TY - THES A1 - Lorson, Annalena T1 - Understanding early stage evolution of digital innovation units in manufacturing companies T1 - Verständnis der frühphasigen Entwicklung digitaler Innovationseinheiten in Fertigungsunternehmen N2 - The dynamic landscape of digital transformation entails an impact on industrial-age manufacturing companies that goes beyond product offerings, changing operational paradigms, and requiring an organization-wide metamorphosis. An initiative to address the given challenges is the creation of Digital Innovation Units (DIUs) – departments or distinct legal entities that use new structures and practices to develop digital products, services, and business models and support or drive incumbents’ digital transformation. With more than 300 units in German-speaking countries alone and an increasing number of scientific publications, DIUs have become a widespread phenomenon in both research and practice. This dissertation examines the evolution process of DIUs in the manufacturing industry during their first three years of operation, through an extensive longitudinal single-case study and several cross-case syntheses of seven DIUs. Building on the lenses of organizational change and development, time, and socio-technical systems, this research provides insights into the fundamentals, temporal dynamics, socio-technical interactions, and relational dynamics of a DIU’s evolution process. Thus, the dissertation promotes a dynamic understanding of DIUs and adds a two-dimensional perspective to the often one-dimensional view of these units and their interactions with the main organization throughout the startup and growth phases of a DIU. Furthermore, the dissertation constructs a phase model that depicts the early stages of DIU evolution based on these findings and by incorporating literature from information systems research. As a result, it illustrates the progressive intensification of collaboration between the DIU and the main organization. After being implemented, the DIU sparks initial collaboration and instigates change within (parts of) the main organization. Over time, it adapts to the corporate environment to some extent, responding to changing circumstances in order to contribute to long-term transformation. Temporally, the DIU drives the early phases of cooperation and adaptation in particular, while the main organization triggers the first major evolutionary step and realignment of the DIU. Overall, the thesis identifies DIUs as malleable organizational structures that are crucial for digital transformation. Moreover, it provides guidance for practitioners on the process of building a new DIU from scratch or optimizing an existing one. N2 - Die digitale Transformation produzierender Unternehmen geht über die bloße Veränderung des Produktangebots hinaus; sie durchdringt operative Paradigmen und erfordert eine umfassende, unternehmensweite Metamorphose. Eine Initiative, den damit verbundenen Herausforderungen zu begegnen, ist der Aufbau einer Digital Innovation Unit (DIU) (zu deutsch: digitale Innovationseinheit) – eine Abteilung oder separate rechtliche Einheit, die neue organisationale Strukturen und Arbeitspraktiken nutzt, um digitale Produkte, Dienstleistungen und Geschäftsmodelle zu entwickeln und die digitale Transformation von etabliertenUnternehmen zu unterstützen oder voranzutreiben. Mit mehr als 300 Einheitenallein im deutschsprachigen Raum und einer wachsenden Zahl wissenschaftlicher Publikationen sind DIUs sowohl in der Forschung als auch in der Praxis ein weit verbreitetes Phänomen. Auf Basis einer umfassenden Längsschnittstudie und mehrerer Querschnittsanalysen von sieben Fertigungsunternehmen und ihren DIUs untersucht diese Dissertation den Entwicklungsprozess von DIUs in den ersten drei Betriebsjahren. Gestützt auf theoretische Perspektiven zu organisatorischem Wandel, Zeit und sozio-technischen Systemen bietet sie Einblicke in die Grundlagen, die zeitlichen Dynamiken, die sozio-technischen Interaktionen und die Beziehungsdynamiken des Entwicklungsprozesses von DIUs. Die Dissertation erweitert somit das dynamische Verständnis von DIUs und fügt der oft eindimensionalen Sichtweise auf diese Einheiten und ihre Interaktionen mit der Hauptorganisation