progress of the interaction in the fungal partner of the AM symbiosis were investigated. The R. irregularis transcriptome in planta and in extraradical tissues gave new insight into genes that are differentially expressed in these two fungal tissues. Over 3200 fungal transcripts with a significantly altered expression level in laser capture microdissection-collected arbuscules compared to extraradical tissues were identified. Among them, six previously unknown specifically regulated potential transporter genes were found. These are likely to play a role in the nutrient exchange between plant and fungus. While the substrates of three potential MFS transporters are as yet unknown, two potential sugar transporters are might play a role in the carbohydrate flow towards the fungal partner. In summary, this study provides new insights into transport processes between plant and fungus in the course of the AM symbiosis, analysing M. truncatula on the transcript and metabolite level, and provides a dataset of the R. irregularis transcriptome in planta, providing a high amount of new information for future works.}, language = {en} } @phdthesis{Dubinovska2013, author = {Dubinovska, Daria}, title = {Optical surveys of AGN and their host galaxies}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-64739}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {This thesis rests on two large Active Galactic Nuclei (AGNs) surveys. The first survey deals with galaxies that host low-level AGNs (LLAGN) and aims at identifying such galaxies by quantifying their variability. While numerous studies have shown that AGNs can be variable at all wavelengths, the nature of the variability is still not well understood. Studying the properties of LLAGNs may help to understand better galaxy evolution, and how AGNs transit between active and inactive states. In this thesis, we develop a method to extract variability properties of AGNs. Using multi-epoch deep photometric observations, we subtract the contribution of the host galaxy at each epoch to extract variability and estimate AGN accretion rates. This pipeline will be a powerful tool in connection with future deep surveys such as PANSTARS. The second study in this thesis describes a survey of X-ray selected AGN hosts at redshifts z>1.5 and compares them to quiescent galaxies. This survey aims at studying environments, sizes and morphologies of star-forming high-redshift AGN hosts in the COSMOS Survey at the epoch of peak AGN activity. Between redshifts 1.51.5 to date. We analyzed the evolution of structural parameters of AGN and non-AGN host galaxies with redshift, and compared their disturbance rates to identify the more probable AGN triggering mechanism in the 43.5 300 nm wurden die photosensitiven Benzophenongruppen selektiv angeregt. Bei der Verwendung kleinerer Wellenl{\"a}ngen vernetzten die Copolymerschichten auch ohne die Anwesenheit der lichtempfindlichen Benzophenongruppen. Dieser Effekt ließ sich zur kontrollierten Immobilisierung und Vernetzung der OEG Copolymere einsetzen. Als weitere Methode zur Immobilisierung der Copolymere wurde die Anbindung {\"u}ber Amidbindungen untersucht. Dazu wurden OEG Copolymere mit dem carboxylgruppenhaltigen 2 Succinyloxyethylmethacrylat (MES) auf mit 3 Aminopropyldimethylethoxysilan (APDMSi) silanisierte Siliziumwafer rotationsbeschichtet, und mit dem oligomeren α, ω Diamin Jeffamin® ED 900 vernetzt. Die Vernetzungsreaktion erfolgte ohne weitere Zus{\"a}tze durch Erhitzen der Proben. Die Hydrogelschichten waren anschließend stabil und zeigten neben thermoresponsivem auch pH responsives Verhalten. Um zu untersuchen, ob die Phasen{\"u}bergangstemperatur durch eine Proteinbindung beeinflusst werden kann, wurde ein polymerisierbares Biotinderivat 2 Biotinyl-aminoethylmethacrylat (BAEMA) in das thermoresponsive Copolymer eingebaut. Der Einfluss des biotinbindenen Proteins Avidin auf das thermoresponsive Verhalten des Copolymers in L{\"o}sung wurde untersucht. Die spezifische Bindung von Avidin an das biotinylierte Copolymer verschob die {\"U}bergangstemperatur deutlich zu h{\"o}heren Temperaturen. Kontrollversuche zeigten, dass dieses Verhalten auf eine selektive Proteinbindung zur{\"u}ckzuf{\"u}hren ist. Thermoresponsive OEG Copolymere mit photovernetzbaren Gruppen aus BPEM und Biotingruppen aus BAEMA wurden {\"u}ber Rotationsbeschichtung auf Gold- und auf Siliziumoberfl{\"a}chen aufgetragen und durch UV Strahlung vernetzt. Die spezifische Bindung von Avidin an die Copolymerschicht wurde mit Oberfl{\"a}chenplasmonenresonanz und Ellipsometrie untersucht. Die Bindungskapazit{\"a}t der Schichten war umso gr{\"o}ßer, je kleiner der Vernetzeranteil, d. h. je gr{\"o}ßer die Maschenweite des Netzwerkes war. Die Quellbarkeit der Schichten wurde durch die Avidinbindung erh{\"o}ht. Bei hochgequollenen Systemen verursachte eine Mehrfachbindung des tetravalenten Avidins allerdings eine zus{\"a}tzliche Quervernetzung des Polymernetzwerkes. Dieser Effekt wirkt der erh{\"o}hten Quellbarkeit durch die Avidinbindung entgegen und l{\"a}sst die Polymernetzwerke schrumpfen.}, language = {de} } @phdthesis{Buchhorn2013, author = {Buchhorn, Marcel}, title = {Ground-based hyperspectral and spectro-directional reflectance characterization of Arctic tundra vegetation communities : field spectroscopy and field spectro-goniometry of Siberian and Alaskan tundra in preparation of the EnMAP satellite mission}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-70189}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {The Arctic tundra, covering approx. 5.5 \% of the Earth's land surface, is one of the last ecosystems remaining closest to its untouched condition. Remote sensing is able to provide information at regular time intervals and large spatial scales on the structure and function of Arctic ecosystems. But almost all natural surfaces reveal individual anisotropic reflectance behaviors, which can be described by the bidirectional reflectance distribution function (BRDF). This effect can cause significant changes in the measured surface reflectance depending on solar illumination and sensor viewing geometries. The aim of this thesis is the hyperspectral and spectro-directional reflectance characterization of important Arctic tundra vegetation communities at representative Siberian and Alaskan tundra sites as basis for the extraction of vegetation parameters, and the normalization of BRDF effects in off-nadir and multi-temporal remote sensing data. Moreover, in preparation for the upcoming German EnMAP (Environmental Mapping and Analysis Program) satellite mission, the understanding of BRDF effects in Arctic tundra is essential for the retrieval of high quality, consistent and therefore comparable datasets. The research in this doctoral thesis is based on field spectroscopic and field spectro-goniometric investigations of representative Siberian and Alaskan measurement grids. The first objective of this thesis was the development of a lightweight, transportable, and easily managed field spectro-goniometer system which nevertheless provides reliable spectro-directional data. I developed the Manual Transportable Instrument platform for ground-based Spectro-directional observations (ManTIS). The outcome of the field spectro-radiometrical measurements at the Low Arctic study sites along important environmental gradients (regional climate, soil pH, toposequence, and soil moisture) show that the different plant communities can be distinguished by their nadir-view reflectance spectra. The results especially reveal separation possibilities between the different tundra vegetation communities in the visible (VIS) blue and red wavelength regions. Additionally, the near-infrared (NIR) shoulder and NIR reflectance plateau, despite their relatively low values due to the low structure of tundra vegetation, are still valuable information sources and can separate communities according to their biomass and vegetation structure. In general, all different tundra plant communities show: (i) low maximum NIR reflectance; (ii) a weakly or nonexistent visible green reflectance peak in the VIS spectrum; (iii) a narrow "red-edge" region between the red and NIR wavelength regions; and (iv) no distinct NIR reflectance plateau. These common nadir-view reflectance characteristics are essential for the understanding of the variability of BRDF effects in Arctic tundra. None of the analyzed tundra communities showed an even closely isotropic reflectance behavior. In general, tundra vegetation communities: (i) usually show the highest BRDF effects in the solar principal plane; (ii) usually show the reflectance maximum in the backward viewing directions, and the reflectance minimum in the nadir to forward viewing directions; (iii) usually have a higher degree of reflectance anisotropy in the VIS wavelength region than in the NIR wavelength region; and (iv) show a more bowl-shaped reflectance distribution in longer wavelength bands (>700 nm). The results of the analysis of the influence of high sun zenith angles on the reflectance anisotropy show that with increasing sun zenith angles, the reflectance anisotropy changes to azimuthally symmetrical, bowl-shaped reflectance distributions with the lowest reflectance values in the nadir view position. The spectro-directional analyses also show that remote sensing products such as the NDVI or relative absorption depth products are strongly influenced by BRDF effects, and that the anisotropic characteristics of the remote sensing products can significantly differ from the observed BRDF effects in the original reflectance data. But the results further show that the NDVI can minimize view angle effects relative to the contrary spectro-directional effects in the red and NIR bands. For the researched tundra plant communities, the overall difference of the off-nadir NDVI values compared to the nadir value increases with increasing sensor viewing angles, but on average never exceeds 10 \%. In conclusion, this study shows that changes in the illumination-target-viewing geometry directly lead to an altering of the reflectance spectra of Arctic tundra communities according to their object-specific BRDFs. Since the different tundra communities show only small, but nonetheless significant differences in the surface reflectance, it is important to include spectro-directional reflectance characteristics in the algorithm development for remote sensing products.