eine zweidimensionale Perspektive entlang der Gründungs- und Wachstumsphasen einer DIU hinzu. Darüber hinaus konstruiert die Dissertation ein Phasenmodell, das die frühen Phasen der DIU-Entwicklung auf der Grundlage dieser Erkenntnisse und unter Einbeziehung von Literatur aus der Wirtschaftsinformatikforschung abbildet. Es veranschaulicht die schrittweise Intensivierung der Zusammenarbeit zwischen der DIU und der Hauptorganisation. Nach ihrer Implementierung initiiert die DIU die anfängliche Zusammenarbeit und stößt Veränderungen innerhalb (von Teilen) der Hauptorganisation an. Im Laufe der Zeit passt sich die DIU bis zu einem gewissen Grad dem Unternehmensumfeld an und reagiert auf sich verändernde Umstände, um zu einer langfristigen Veränderung beizutragen. Zeitlich gesehen treibt die DIU vor allem die frühen Phasen der Zusammenarbeit und Anpassung voran, während die Hauptorganisation den ersten großen Entwicklungsschritt und die Neuausrichtung der DIU auslöst. Insgesamt identifiziert die Dissertation DIUs als anpassungsfähige Organisationsstrukturen, die für die digitale Transformation entscheidend sind. Darüber hinaus bietet sie Praktikern einen Leitfaden für den Aufbau einer neuen oder die Optimierung einer bestehenden DIU. KW - digital transformation KW - digital innovation units KW - evolution of digital innovation units KW - manufacturing companies KW - digitale Transformation KW - digitale Innovationseinheit KW - Entwicklung digitaler Innovationseinheiten KW - Fertigungsunternehmen Y1 - 2024 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-639141 ER - TY - THES A1 - Wiesmeier, Rebekka T1 - Cultural conceptualisations relating to DEATH in Irish English from a diachronic perspective T1 - Kulturelle Konzeptualisierungen im Zusammenhang mit TOD im Irischen Englisch aus einer Diachronen Perspektive N2 - The present thesis looks at cultural conceptualisations in relation to DEATH in Irish English from a Cultural Linguistic perspective and puts a special focus on the diachronic development of these conceptualisations. For the study, a corpus consisting of 1,400 death notices from the Dublin-based national newspaper The Irish Times from 14 historical periods between 1859 and 2023 was compiled, resulting in a highly specialised 70,000-word corpus. First, the manual qualitative analysis of the death notices produced evidence for eight superordinate cultural conceptualisations surrounding DEATH, namely, in the order of their frequency THE DEAD ARE TO BE REMEMBERED OR REGRETTED, DEATH IS SOMETHING POSITIVE, DEATH IS REST, DEATH IS A JOURNEY, DYING IS THE BEGINNING OF ANOTHER LIFE, DEATH IS (NOT) A TABOO, DEATH IS GOD’S WILL, and DEATH IS THE END. These conceptualisations were derived from linguistic expressions in the death notices that have these conceptualisations as a cognitive basis. Second, the quantitative comparison of the individual conceptualisations detected diachronic variation, which is interconnected with historical and social developments in Ireland. The thesis, therefore, illustrates the applicability of Cultural Linguistics as an adequate method for diachronic studies interested in culturally determined developments of conceptualisations. N2 - Die vorliegende Arbeit untersucht kulturelle Konzeptualisierungen in Bezug auf TOD im Irischen Englisch aus der Perspektive der Cultural Linguistics. Der Fokus liegt dabei auf der diachronen Entwicklung dieser Konzeptualisierungen. Die Studie basiert auf einem Korpus von 1.400 Todesanzeigen aus der in Dublin erscheinenden überregionalen Zeitung The Irish Times aus 14 historischen Epochen zwischen 1859 und 2023, was zu einem hochspezialisierten Korpus von 70.000 Wörtern führt. Die qualitative manuelle Analyse der Todesanzeigen brachte acht übergeordnete kulturelle Konzeptualisierungen rund um das Thema TOD hervor, nämlich in der Reihenfolge ihrer Häufigkeit: DIE TOTEN MÜSSEN BEDAUERT ODER IN ERINNERUNG BEHALTEN WERDEN, DER TOD IST ETWAS POSITIVES, DER TOD IST RUHE, DER TOD IST EINE REISE, DER TOD IST DER ANFANG EINES ANDEREN LEBENS, DER TOD IST (KEIN) TABU, DER TOD IST DER WILLE GOTTES und DER TOD IST DAS ENDE. Sie wurden von Ausdrücken in den Todesanzeigen abgeleitet, die diese Konzeptualisierungen als kognitive Grundlagen haben. Die