}, language = {en} } @phdthesis{Buchholz2013, author = {Buchholz, Claus}, title = {Politikgestaltung durch institutionalisierte Evaluationsverfahren? : Eine Analyse am Beispiel der Forschungspolitik der Europ{\"a}ischen Union}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-69047}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {Die vorliegende Arbeit besch{\"a}ftigt sich mit einer klassischen aber noch immer zentralen und aktuellen Frage der Evaluationsforschung, der Hinterfragung der Verwendung bzw. Wirksamkeit von Evaluationsverfahren. Vor dem Hintergrund der seit Ende der 1990er Jahre vor allem in Europa starken Zunahme von institutionalisierten Politik-Evaluationsverfahren sowie der zugleich zunehmenden Kritik dieser Verfahren in Wissenschaft und Praxis, untersucht die Arbeit diese Wirksamkeit am Fallbeispiel der Forschungspolitik der Europ{\"a}ischen Union. Aufbauend auf einer Aufarbeitung des Forschungsstandes zur Evaluationsverwendungsforschung und einer Vorstellung des gew{\"a}hlten Politikfeldes sowie der spezifischen Evaluationspraxis, erfolgt dazu eine systematische Gegen{\"u}berstellung der zentralen Evaluationsempfehlungen und der Entwicklung im Politikfeld {\"u}ber die vergangenen 15 Jahre. Im Ergebnis kommt die Arbeit zu der Feststellung eines ({\"u}berraschend) hohen Ausmaßes an Entsprechung der Evaluationsempfehlungen mit der Politikentwicklung im untersuchten Fallbeispiel. Auf der Basis der Untersuchung des Fallbeispiels aber auch unter Heranziehung weiterer empirischer Beitr{\"a}ge in der Literatur ist damit der Behauptung der fehlenden Wirksamkeit der institutionalisierten Evaluation auf die Politikgestaltung klar zu widersprechen. Eine weitergehende Diskussion des Ergebnisses der Fallstudie legt dar{\"u}ber hinaus nahe, dass einige spezifische Faktoren und Bedingungen die Wirksamkeit der Evaluationsverfahren im untersuchten Fallbeispiel positiv zu beeinflussen scheinen. Im Einzelnen sind dies: der Charakter und die Auspr{\"a}gung der Evaluationsempfehlungen, das spezifische institutionelle Umfeld der Evaluation sowie das spezifische 'politische Klima'. Aus dem Ergebnis l{\"a}sst sich andererseits aber auch folgern, dass insbesondere im Hinblick auf die Akzeptanzproblematik eine Verst{\"a}rkung der Bem{\"u}hungen zur Wahrnehmung der Evaluations-wirksamkeit auf Seiten aller Beteiligten geboten scheint. Die Arbeit stellt hierzu abschließend einige Vorschl{\"a}ge und Ideen zusammen, die diese Wahrnehmung verbessern k{\"o}nnen.}, language = {de} } @phdthesis{Brothers2013, author = {Brothers, Soren M.}, title = {Carbon gains, losses, and feedbacks in shallow, eutrophic lakes of phytoplankton and macrophyte dominance}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-68200}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {Lakes are increasingly being recognized as an important component of the global carbon cycle, yet anthropogenic activities that alter their community structure may change the way they transport and process carbon. This research focuses on the relationship between carbon cycling and community structure of primary producers in small, shallow lakes, which are the most abundant lake type in the world, and furthermore subject to intense terrestrial-aquatic coupling due to their high perimeter:area ratio. Shifts between macrophyte and phytoplankton dominance are widespread and common in shallow lakes, with potentially large consequences to regional carbon cycling. I thus compared a lake with clear-water conditions and a submerged macrophyte community to a turbid, phytoplankton-dominated lake, describing differences in the availability, processing, and export of organic and inorganic carbon. I furthermore examined the effects of increasing terrestrial carbon inputs on internal carbon cycling processes. Pelagic diel (24-hour) oxygen curves and independent fluorometric approaches of individual primary producers together indicated that the presence of a submerged macrophyte community facilitated higher annual rates of gross primary production than could be supported in a phytoplankton-dominated lake at similar nutrient concentrations. A simple model constructed from the empirical data suggested that this difference between regime types could be common in moderately eutrophic lakes with mean depths under three to four meters, where benthic primary production is a potentially major contributor to the whole-lake primary production. It thus appears likely that a regime shift from macrophyte to phytoplankton dominance in shallow lakes would typically decrease the quantity of autochthonous organic carbon available to lake food webs. Sediment core analyses indicated that a regime shift from macrophyte to phytoplankton dominance was associated with a four-fold increase in carbon burial rates, signalling a major change in lake carbon cycling dynamics. Carbon mass balances suggested that increasing carbon burial rates were not due to an increase in primary production or allochthonous loading, but instead were due to a higher carbon burial efficiency (carbon burial / carbon deposition). This, in turn, was associated with diminished benthic mineralization rates and an increase in calcite precipitation, together resulting in lower surface carbon dioxide emissions. Finally, a period of unusually high precipitation led to rising water levels, resulting in a feedback loop linking increasing concentrations of dissolved organic carbon (DOC) to severely anoxic conditions in the phytoplankton-dominated system. High water levels and DOC concentrations diminished benthic primary production (via shading) and boosted pelagic respiration rates, diminishing the hypolimnetic oxygen supply. The resulting anoxia created redox conditions which led to a major release of nutrients, DOC, and iron from the sediments. This further transformed the lake metabolism, providing a prolonged summertime anoxia below a water depth of 1 m, and leading to the near-complete loss of fish and macroinvertebrates. Pelagic pH levels also decreased significantly, increasing surface carbon dioxide emissions by an order of magnitude compared to previous years. Altogether, this thesis adds an important body of knowledge to our understanding of the significance of the benthic zone to carbon cycling in shallow lakes. The contribution of the benthic zone towards whole-lake primary production was quantified, and was identified as an important but vulnerable site for primary production. Benthic mineralization rates were furthermore found to influence carbon burial and surface emission rates, and benthic primary productivity played an important role in determining hypolimnetic oxygen availability, thus controlling the internal sediment loading of nutrients and carbon. This thesis also uniquely demonstrates that the ecological community structure (i.e. stable regime) of a eutrophic, shallow lake can significantly influence carbon availability and processing. By changing carbon cycling pathways, regime shifts in shallow lakes may significantly alter the role of these ecosystems with respect to the global carbon cycle.