diachrone Variation, die durch einen quantitativen Vergleich innerhalb der einzelnen Konzeptualisierungen aufgedeckt wurde, hängt mit historischen und sozialen Entwicklungen in Irland zusammen. Die Arbeit verdeutlicht daher, dass Cultural Linguistics eine geeignete Methodik für diachrone Studien ist, die sich mit kulturell geprägten Entwicklungen von Konzeptualisierungen beschäftigen. KW - cultural linguistics KW - Irish English KW - death KW - diachronic KW - cultural conceptualisations KW - Cultural Linguistics KW - Irisches Englisch KW - Tod KW - diachronisch KW - kulturelle Konzeptualisierungen Y1 - 2024 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-638719 ER - TY - THES A1 - Sharma, Shubham T1 - Integrated approaches to earthquake forecasting T1 - Integrierte Ansätze zur Vorhersage von Erdbeben BT - insights from Coulomb stress, seismotectonics, and aftershock sequences BT - Erkenntnisse aus Coulomb-Stress, Seismotektonik und Nachbebenfolgen N2 - A comprehensive study on seismic hazard and earthquake triggering is crucial for effective mitigation of earthquake risks. The destructive nature of earthquakes motivates researchers to work on forecasting despite the apparent randomness of the earthquake occurrences. Understanding their underlying mechanisms and patterns is vital, given their potential for widespread devastation and loss of life. This thesis combines methodologies, including Coulomb stress calculations and aftershock analysis, to shed light on earthquake complexities, ultimately enhancing seismic hazard assessment. The Coulomb failure stress (CFS) criterion is widely used to predict the spatial distributions of aftershocks following large earthquakes. However, uncertainties associated with CFS calculations arise from non-unique slip inversions and unknown fault networks, particularly due to the choice of the assumed aftershocks (receiver) mechanisms. Recent studies have proposed alternative stress quantities and deep neural network approaches as superior to CFS with predefined receiver mechanisms. To challenge these propositions, I utilized 289 slip inversions from the SRCMOD database to calculate more realistic CFS values for a layered-half space and variable receiver mechanisms. The analysis also investigates the impact of magnitude cutoff, grid size variation, and aftershock duration on the ranking of stress metrics using receiver operating characteristic (ROC) analysis. Results reveal the performance of stress metrics significantly improves after accounting for receiver variability and for larger aftershocks and shorter time periods, without altering the relative ranking of the different stress metrics. To corroborate Coulomb stress calculations with the findings of earthquake source studies in more detail, I studied the source properties of the 2005 Kashmir earthquake and its aftershocks, aiming to unravel the seismotectonics of the NW Himalayan syntaxis. I simultaneously relocated the mainshock and its largest aftershocks using phase data, followed by a comprehensive analysis of Coulomb stress changes on the aftershock planes. By computing the Coulomb failure stress changes on the aftershock faults, I found that all large aftershocks lie in regions of positive stress change, indicating triggering by either co-seismic or post-seismic slip on the mainshock fault. Finally, I investigated the relationship between mainshock-induced stress changes and associated seismicity parameters, in particular those of the frequency-magnitude (Gutenberg-Richter) distribution and the temporal aftershock decay (Omori-Utsu law). For that purpose, I used my global data set of 127 mainshock-aftershock sequences with the calculated Coulomb Stress (ΔCFS) and the alternative receiver-independent stress metrics in the vicinity of the mainshocks and analyzed the aftershocks properties depend on the stress values. Surprisingly, the results show a clear positive correlation between the Gutenberg-Richter b-value and induced stress, contrary to expectations from laboratory experiments. This observation highlights the significance of structural heterogeneity and strength variations in seismicity patterns. Furthermore, the study demonstrates that aftershock productivity increases nonlinearly