}, language = {en} } @phdthesis{Bortfeld2013, author = {Bortfeld, Silvia}, title = {Analysis of Medicago truncatula transcription factors involved in the arbuscular mycorrhizal symbiosis}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-70664}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {For the first time the transcriptional reprogramming of distinct root cortex cells during the arbuscular mycorrhizal (AM) symbiosis was investigated by combining Laser Capture Mirodissection and Affymetrix GeneChip® Medicago genome array hybridization. The establishment of cryosections facilitated the isolation of high quality RNA in sufficient amounts from three different cortical cell types. The transcript profiles of arbuscule-containing cells (arb cells), non-arbuscule-containing cells (nac cells) of Rhizophagus irregularis inoculated Medicago truncatula roots and cortex cells of non-inoculated roots (cor) were successfully explored. The data gave new insights in the symbiosis-related cellular reorganization processes and indicated that already nac cells seem to be prepared for the upcoming fungal colonization. The mycorrhizal- and phosphate-dependent transcription of a GRAS TF family member (MtGras8) was detected in arb cells and mycorrhizal roots. MtGRAS shares a high sequence similarity to a GRAS TF suggested to be involved in the fungal colonization processes (MtRAM1). The function of MtGras8 was unraveled upon RNA interference- (RNAi-) mediated gene silencing. An AM symbiosis-dependent expression of a RNAi construct (MtPt4pro::gras8-RNAi) revealed a successful gene silencing of MtGras8 leading to a reduced arbuscule abundance and a higher proportion of deformed arbuscules in root with reduced transcript levels. Accordingly, MtGras8 might control the arbuscule development and life-time. The targeting of MtGras8 by the phosphate-dependent regulated miRNA5204* was discovered previously (Devers et al., 2011). Since miRNA5204* is known to be affected by phosphate, the posttranscriptional regulation might represent a link between phosphate signaling and arbuscule development. In this work, the posttranscriptional regulation was confirmed by mis-expression of miRNA5204* in M. truncatula roots. The miRNA-mediated gene silencing affects the MtGras8 transcript abundance only in the first two weeks of the AM symbiosis and the mis-expression lines seem to mimic the phenotype of MtGras8-RNAi lines. Additionally, MtGRAS8 seems to form heterodimers with NSP2 and RAM1, which are known to be key regulators of the fungal colonization process (Hirsch et al., 2009; Gobbato et al., 2012). These data indicate that MtGras8 and miRNA5204* are linked to the sym pathway and regulate the arbuscule development in phosphate-dependent manner.}, language = {en} } @phdthesis{Boedecker2013, author = {Boedecker, Geesche}, title = {Resonance Fluorescence in a Photonic Crystal}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-69591}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {The problem under consideration in the thesis is a two level atom in a photonic crystal and a pumping laser. The photonic crystal provides an environment for the atom, that modifies the decay of the exited state, especially if the atom frequency is close to the band gap. The population inversion is investigated als well as the emission spectrum. The dynamics is analysed in the context of open quantum systems. Due to the multiple reflections in the photonic crystal, the system has a finite memory that inhibits the Markovian approximation. In the Heisenberg picture the equations of motion for the system variables form a infinite hierarchy of integro-differential equations. To get a closed system, approximations like a weak coupling approximation are needed. The thesis starts with a simple photonic crystal that is amenable to analytic calculations: a one-dimensional photonic crystal, that consists of alternating layers. The Bloch modes inside and the vacuum modes outside a finite crystal are linked with a transformation matrix that is interpreted as a transfer matrix. Formulas for the band structure, the reflection from a semi-infinite crystal, and the local density of states in absorbing crystals are found; defect modes and negative refraction are discussed. The quantum optics section of the work starts with the discussion of three problems, that are related to the full resonance fluorescence problem: a pure dephasing model, the driven atom and resonance fluorescence in free space. In the lowest order of the system-environment coupling, the one-time expectation values for the full problem are calculated analytically and the stationary states are discussed for certain cases. For the calculation of the two time correlation functions and spectra, the additional problem of correlations between the two times appears. In the Markovian case, the quantum regression theorem is valid. In the general case, the fluctuation dissipation theorem can be used instead. The two-time correlation functions are calculated by the two different methods. Within the chosen approximations, both methods deliver the same result. Several plots show the dependence of the spectrum on the parameters. Some examples for squeezing spectra are shown with different approximations. A projection operator method is used to establish two kinds of Markovian expansion with and without time convolution. The lowest order is identical with the lowest order of system environment coupling, but higher orders give different results.}, language = {en} } @phdthesis{Blankenburg2013, author = {Blankenburg, Stefanie}, title = {Charakterisierung der GABAB-Rezeptor Subtypen 1 und 2 der Amerikanischen Großschabe Periplaneta americana}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-69648}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {Die nichtproteinogene Aminos{\"a}ure GABA (γ-Aminobutters{\"a}ure) gilt als der wichtigste inhibitorische Neurotransmitter im Zentralnervensystem von Vertebraten sowie Invertebraten und vermittelt ihre Wirkung u. a. {\"u}ber die metabotropen GABAB-Rezeptoren. Bisher sind diese Rezeptoren bei Insekten nur rudiment{\"a}r untersucht. F{\"u}r die Amerikanische Großschabe als etablierter Modellorganismus konnte pharmakologisch eine modulatorische Rolle der GABAB-Rezeptoren bei der Bildung von Prim{\"a}rspeichel nachgewiesen werden. Ziel dieser Arbeit war eine umfassende Charakterisierung der GABAB-Rezeptor-Subtypen 1 und 2 von Periplaneta americana. Unter Verwendung verschiedenster Klonierungsstrategien sowie der Kooperationsm{\"o}glichkeit mit der Arbeitsgruppe von Prof. Dr. T. Miura (Hokkaido, Japan) in Hinsicht auf eine dort etablierte P. americana EST-Datenbank gelang die Klonierung von zwei Rezeptor-cDNAs. Die Analyse der abgeleiteten Aminos{\"a}uresequenzen auf GB-spezifische Dom{\"a}nen und konservierte Aminos{\"a}ure-Reste, sowie der Vergleich zu bekannten GB Sequenzen anderer Arten legen nahe, dass es sich bei den isolierten Sequenzen um die GABAB-Rezeptor-Subtypen 1 und 2 (PeaGB1 und PeaGB2) handelt. F{\"u}r die funktionelle und pharmakologische Charakterisierung des Heteromers aus PeaGB1 und PeaGB2 wurden Expressionskonstrukte f{\"u}r die Transfektion in HEK-flpTM-Zellen hergestellt. Das Heteromer aus PeaGB1 und PeaGB2 hemmt bei steigenden GABA-Konzentrationen die cAMP-Produktion. Die Substanzen SKF97541 und 3-APPA konnten als Agonisten identifiziert werden. CGP55845 und CGP54626 wirken als vollwertige Antagonisten. Das in vitro ermittelte pharmakologische Profil im Vergleich zur Pharmakologie an der isolierten Dr{\"u}se best{\"a}tigt, dass die GABA-Wirkung in der Speicheldr{\"u}se tats{\"a}chlich von GBs vermittelt wird. F{\"u}r die immunhistochemische Charakterisierung konnte ein spezifischer polyklonaler Antik{\"o}rper gegen die extrazellul{\"a}re Schleife 2 des PeaGB1 generiert werden. Ein weiterer Antik{\"o}rper, welcher gegen den PeaGB2 gerichtet ist, erwies sich hingegen nicht als ausreichend spezifisch. Western-Blot-Analysen best{\"a}tigen das Vorkommen beider Subtypen im Zentralnervensystem von P. americana. Zudem wird der PeaGB1 in der Speicheldr{\"u}se und in den Geschlechtsdr{\"u}sen der Schabenm{\"a}nnchen exprimiert. Immunhistochemische Analysen zeigen eine PeaGB1-{\"a}hnliche Markierung in den GABAergen Fasern der Speicheldr{\"u}se auf. Demnach fungiert der PeaGB1 hier als Autorezeptor. Weiterhin konnte eine PeaGB1-{\"a}hnliche Markierung in nahezu allen Gehirnneuropilen festgestellt werden. Auch die akzessorischen Dr{\"u}sen der M{\"a}nnchen, Pilzdr{\"u}se und Phallusdr{\"u}se, sind PeaGB1-immunreaktiv.}, language = {de} } @phdthesis{Bischoff2013, author = {Bischoff, Juliane}, title = {Microbial communities and their response to Pleistocene and Holocene climate variabilities in the Russian Arctic}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-68895}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {The Arctic is considered as a focal region in the ongoing climate change debate. The currently observed and predicted climate warming is particularly pronounced in the high northern latitudes. Rising temperatures in the Arctic cause progressive deepening and duration of permafrost thawing during the arctic summer, creating an 'active layer' with high bioavailability of nutrients and labile carbon for microbial consumption. The microbial mineralization of permafrost carbon creates large amounts of greenhouse gases, including carbon dioxide and methane, which can be released to the atmosphere, creating a positive feedback to global warming. However, to date, the microbial communities that drive the overall carbon cycle and specifically methane production in the Arctic are poorly constrained. To assess how these microbial communities will respond to the predicted climate changes, such as an increase in atmospheric and soil temperatures causing increased bioavailability of organic carbon, it is necessary to investigate the current status of this environment, but also how these microbial communities reacted to climate changes in the past. This PhD thesis investigated three records from two different study sites in the Russian Arctic, including permafrost, lake shore and lake deposits from Siberia and Chukotka. A combined stratigraphic approach of microbial and molecular organic geochemical techniques were used to identify and quantify characteristic microbial gene and lipid biomarkers. Based on this data it was possible to characterize and identify the