with stress, while the Omori-Utsu parameters c and p systematically decrease with increasing stress changes. These partly unexpected findings have significant implications for future estimations of aftershock hazard. The findings in this thesis provides valuable insights into earthquake triggering mechanisms by examining the relationship between stress changes and aftershock occurrence. The results contribute to improved understanding of earthquake behavior and can aid in the development of more accurate probabilistic-seismic hazard forecasts and risk reduction strategies. N2 - Ein umfassendes Verständnis der seismischen Gefahr und Erdbebenauslösung ist wichtig für eine Minderung von Erdbebenrisiken. Die zerstörerische Natur von Erdbeben motiviert Forscher dazu, trotz der scheinbaren Zufälligkeit der Erdbebenereignisse an Vorhersagen zu arbeiten. Das Verständnis der den Beben zugrunde liegenden Mechanismen und Muster ist angesichts ihres Potenzials für weitreichende Verwüstung und den Verlust von Menschenleben von entscheidender Bedeutung. Diese Arbeit kombiniert Methoden, einschließlich der Berechnung der Coulombschen Spannung und der Analyse von Nachbeben, um die Komplexitäten von Erdbeben besser zu verstehen und letztendlich die Bewertung der seismischen Gefahr zu verbessern. Das Coulomb Spannungskriterium (CFS) wird oft verwendet, um die räumliche Verteilung von Nachbeben nach großen Erdbeben vorherzusagen. Jedoch ergeben sich Unsicherheiten bei der Berechnung von CFS aus nicht eindeutigen slip-inversion und der unbekannten Störungsnetzwerken, insbesondere aufgrund der Unsicherheit bezüglich der Nachbebenmechanismen (Empfänger). Neueste Studien deuten darauf hin dass alternative Spannungsgrößen und Deep-Learning-Ansätze gegenüber CFS mit vordefinierten Empfängermechanismen. Um diese Ergebnisse zu hinterfragen, habe ich 289 Slip-inversion uberlegensind aus der SRCMOD-Datenbank verwendet, um realistischere CFS-Werte für einen geschichteten Halbraum und variable Empfängermechanismen zu berechnen. Dabei habe ich auch den Einfluss von Magnitudenschwellenwerten, Gittergrößenvariationen und der Nachbeben-Dauer auf die vorhersagemöglichkeiten der Spannungsmetriken unter Verwendung der ROC-Analyse (Receiver Operating Characteristic) untersucht. Die Ergebnisse zeigen, dass die berudzsidtizung von variablen Empfangermechanism und größere Nachbeben und kürzere Zeiträume die vorhersagekraft steigern, wobei die relative Rangfolge der verschiedenen Spannungsmetriken nicht geändert wird. Um die Coulomb Spannungsberechnungen genauer mit den Ergebnissen von Erdbebenstudien abzugleichen, habe ich die Quelleneigenschaften des Erdbebens von Kaschmir aus dem Jahr 2005 und seiner Nachbeben mit dem ziel, die Seismotektonik des NW-Himalaya Syntaxis zu entschlüsseln, detailliert untersucht. Ich habe gleichzeitig das Hauptbeben und seine größten Nachbeben unter Verwendung von seismischen Phaseneinsetzen relokalisiert und anschließend eine umfassende Analyse der Coulomb Spannungsänderungen auf den Bruchflächen der Nachbeben durchgeführt. Durch die Berechnung der Coulomb Spannungsänderungen an den während der Nachbeben aktivierten Störungen konnte ich herausfinden, dass alle großen Nachbeben in Regionen mit positiven Spannungsänderungen liegen, was auf eine Auslösung durch entweder ko-seismische oder post-seismische Verschiebungen des Hauptbebens hinweist. Schließlich habe ich die Beziehung zwischen den durch Hauptbeben verursachten Spannungsänderungen und den damit verbundenen seismischen Parametern untersucht, insbesondere denen der Häufigkeits-Magnituden (Gutenberg-Richter) Verteilung und des zeitlichen Nachbebenabklingens (Omori-Utsu-Gesetz). Zu diesem Zweck habe ich meinen globalen Datensatz von 127 Hauptbeben-Nachbeben-Sequenzen mit den in der Umgebung der Hauptbeben berechneten Coulomb Spannungen ($\Delta$CFS) zusammen mit den alternativen, empfänger-unabhängigen Spannungsmetriken, verwendet und die Eigenschaften in Abhängigkeit der Spannungswerte analysiert. Überraschenderweise zeigen die Ergebnisse eine klar positive Korrelation zwischen dem $b$-Wert der Gutenberg-Richter-Verteilung und der induzierten Spannung, was im Kontrast zu den Erwartungen aus Laborexperimenten steht. Diese Beobachtung unterstreicht die Bedeutung struktureller Heterogenitäten und Festigkeitsvariationen in seismischen Mustern. Darüber hinaus zeigt die Studie, dass die Anzahl von Nachbeben nichtlinear mit der Spannung zunimmt, während die Omori-Utsu-Parameter $c$ und $p$ systematisch mit zunehmenden Spannungsänderungen abnehmen. Diese teilweise unerwarteten Ergebnisse haben bedeutende Auswirkungen auf zukünftige Abschätzungen der Nachbebengefahr. Die Ergebnisse dieser Arbeit liefern wertvolle Einblicke in die Mechanismen der Erdbebenauslösung, indem sie die Beziehung zwischen Spannungsänderungen und dem Auftreten von Nachbeben untersuchen. Die Ergebnisse tragen zu einem besseren Verständnis des Verhaltens von Erdbeben bei und können bei der Entwicklung genauerer probabilistischer, seismischer Gefahreneinschätzungen und Risikominderungsstrategien helfen. KW - earthquake KW - forecasting KW - hazards KW - seismology KW - Erdbeben KW - Vorhersage KW - Gefahren KW - Seismologie Y1 - 2024 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-636125 ER - TY - RPRT A1 - Borck, Rainald A1 - Mulder, Peter T1 - Energy policies and pollution in two developing country cities BT - A quantitative model T2 - CEPA Discussion Papers N2 - We study the effect of energy and transport policies on pollution in two developing country cities. We use a quantitative equilibrium model with choice of housing, energy use, residential location, transport mode, and energy technology. Pollution comes from commuting and residential energy use. The model parameters are calibrated to replicate key variables for two developing country cities, Maputo, Mozambique, and Yogyakarta, Indonesia. In the counterfactual simulations, we study how various transport and energy policies affect equilibrium pollution. Policies may be induce rebound effects from increasing residential energy use or switching to high emission modes or locations. In general, these rebound effects tend to be largest for subsidies to public transport or modern residential energy technology. T3 - CEPA Discussion Papers - 78 KW - pollution KW - energy policy KW - discrete choice KW - developing country cities Y1 - 2024 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-638472 SN - 2628-653X IS - 78 ER - TY - RPRT A1 - Andres, Maximilian A1 - Bruttel, Lisa T1 - Communicating Cartel Intentions T2 - CEPA Discussion Papers N2 - While the economic harm of cartels is caused by their price-increasing effect, sanctioning by courts rather targets at the underlying process of firms reaching a price-fixing agreement. This paper provides experimental evidence on the question whether such sanctioning meets the economic target, i.e., whether evidence of a collusive meeting of the firms and of the content of their communication reliably predicts subsequent prices. We find that already the mere mutual agreement to meet predicts a strong increase in prices. Conversely, express distancing from communication completely nullifies its otherwise price-increasing effect. Using machine learning, we show that communication only increases prices if it is very explicit about how the cartel plans to behave. T3 - CEPA Discussion Papers - 77 KW - cartel KW - collusion KW - communication KW - machine learning KW - experiment Y1 - 2024 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-638469 SN - 2628-653X IS - 77 ER - TY - THES A1 - Mostafa, Amr T1 - DNA origami nanoforks: A platform for cytochrome c single molecule surface enhanced Raman spectroscopy N2 - This thesis presents a comprehensive exploration of the application of DNA origami nanofork antennas (DONAs) in the field of spectroscopy, with a particular focus on the structural analysis of Cytochrome C (CytC) at the single-molecule level. The research encapsulates the design, optimization, and application of DONAs in enhancing the sensitivity and specificity of Raman spectroscopy, thereby offering new insights into protein structures and interactions. The initial phase of the study involved the meticulous optimization of DNA origami structures. This process was pivotal in developing nanoscale tools that could significantly enhance the capabilities of Raman spectroscopy. The optimized DNA origami nanoforks, in both dimer and aggregate forms, demonstrated