climate response of microbial communities involved in past carbon cycling during the Middle Pleistocene and the Late Pleistocene to Holocene. It is shown that previous warmer periods were associated with an expansion of bacterial and archaeal communities throughout the Russian Arctic, similar to present day conditions. Different from this situation, past glacial and stadial periods experienced a substantial decrease in the abundance of Bacteria and Archaea. This trend can also be confirmed for the community of methanogenic archaea that were highly abundant and diverse during warm and particularly wet conditions. For the terrestrial permafrost, a direct effect of the temperature on the microbial communities is likely. In contrast, it is suggested that the temperature rise in scope of the glacial-interglacial climate variations led to an increase of the primary production in the Arctic lake setting, as can be seen in the corresponding biogenic silica distribution. The availability of this algae-derived carbon is suggested to be a driver for the observed pattern in the microbial abundance. This work demonstrates the effect of climate changes on the community composition of methanogenic archae. Methanosarcina-related species were abundant throughout the Russian Arctic and were able to adapt to changing environmental conditions. In contrast, members of Methanocellales and Methanomicrobiales were not able to adapt to past climate changes. This PhD thesis provides first evidence that past climatic warming led to an increased abundance of microbial communities in the Arctic, closely linked to the cycling of carbon and methane production. With the predicted climate warming, it may, therefore, be anticipated that extensive amounts of microbial communities will develop. Increasing temperatures in the Arctic will affect the temperature sensitive parts of the current microbiological communities, possibly leading to a suppression of cold adapted species and the prevalence of methanogenic archaea that tolerate or adapt to increasing temperatures. These changes in the composition of methanogenic archaea will likely increase the methane production potential of high latitude terrestrial regions, changing the Arctic from a carbon sink to a source.}, language = {en} } @phdthesis{Bickert2013, author = {Bickert, Stefanie}, title = {Floras rastlose T{\"o}chter hinter dem Gartentor : die Entwicklung weiblichen Selbstbewusstseins im Hausgarten des 19. Jahrhunderts}, publisher = {Universit{\"a}tsverlag Potsdam}, address = {Potsdam}, isbn = {978-3-86956-269-8}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-68172}, school = {Universit{\"a}t Potsdam}, pages = {313}, year = {2013}, abstract = {Die Dissertation untersucht von Autorinnen (Louisa Johnson, Jane Loudon, Maria Theresa Earle, Gertrude Jekyll, Elizabeth von Arnim) verfasste Ratgeberliteratur zum Hausgarten f{\"u}r ein weibliches Lesepublikum, mit dem Anspruch an eine praktische Gartent{\"a}tigkeit, im Zeitraum von 1839 bis 1900. Die Genderperspektive steht hieraus folgend im Mittelpunkt der vorliegenden Arbeit. Der Fokus auf die b{\"u}rgerliche Mittelklasse ergibt sich aus der Autorinnenperspektive und der angesprochenen Leserschaft. Die Behandlung des Gartens wird einer Analyse unterzogen, die nach der weiblichen Sicht auf den Garten und einem spezifisch weiblichen Selbstverst{\"a}ndnis der garteninteressierten bzw. g{\"a}rtnernden Frauen fragt. In ihrer Besch{\"a}ftigung mit dem Garten leisten die Frauen einen Beitrag zur Konzeption von m{\"a}nnlich und weiblich, zur Bewertung von Geschlechternormen und deren Verhandlung. Das Schreiben und Lesen {\"u}ber den Garten sowie hieraus resultierende Handlungen waren mit der Konstruktion weiblicher Identit{\"a}t verkn{\"u}pft. In ihrer befreienden Konzeption des Gartens heben sich diese Frauenstimmen zu Weiblichkeitsvorstellungen von anderen gesellschaftlichen zugeschriebenen Wirkungsbereichen ab. An die b{\"u}rgerliche Frau herangetragene Rollenerwartungen werden in den Werken weder affirmativ best{\"a}tigt noch offen subversiv hinterfragt. Es handelt sich vielmehr um ein subtiles Unterlaufen durch das Anbieten von Handlungsfeldern, die dem Wunsch nach Selbstverwirklichung und Selbstbestimmung entgegen kamen. Im Garten als vermeintlich kleinem, hausnah-restriktivem Kontext nehmen die Frauen neue Rollen an und variieren diese. Der Besch{\"a}ftigung mit dem Garten kommt daher ein protofeministischer Charakter vor dem Einsetzen der Ersten Frauenbewegung zu, so dass von einem Gartenfeminismus als Instrument zur weiblichen Bewusstwerdung gesprochen werden kann.}, language = {de} } @phdthesis{Berg2013, author = {Berg, Gregor}, title = {Virtual prototypes for the model-based elicitation and validation of collaborative scenarios}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-69729}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {Requirements engineers have to elicit, document, and validate how stakeholders act and interact to achieve their common goals in collaborative scenarios. Only after gathering all information concerning who interacts with whom to do what and why, can a software system be designed and realized which supports the stakeholders to do their work. To capture and structure requirements of different (groups of) stakeholders, scenario-based approaches have been widely used and investigated. Still, the elicitation and validation of requirements covering collaborative scenarios remains complicated, since the required information is highly intertwined, fragmented, and distributed over several stakeholders. Hence, it can only be elicited and validated collaboratively. In times of globally distributed companies, scheduling and conducting workshops with groups of stakeholders is usually not feasible due to budget and time constraints. Talking to individual stakeholders, on the other hand, is feasible but leads to fragmented and incomplete stakeholder scenarios. Going back and forth between different individual stakeholders to resolve this fragmentation and explore uncovered alternatives is an error-prone, time-consuming, and expensive task for the requirements engineers. While formal modeling methods can be employed to automatically check and ensure consistency of stakeholder scenarios, such methods introduce additional overhead since their formal notations have to be explained in each interaction between stakeholders and requirements engineers. Tangible prototypes as they are used in other disciplines such as design, on the other hand, allow designers to feasibly validate and iterate concepts and requirements with stakeholders. This thesis proposes a model-based approach for prototyping formal behavioral specifications of stakeholders who are involved in collaborative scenarios. By simulating and animating such specifications in a remote domain-specific visualization, stakeholders can experience and validate the scenarios captured so far, i.e., how other stakeholders act and react. This interactive scenario simulation is referred to as a model-based virtual prototype. Moreover, through observing how stakeholders interact with a virtual prototype of their collaborative scenarios, formal behavioral specifications can be automatically derived which complete the otherwise fragmented scenarios. This, in turn, enables requirements engineers to elicit and validate collaborative scenarios in individual stakeholder sessions - decoupled, since stakeholders can participate remotely and are not forced to be available for a joint session at the same time. This thesis discusses and evaluates the feasibility, understandability, and modifiability of model-based virtual prototypes. Similarly to how physical prototypes are perceived, the presented approach brings behavioral models closer to being tangible for stakeholders and, moreover, combines the advantages of joint stakeholder sessions and decoupled sessions.}, language = {en} } @phdthesis{Becker2013, author = {Becker, Basil}, title = {Architectural modelling and verification of open service-oriented systems of systems}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-70158}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {Systems of Systems (SoS) have received a lot of attention recently. In this thesis we will focus on SoS that are built atop the techniques of Service-Oriented Architectures and thus combine the benefits and challenges of both paradigms. For this thesis we will understand SoS as ensembles of single autonomous systems that are integrated to a larger system, the SoS. The interesting fact about these systems is that the previously isolated systems are still maintained, improved and developed on their own. Structural dynamics is an issue in SoS, as at every point in time systems can join and leave the ensemble. This and the fact that the cooperation among the constituent systems is not necessarily observable means that we will consider these systems as open systems. Of course, the system has a clear boundary at each point in time, but this can only be identified by halting the complete SoS. However, halting a system of that size is practically impossible. Often SoS are combinations of software systems and physical systems. Hence a failure in the software system can have a serious physical impact what makes an SoS of this kind easily a safety-critical system. The contribution of this thesis is a modelling approach that extends OMG's SoaML and basically relies on collaborations and roles as an abstraction layer above the components. This will allow us to describe SoS at an architectural level. We will also give a formal semantics for our modelling approach which employs hybrid graph-transformation systems. The modelling approach is accompanied by a modular verification scheme that will be able to cope with the complexity constraints implied by the SoS' structural dynamics and size. Building such autonomous systems as SoS without evolution at the architectural level --- i. e. adding and removing of components and services --- is inadequate. Therefore our approach directly supports the modelling and verification of evolution.