an enhanced ability to detect and analyze molecular vibrations, contributing to a more nuanced understanding of protein dynamics. A key aspect of this research was the comparative analysis between the dimer and aggregate forms of DONAs. This comparison revealed that while both configurations effectively identified oxidation and spin states of CytC, the aggregate form offered a broader range of detectable molecular states due to its prolonged signal emission and increased number of molecules. This extended duration of signal emission in the aggregates was attributed to the collective hotspot area, enhancing overall signal stability and sensitivity. Furthermore, the study delved into the analysis of the Amide III band using the DONA system. Observations included a transient shift in the Amide III band's frequency, suggesting dynamic alterations in the secondary structure of CytC. These shifts, indicative of transitions between different protein structures, were crucial in understanding the protein’s functional mechanisms and interactions. The research presented in this thesis not only contributes significantly to the field of spectroscopy but also illustrates the potential of interdisciplinary approaches in biosensing. The use of DNA origami-based systems in spectroscopy has opened new avenues for research, offering a detailed and comprehensive understanding of protein structures and interactions. The insights gained from this research are expected to have lasting implications in scientific fields ranging from drug development to the study of complex biochemical pathways. This thesis thus stands as a testament to the power of integrating nanotechnology, biochemistry, and spectroscopic techniques in addressing complex scientific questions. N2 - Diese Dissertation präsentiert eine umfassende Untersuchung der Anwendung von DNA-Origami-Nanogabelantennen (DONAs) im Bereich der Spektroskopie, mit einem besonderen Fokus auf der strukturellen Analyse von Cytochrom C (CytC) auf Einzelmolekülebene. Die Forschung umfasst das Design, die Optimierung und die Anwendung von DONAs zur Steigerung der Sensitivität und Spezifität der Raman-Spektroskopie und bietet somit neue Einblicke in Proteinstrukturen und -interaktionen. Die erste Phase der Studie beinhaltete die sorgfältige Optimierung von DNA-Origami-Strukturen. Dieser Prozess war entscheidend für die Entwicklung von Nanowerkzeugen, die die Fähigkeiten der Raman-Spektroskopie erheblich verbessern könnten. Die optimierten DNA-Origami-Nanogabeln, sowohl in Dimer- als auch in Aggregatform, zeigten eine verbesserte Fähigkeit, molekulare Schwingungen zu detektieren und zu analysieren, was zu einem nuancierteren Verständnis der Proteindynamik beitrug. Ein Schlüsselaspekt dieser Forschung war die vergleichende Analyse zwischen den Dimer- und Aggregatformen von DONAs. Dieser Vergleich zeigte, dass beide Konfigurationen effektiv Oxidations- und Spin-Zustände von CytC identifizieren konnten, wobei die Aggregatform aufgrund ihrer längeren Signalemission und der erhöhten Anzahl von Molekülen ein breiteres Spektrum an detektierbaren molekularen Zuständen bot. Die verlängerte Dauer der Signalemission in den Aggregaten wurde auf den kollektiven Hotspot-Bereich zurückgeführt, der die Gesamtsignalstabilität und -empfindlichkeit erhöhte. Darüber hinaus ging die Studie auf die Analyse der Amid-III-Bande unter Verwendung des DONA-Systems ein. Zu den Beobachtungen gehörte eine vorübergehende Verschiebung der Frequenz der Amid-III-Bande, was auf dynamische Veränderungen in der Sekundärstruktur von CytC hindeutete. Diese Verschiebungen, die auf Übergänge zwischen verschiedenen Proteinstrukturen hindeuteten, waren entscheidend für das Verständnis der funktionellen Mechanismen und Interaktionen des Proteins. Die in dieser Dissertation präsentierte Forschung leistet nicht nur einen bedeutenden Beitrag zum Gebiet der Spektroskopie, sondern veranschaulicht auch das Potenzial interdisziplinärer Ansätze in der Biosensorik. Der Einsatz von DNA-Origami-basierten Systemen in der Spektroskopie hat neue Wege für die Forschung eröffnet und bietet ein detailliertes und umfassendes Verständnis von Proteinstrukturen und -interaktionen. Die aus dieser Forschung gewonnenen Erkenntnisse werden