}, language = {en} } @phdthesis{Bayer2013, author = {Bayer, Anita}, title = {Methodological developments for mapping soil constituents using imaging spectroscopy}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-64399}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {Climatic variations and human activity now and increasingly in the future cause land cover changes and introduce perturbations in the terrestrial carbon reservoirs in vegetation, soil and detritus. Optical remote sensing and in particular Imaging Spectroscopy has shown the potential to quantify land surface parameters over large areas, which is accomplished by taking advantage of the characteristic interactions of incident radiation and the physico-chemical properties of a material. The objective of this thesis is to quantify key soil parameters, including soil organic carbon, using field and Imaging Spectroscopy. Organic carbon, iron oxides and clay content are selected to be analyzed to provide indicators for ecosystem function in relation to land degradation, and additionally to facilitate a quantification of carbon inventories in semiarid soils. The semiarid Albany Thicket Biome in the Eastern Cape Province of South Africa is chosen as study site. It provides a regional example for a semiarid ecosystem that currently undergoes land changes due to unadapted management practices and furthermore has to face climate change induced land changes in the future. The thesis is divided in three methodical steps. Based on reflectance spectra measured in the field and chemically determined constituents of the upper topsoil, physically based models are developed to quantify soil organic carbon, iron oxides and clay content. Taking account of the benefits limitations of existing methods, the approach is based on the direct application of known diagnostic spectral features and their combination with multivariate statistical approaches. It benefits from the collinearity of several diagnostic features and a number of their properties to reduce signal disturbances by influences of other spectral features. In a following step, the acquired hyperspectral image data are prepared for an analysis of soil constituents. The data show a large spatial heterogeneity that is caused by the patchiness of the natural vegetation in the study area that is inherent to most semiarid landscapes. Spectral mixture analysis is performed and used to deconvolve non-homogenous pixels into their constituent components. For soil dominated pixels, the subpixel information is used to remove the spectral influence of vegetation and to approximate the pure spectral signature coming from the soil. This step is an integral part when working in natural non-agricultural areas where pure bare soil pixels are rare. It is identified as the largest benefit within the multi-stage methodology, providing the basis for a successful and unbiased prediction of soil constituents from hyperspectral imagery. With the proposed approach it is possible (1) to significantly increase the spatial extent of derived information of soil constituents to areas with about 40 \% vegetation coverage and (2) to reduce the influence of materials such as vegetation on the quantification of soil constituents to a minimum. Subsequently, soil parameter quantities are predicted by the application of the feature-based soil prediction models to the maps of locally approximated soil signatures. Thematic maps showing the spatial distribution of the three considered soil parameters in October 2009 are produced for the Albany Thicket Biome of South Africa. The maps are evaluated for their potential to detect erosion affected areas as effects of land changes and to identify degradation hot spots in regard to support local restoration efforts. A regional validation, carried out using available ground truth sites, suggests remaining factors disturbing the correlation of spectral characteristics and chemical soil constituents. The approach is developed for semiarid areas in general and not adapted to specific conditions in the study area. All processing steps of the developed methodology are implemented in software modules, where crucial steps of the workflow are fully automated. The transferability of the methodology is shown for simulated data of the future EnMAP hyperspectral satellite. Soil parameters are successfully predicted from these data despite intense spectral mixing within the lower spatial resolution EnMAP pixels. This study shows an innovative approach to use Imaging Spectroscopy for mapping of key soil constituents, including soil organic carbon, for large areas in a non-agricultural ecosystem and under consideration of a partially vegetation coverage. It can contribute to a better assessment of soil constituents that describe ecosystem processes relevant to detect and monitor land changes. The maps further provide an assessment of the current carbon inventory in soils, valuable for carbon balances and carbon mitigation products.}, language = {en} } @phdthesis{Baumgart2013, author = {Baumgart, Natalie}, title = {Faltungseigenschaften des extrazellul{\"a}ren Proteins Internalin J und seine Cysteinleiter}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-69603}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {Internalin J (InlJ) geh{\"o}rt zu der Klasse der bakteriellen, cysteinhaltigen (leucine-rich repeat) LRR Proteine. Bei den Internalinen handelt es sich um meist invasions-assoziierte Proteine der Listerien. Die LRR-Dom{\"a}ne von InlJ ist aus 15 regelm{\"a}ßig wiederkehrenden, stark konservierten Sequenzeinheiten (repeats, 21 Aminos{\"a}uren) aufgebaut. Ein interessantes Detail dieses Internalins ist das stark konservierte Cystein innerhalb der repeats. Daraus ergibt sich eine ungew{\"o}hnliche Anordnung von 12 Cysteinen in einem Stapel. Die H{\"a}ufigkeit von Cysteinen in InlJ ist f{\"u}r ein extrazellul{\"a}res Protein von L. monocytogenes außergew{\"o}hnlich, und die Frage nach ihrer Funktion daher umso brennender. Im Vergleich zum ubiquit{\"a}ren Vorkommen der sogenannten repeat-Proteine in der Natur sind Studien zu ihrer Stabilit{\"a}t und Faltung nicht {\"a}quivalent vertreten. Die zentrale Eigenschaft der repeat-Proteine ist ihr modularer Aufbau, der durch einfache Topologie gekennzeichnet ist und auf kurzreichenden Wechselwirkungen basiert. Diese Topologie macht repeat-Proteine zu idealen Modellproteinen, um die stabilit{\"a}tsrelevanten Wechselwirkungen zu separieren und zuzuordnen. In der vorliegenden Arbeit wurde die Faltung und Entfaltung von InlJ umfassend charakterisiert und die Relevanz der Cysteine n{\"a}her beleuchtet. Die spektroskopische Charakterisierung von InlJ zeigte, dass dessen Faltungszustand durch zwei Tryptophane im N- und C-Terminus fluoreszenzspektroskopisch gut zug{\"a}nglich ist. Die thermodynamische Stabilit{\"a}t wurde mittels fluoreszenz-detektierten, Guanidiniumchlorid-induzierten Gleichgewichtsexperimenten bestimmt. Um die kinetischen Eigenschaften von InlJ zu erfassen, wurden die Faltungs- sowie die Entfaltungsreaktion spektroskopisch untersucht. Die Identifizierung der produktiven Faltungsreaktion war lediglich durch die Anwendung des reversen Doppelsprungexperiments m{\"o}glich. Die Auswertung erfolgte nach dem Zweizustandsmodell, wonach die Faltung dem „Alles-oder-Nichts" Prinzip folgt. Die G{\"u}ltigkeit dieser Annahme wurde durch die kinetische Charakterisierung best{\"a}tigt. Es wurde sowohl in den Gleichgewichtsexperimenten als auch in den kinetisch erhaltenen Daten eine hohe freie Stabilisierungsenthalpie festgestellt. Die hohe Stabilit{\"a}t von InlJ geht mit hoher Kooperativit{\"a}t einher. Die kinetischen Daten zeigen zudem, dass die hohe Kooperativit{\"a}t haupts{\"a}chlich der Faltungsreaktion entstammt. Der Tanford-Wert von 0.93 impliziert, dass die Oberfl{\"a}chen{\"a}nderung w{\"a}hrend der Faltung bereits zum gr{\"o}ßten Teil erfolgt ist, bevor der {\"U}bergangszustand ausgebildet wurde. Direkte strukturelle Informationen {\"u}ber den {\"U}bergangszustand wurden mit Hilfe von Mutationsstudien erhalten. Zu diesem Zweck wurden 12 der 14 Cysteine gegen ein Alanin ausgetauscht. Die repeats 1 bis 11 von InlJ beinhalten jeweils ein Cystein, deren Anordnung eine Leiter ergibt. Deren Substitutionen haben einen vergleichbar destabilisierenden Effekt auf InlJ von durchschnittlich 4.8 kJ/mol. Die Verlangsamung der Faltung deutet daraufhin, dass die Interaktionen der repeats 5 bis 11 im {\"U}bergangszustand bereits voll ausgebildet sind. Demnach liegt bei InlJ ein zentraler Faltungsnukleus vor. Im Rahmen dieser Promotionsarbeit wurde eine hohe Stabilit{\"a}t und ein stark-kooperatives Verhalten f{\"u}r das extrazellul{\"a}re Protein InlJ beobachtet. Diese Erkenntnisse k{\"o}nnten wichtige Beitr{\"a}ge zur Entwicklung artifizieller repeat-Proteine leisten, deren Verwendung sich stetig ausweitet.}, language = {de} } @phdthesis{BaumannWilke2013, author = {Baumann-Wilke, Maria}, title = {Combining body wave tomography, surface wave inversion, seismic interferometry and laboratory measurements to characterize the black shales on Bornholm at different scales}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-69007}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {Black shales are sedimentary rocks with a high content of organic carbon, which leads to a dark grayish to black color. Due to their potential to contain oil or gas, black shales are of great interest for the support of the worldwide energy supply. An integrated seismic investigation of the Lower Palaeozoic black shales was carried out at the Danish island Bornholm to locate the shallow-lying Alum Shale layer and its surrounding formations and to characterize its potential as a source rock. Therefore, two seismic experiments at a total of three crossing profiles were carried out in October 2010 and in June 2012 in the southern part of the island. Two different active measurements were conducted with either a weight drop source or a minivibrator. Additionally, the ambient noise field was recorded at the study location over a time interval of about one day, and also a laboratory analysis of borehole samples was carried out. The seismic profiles were positioned as close as possible to two scientific boreholes which were used for comparative purposes. The seismic field data was analyzed with traveltime tomography, surface wave inversion and seismic interferometry to obtain the P-wave and S-wave velocity models of the subsurface. The P-wave velocity models which were determined for all three profiles clearly locate the Alum Shale layer between the Komstad Limestone layer on top and the L{\ae}s{\aa} Sandstone Formation at the base of the models. The black shale layer has P-wave velocities around 3 km/s which are lower compared to the adjacent formations. Due to a very good agreement of the sonic log and the vertical velocity profiles of the two seismic lines, which are directly crossing the borehole where the sonic log was conducted, the reliability of the traveltime tomography is proven. A correlation of the seismic velocities with the content of organic carbon is an important task for the characterization of the reservoir properties of a black shale formation. It is not possible without calibration but in combination with a full 2D tomographic image of the subsurface it gives the subsurface distribution of the organic material. The S-wave model obtained with surface wave inversion of the vibroseis data of one of the profiles images the Alum Shale layer also very well with S-wave velocities around 2 km/s. Although individual 1D velocity models for each of the source positions were determined, the subsurface S-wave velocity distribution is very uniform with a good match between the single models. A really new approach described here is the application of seismic interferometry to a really small study area and a quite short time interval. Also new is the selective procedure of only using time windows with the best crosscorrelation signals to achieve the final interferograms. Due to the small scale of the interferometry even P-wave signals can be observed in the final crosscorrelations. In the laboratory measurements the seismic body waves were recorded for different pressure and temperature stages. Therefore, samples of different depths of the Alum Shale were available from one of the scientific boreholes at the study location. The measured velocities have a high variance with changing pressure or temperature. Recordings with wave propagation both parallel and perpendicular to the bedding of the samples reveal a great amount of anisotropy for the P-wave velocity, whereas the S-wave velocity is almost independent of the wave direction. The calculated velocity ratio is also highly anisotropic with very low values for the perpendicular samples and very high values for the parallel ones. Interestingly, the laboratory velocities of the perpendicular samples are comparable to the velocities of the field experiments indicating that the field measurements are sensitive to wave propagation in vertical direction. The velocity ratio is also calculated with the P-wave and S-wave velocity models of the field experiments. Again, the Alum Shale can be clearly separated from the adjacent formations because it shows overall very low vP/vS ratios around 1.4. The very low velocity ratio indicates the content of gas in the black shale formation. With the combination of all the different methods described here, a comprehensive interpretation of the seismic response of the black shale layer can be made and the hydrocarbon source rock potential can be estimated.}, language = {en} } @phdthesis{Bauckmann2013, author = {Bauckmann, Jana}, title = {Dependency discovery for data integration}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-66645}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {Data integration aims to combine data of different sources and to provide users with a unified view on these data. This task is as challenging as valuable. In this thesis we propose algorithms for dependency discovery to provide necessary information for data integration. We focus on inclusion dependencies (INDs) in general and a special form named conditional inclusion dependencies (CINDs): (i) INDs enable the discovery of structure in a given schema. (ii) INDs and CINDs support the discovery of cross-references or links between schemas. An IND "A in B" simply states that all values of attribute A are included in the set of values of attribute B. We propose an algorithm that discovers all inclusion dependencies in a relational data source. The challenge of this task is the complexity of testing all attribute pairs and further of comparing all of each attribute pair's values. The complexity of existing approaches depends on the number of attribute pairs, while ours depends only on the number of attributes. Thus, our algorithm enables to profile entirely unknown data sources with large schemas by discovering all INDs. Further, we provide an approach to extract foreign keys from the identified INDs. We extend our IND discovery algorithm to also find three special types of INDs: (i) Composite INDs, such as "AB in CD", (ii) approximate INDs that allow a certain amount of values of A to be not included in B, and (iii) prefix and suffix INDs that represent special cross-references between schemas. Conditional inclusion dependencies are inclusion dependencies with a limited scope defined by conditions over several attributes. Only the matching part of the instance must adhere the dependency. We generalize the definition of CINDs distinguishing covering and completeness conditions and define quality measures for conditions. We propose efficient algorithms that identify covering and completeness conditions conforming to given quality thresholds. The challenge for this task is twofold: (i) Which (and how many) attributes should be used for the conditions? (ii) Which attribute values should be chosen for the conditions? Previous approaches rely on pre-selected condition attributes or can only discover conditions applying to quality thresholds of 100\%. Our approaches were motivated by two application domains: data integration in the life sciences and link discovery for linked open data. We show the efficiency and the benefits of our approaches for use cases in these domains.}, language = {en} } @phdthesis{Bajerski2013, author = {Bajerski, Felizitas}, title = {Bacterial communities in glacier forefields of the Larsemann Hills, East Antarctica : structure, development \& adaptation}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-67424}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {Antarctic glacier forfields are extreme environments and pioneer sites for ecological succession. The Antarctic continent shows microbial community development as a natural laboratory because of its special environment, geographic isolation and little anthropogenic influence. Increasing temperatures due to global warming lead to enhanced deglaciation processes in cold-affected habitats and new terrain is becoming exposed to soil formation and accessible for microbial colonisation. This study aims to understand the structure and development of glacier forefield bacterial communities, especially how soil parameters impact the microorganisms and how those are adapted to the extreme conditions of the habitat. To this effect, a combination of cultivation experiments, molecular, geophysical and geochemical analysis was applied to examine two glacier forfields of the Larsemann Hills, East Antarctica. Culture-independent molecular tools such as terminal restriction length polymorphism (T-RFLP), clone libraries and quantitative real-time PCR (qPCR) were used to determine bacterial diversity and distribution. Cultivation of yet unknown species was carried out to get insights in the physiology and adaptation of the microorganisms. Adaptation strategies of the microorganisms were studied by determining changes of the cell membrane phospholipid fatty acid (PLFA) inventory of an isolated bacterium in response to temperature and pH fluctuations and by measuring enzyme activity at low temperature in environmental soil samples. The two studied glacier forefields are extreme habitats characterised by low temperatures, low water availability and small oligotrophic nutrient pools and represent sites of different bacterial succession in relation to soil parameters. The investigated sites showed microbial succession at an early step of soil formation near the ice tongue in comparison to closely located but rather older and more developed soil from the forefield. At the early step the succession is influenced by a deglaciation-dependent areal shift of soil parameters followed by a variable and prevalently depth-related distribution of the soil parameters that is driven by the extreme Antarctic conditions. The dominant taxa in the glacier forefields are Actinobacteria, Acidobacteria, Proteobacteria, Bacteroidetes, Cyanobacteria and Chloroflexi. The connection of soil characteristics with bacterial community structure showed that soil parameter and soil formation along the glacier forefield influence the distribution of certain phyla. In the early step of succession the relative undifferentiated bacterial diversity reflects the undifferentiated soil development and has a high potential to shift according to past and present environmental conditions. With progressing development environmental constraints such as water or carbon limitation have a greater influence. Adapting the culturing conditions to the cold and oligotrophic environment, the number of culturable heterotrophic bacteria reached up to 108 colony forming units per gram soil and 148 isolates were obtained. Two new psychrotolerant bacteria, Herbaspirillum psychrotolerans PB1T and Chryseobacterium frigidisoli PB4T, were characterised in detail and described as novel species in the family of Oxalobacteraceae and Flavobacteriaceae, respectively. The isolates are able to grow at low temperatures tolerating temperature fluctuations and they are not specialised to a certain substrate, therefore they are well-adapted to the cold and oligotrophic environment. The adaptation strategies of the microorganisms were analysed in environmental samples and cultures focussing on extracellular enzyme activity at low temperature and PLFA analyses. Extracellular phosphatases (pH 11 and pH 6.5), β-glucosidase, invertase and urease activity were detected in the glacier forefield soils at low temperature (14°C) catalysing the conversion of various compounds providing necessary substrates and may further play a role in the soil formation and total carbon turnover of the habitat. The PLFA analysis of the newly isolated species C. frigidisoli showed that the cold-adapted strain develops different strategies to maintain the cell membrane function under changing environmental conditions by altering the PLFA inventory at different temperatures and pH values. A newly discovered fatty acid, which was not found in any other microorganism so far, significantly increased at decreasing temperature and low pH and thus plays an important role in the adaption of C. frigidisoli. This work gives insights into the diversity, distribution and adaptation mechanisms of microbial communities in oligotrophic cold-affected soils and shows that Antarctic glacier forefields are suitable model systems to study bacterial colonisation in connection to soil formation.}, language = {en} } @phdthesis{Badarch2013, author = {Badarch, Kherlen}, title = {Integrating new values into Mongolian public management}, publisher = {Universit{\"a}tsverlag Potsdam}, address = {Potsdam}, isbn = {978-3-86956-261-2}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-66897}, school = {Universit{\"a}t Potsdam}, pages = {237}, year = {2013}, abstract = {This dissertation explores the socio-cultural and institutional environment of the public sector organizations of Mongolia that have strong influence on current public administration reform results. This study applies the Cultural theory and Value theory. The strong hierarchy favoring rule-bounded behavior and collectivism, fatalism accepting an authority as inevitable and uncontrollable, and individualism wishing to have control over own actions are the types of culture common in Mongolian public sector organizations. Accordingly, Mongolian public sector employees transcending their selfish interests, emphasize the well-being of others, protection of order, harmony in relations, life safety and stability. Then self-direction values with emphases on independent thought and action, and creativity are important for them. This socio-cultural context has great implication for work behavior of public employees, for their action to implement the reform policies in government organizations. Thus, the institutional leadership, which produces and protects values, becomes essential for introducing changes in the existing intuitional environment.}, language = {de} } @phdthesis{Bach2013, author = {Bach, Christoph}, title = {Improving statistical seismicity models}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-70591}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {Several mechanisms are proposed to be part of the earthquake triggering process, including static stress interactions and dynamic stress transfer. Significant differences of these mechanisms are particularly expected in the spatial distribution of aftershocks. However, testing the different hypotheses is challenging because it requires the consideration of the large uncertainties involved in stress calculations as well as the appropriate consideration of secondary aftershock triggering which is related to stress changes induced by smaller pre- and aftershocks. In order to evaluate the forecast capability of different mechanisms, I take the effect of smaller--magnitude earthquakes into account by using the epidemic type aftershock sequence (ETAS) model where the spatial probability distribution of direct aftershocks, if available, is correlated to alternative source information and mechanisms. Surface shaking, rupture geometry, and slip distributions are tested. As an approximation of the shaking level, ShakeMaps are used which are available in near real-time after a mainshock and thus could be used for first-order forecasts of the spatial aftershock distribution. Alternatively, the use of empirical decay laws related to minimum fault distance is tested and Coulomb stress change calculations based on published and random slip models. For comparison, the likelihood values of the different model combinations are analyzed in the case of several well-known aftershock sequences (1992 Landers, 1999 Hector Mine, 2004 Parkfield). The tests show that the fault geometry is the most valuable information for improving aftershock forecasts. Furthermore, they reveal that static stress maps can additionally improve the forecasts of off--fault aftershock locations, while the integration of ground shaking data could not upgrade the results significantly. In the second part of this work, I focused on a procedure to test the information content of inverted slip models. This allows to quantify the information gain if this kind of data is included in aftershock forecasts. For this purpose, the ETAS model based on static stress changes, which is introduced in part one, is applied. The forecast ability of the models is systematically tested for several earthquake sequences and compared to models using random slip distributions. The influence of subfault resolution and segment strike and dip is tested. Some of the tested slip models perform very good, in that cases almost no random slip models are found to perform better. Contrastingly, for some of the published slip models, almost all random slip models perform better than the published slip model. Choosing a different subfault resolution hardly influences the result, as long the general slip pattern is still reproducible. Whereas different strike and dip values strongly influence the results depending on the standard deviation chosen, which is applied in the process of randomly selecting the strike and dip values.}, language = {en} } @phdthesis{Amour2013, author = {Amour, Fr{\´e}d{\´e}ric}, title = {3-D modeling of shallow-water carbonate systems : a scale-dependent approach based on quantitative outcrop studies}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-66621}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {The study of outcrop modeling is located at the interface between two fields of expertise, Sedimentology and Computing Geoscience, which respectively investigates and simulates geological heterogeneity observed in the sedimentary record. During the last past years, modeling tools and techniques were constantly improved. In parallel, the study of Phanerozoic carbonate deposits emphasized the common occurrence of a random facies distribution along single depositional domain. Although both fields of expertise are intrinsically linked during outcrop simulation, their respective advances have not been combined in literature to enhance carbonate modeling studies. The present study re-examines the modeling strategy adapted to the simulation of shallow-water carbonate systems, based on a close relationship between field sedimentology and modeling capabilities. In the present study, the evaluation of three commonly used algorithms Truncated Gaussian Simulation (TGSim), Sequential Indicator Simulation (SISim), and Indicator Kriging (IK), were performed for the first time using visual and quantitative comparisons on an ideally suited carbonate outcrop. The results show that the heterogeneity of carbonate rocks cannot be fully simulated using one single algorithm. The operating mode of each algorithm involves capabilities as well as drawbacks that are not capable to match all field observations carried out across the modeling area. Two end members in the spectrum of carbonate depositional settings, a low-angle Jurassic ramp (High Atlas, Morocco) and a Triassic isolated platform (Dolomites, Italy), were investigated to obtain a complete overview of the geological heterogeneity in shallow-water carbonate systems. Field sedimentology and statistical analysis performed on the type, morphology, distribution, and association of carbonate bodies and combined with palaeodepositional reconstructions, emphasize similar results. At the basin scale (x 1 km), facies association, composed of facies recording similar depositional conditions, displays linear and ordered transitions between depositional domains. Contrarily, at the bedding scale (x 0.1 km), individual lithofacies type shows a mosaic-like distribution consisting of an arrangement of spatially independent lithofacies bodies along the depositional profile. The increase of spatial disorder from the basin to bedding scale results from the influence of autocyclic factors on the transport and deposition of carbonate sediments. Scale-dependent types of carbonate heterogeneity are linked with the evaluation of algorithms in order to establish a modeling strategy that considers both the sedimentary characteristics of the outcrop and the modeling capabilities. A surface-based modeling approach was used to model depositional sequences. Facies associations were populated using TGSim to preserve ordered trends between depositional domains. At the lithofacies scale, a fully stochastic approach with SISim was applied to simulate a mosaic-like lithofacies distribution. This new workflow is designed to improve the simulation of carbonate rocks, based on the modeling of each scale of heterogeneity individually. Contrarily to simulation methods applied in literature, the present study considers that the use of one single simulation technique is unlikely to correctly model the natural patterns and variability of carbonate rocks. The implementation of different techniques customized for each level of the stratigraphic hierarchy provides the essential computing flexibility to model carbonate systems. Closer feedback between advances carried out in the field of Sedimentology and Computing Geoscience should be promoted during future outcrop simulations for the enhancement of 3-D geological models.}, language = {en} } @phdthesis{Adhikari2013, author = {Adhikari, Rishi Ram}, title = {Quantification of total microbial biomass and metabolic activity in subsurface sediments}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-67773}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {Metabolically active microbial communities are present in a wide range of subsurface environments. Techniques like enumeration of microbial cells, activity measurements with radiotracer assays and the analysis of porewater constituents are currently being used to explore the subsurface biosphere, alongside with molecular biological analyses. However, many of these techniques reach their detection limits due to low microbial activity and abundance. Direct measurements of microbial turnover not just face issues of insufficient sensitivity, they only provide information about a single specific process but in sediments many different process can occur simultaneously. Therefore, the development of a new technique to measure total microbial activity would be a major improvement. A new tritium-based hydrogenase-enzyme assay appeared to be a promising tool to quantify total living biomass, even in low activity subsurface environments. In this PhD project total microbial biomass and microbial activity was quantified in different subsurface sediments using established techniques (cell enumeration and pore water geochemistry) as well as a new tritium-based hydrogenase enzyme assay. By using a large database of our own cell enumeration data from equatorial Pacific and north Pacific sediments and published data it was shown that the global geographic distribution of subseafloor sedimentary microbes varies between sites by 5 to 6 orders of magnitude and correlates with the sedimentation rate and distance from land. Based on these correlations, global subseafloor biomass was estimated to be 4.1 petagram-C and ~0.6 \% of Earth's total living biomass, which is significantly lower than previous estimates. Despite the massive reduction in biomass the subseafloor biosphere is still an important player in global biogeochemical cycles. To understand the relationship between microbial activity, abundance and organic matter flux into the sediment an expedition to the equatorial Pacific upwelling area and the north Pacific Gyre was carried out. Oxygen respiration rates in subseafloor sediments from the north Pacific Gyre, which are deposited at sedimentation rates of 1 mm per 1000 years, showed that microbial communities could survive for millions of years without fresh supply of organic carbon. Contrary to the north Pacific Gyre oxygen was completely depleted within the upper few millimeters to centimeters in sediments of the equatorial upwelling region due to a higher supply of organic matter and higher metabolic activity. So occurrence and variability of electron acceptors over depth and sites make the subsurface a complex environment for the quantification of total microbial activity. Recent studies showed that electron acceptor processes, which were previously thought to thermodynamically exclude each other can occur simultaneously. So in many cases a simple measure of the total microbial activity would be a better and more robust solution than assays for several specific processes, for example sulfate reduction rates or methanogenesis. Enzyme or molecular assays provide a more general approach as they target key metabolic compounds. Since hydrogenase enzymes are ubiquitous in microbes, the recently developed tritium-based hydrogenase radiotracer assay is applied to quantify hydrogenase enzyme activity as a parameter of total living cell activity. Hydrogenase enzyme activity was measured in sediments from different locations (Lake Van, Barents Sea, Equatorial Pacific and Gulf of Mexico). In sediment samples that contained nitrate, we found the lowest cell specific enzyme activity around 10^(-5) nmol H_(2) cell^(-1) d^(-1). With decreasing energy yield of the electron acceptor used, cell-specific hydrogenase activity increased and maximum values of up to 1 nmol H_(2) cell^(-1) d^(-1) were found in samples with methane concentrations of >10 ppm. Although hydrogenase activity cannot be converted directly into a turnover rate of a specific process, cell-specific activity factors can be used to identify specific metabolism and to quantify the metabolically active microbial population. In another study on sediments from the Nankai Trough microbial abundance and hydrogenase activity data show that both the habitat and the activity of subseafloor sedimentary microbial communities have been impacted by seismic activities. An increase in hydrogenase activity near the fault zone revealed that the microbial community was supplied with hydrogen as an energy source and that the microbes were specialized to hydrogen metabolism.}, language = {en} } @phdthesis{Abdelfadil2013, author = {Abdelfadil, Khaled Mohamed}, title = {Geochemistry of Variscan lamprophyre magmatism in the Saxo-Thuringian Zone}, url = {http://nbn-resolving.de/urn:nbn:de:kobv:517-opus-68854}, school = {Universit{\"a}t Potsdam}, year = {2013}, abstract = {Lamprophyres are mantle-derived magmatic rocks, commonly occurring as dikes. They are readily identified from their field setting, petrography, chemical and mineralogical composition. These rocks not only provide important information on melting processes in the mantle, but also on geodynamic processes modifying the mantle. There are numerous occurrences of lamprophyres in the Saxo-Thuringian Zone of Variscan Central Europe, which are useful to track the variable effects of the Variscan orogeny on local mantle evolution. This work presents and evaluates the mineralogical, geochemical, and Sr-Nd-Pb isotopic data of late-Variscan calc-alkaline lamprophyres, post-Variscan ultramafic lamprophyres, of alkaline basalt from Lusatia, and, for comparison, of pre-Variscan gabbros. In addition, lithium isotopic signatures combined with Sr-Nd-Pb isotopic data of late-Variscan calc-alkaline lamprophyres from three different Variscan Domains (i.e., Erzgebirge, Lusatia, and Sudetes) are used to assess compositional changes of the mantle during Variscan orogeny.}, language = {de} }