voraussichtlich langfristige Auswirkungen auf wissenschaftliche Bereiche haben, die von der Arzneimittelentwicklung bis hin zur Untersuchung komplexer biochemischer Prozesse reichen. Diese Dissertation steht somit als Zeugnis für die Kraft der Integration von Nanotechnologie, Biochemie und spektroskopischen Techniken bei der Beantwortung komplexer wissenschaftlicher Fragen. KW - DNA origami KW - DNA origami nanoantennas (DONA) KW - SERS KW - Cytochrome C Y1 - 2024 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-635482 ER - TY - THES A1 - Munk, Sarah Chaya T1 - The Messianic Jewish Movement and its relation to Torah T1 - Die messianisch-jüdische Bewegung und ihre Beziehung zur Thora BT - a theological field study BT - eine theologische Feldstudie N2 - Die vorliegende Arbeit zur Messianisch Jüdischen Bewegung und ihrer Beziehung zur Torah erforscht exemplarisch anhand von 10 Interviews mit ausgewählten Jeshua-gläubigen Juden in Leitungsfunktionen die verschiedenen Aspekte der Beziehung zur Torah. Dabei entsteht durch die Auswahl der Interviewpartner eine für die Bewegung als ganze typische Bandbreite von verschiedenen Positionen, die sich zwar in vielen Punkten überlappen, doch vielfach grundverschieden sind und zum Teil einander widersprechen. Besonderes Augenmerk wird auf die theologisch begründeten, divergenten und sich widersprechenden Positionen gelegt, mit dem Versuch, diese verständlich zu machen. Nach einer kurzen Einführung zur Messianisch Jüdischen Bewegung werden Aspekte der Messianisch-Jüdischen Doppelidentität beleuchtet und ihre Relevanz für die Beziehung zur Torah aufgezeigt. Diesem folgt ein Überblick über die Foren, in denen Jeshua-gläubige Juden über ihre Beziehung zur Torah diskutieren. Die umfangreiche Bibliographie am Ende der Arbeit erlaubt Einblick in einen lebhaften, noch längst nicht abgeschlossenen Diskussionsprozess innerhalb der Bewegung. Eine knapp kommentierte Begriffsdifferenzierung dient als Übersicht über die wichtigsten Bedeutungen von Torah, die in der Messianisch Jüdischen Bewegung Verwendung finden. Nach diesen Vorarbeiten wird die Feldstudie präsentiert. Eine Beschreibung des Forschungsfeldes und methodologische Reflexionen sind den Interviews vorangestellt. In den Interviews werden zunächst die Assoziationen mit dem Begriff Torah erfasst und die begriffliche Füllung und Verwendung geklärt. Hier schon zeigen sich einige gravierende Unterschiede. Die theologischen Positionen und Verständnisse von Torah werden mit dem biographischen Kontext und Hauptwirkungsfeld und mit Nennung der wichtigsten formenden Einflüsse dargestellt. Festgehalten werden zunächst die Punkte, in denen bei allen Übereinstimmung herrscht, denn sie dienen als gemeinsame Basis. Alle studieren die schriftliche Torah und erachten diese wie auch den übrigen Tanach und die Schriften des Neuen Testaments in der vorliegenden Form als göttlich inspiriert und autoritativ verbindlich. Alle haben für sich einen positiven Zugang zur Torah, entsprechend ihrer eigenen Begriffsdefinition, gefunden. Für alle weist die schriftliche Torah und der Tanach auf Jeshua hin. Alle sind sich einig, dass Jeshua die Torah nicht außer Kraft gesetzt, sondern erfüllt hat. Und alle fühlen als Jude in irgendeiner Weise eine Verantwortung gegenüber der Torah. In Bezug auf das Halten von Geboten sagen alle, dass sich keiner dadurch den Weg in den Himmel erwerben kann. G-ttes Treue gegenüber Seinen Verheißungen für Israel wird von allen bekräftigt, doch ob der neue Bund in Jeshua den alten Bund vom Berg Sinai abgelöst hat, oder ob er einfach zum bereits bestehenden Bund von Sinai hinzukommt, ob rituelle Gebote nach Jeshua's Tod und Auferstehung und der Zerstörung des Tempels weiter gehalten werden sollen, ob die Gebote zur Absonderung von den Nationen weiter gehalten werden sollen, ob und unter welchen Bedingungen rabbinischer Halacha gefolgt werden soll und was die Einzelnen in ihren Familien und Gemeinden tun und lehren, dies wird Interview um Interview erörtert. Es zeigt sich, wie verschiedene Leseweisen und Gewichtungen von Schlüsselschriftstellen die verschiedenen Positionen hervorbringen. So wie die Verschiedenartigkeit der Positionen in Beziehung zur Torah bereits ahnen lässt, sind die Interview-Partner zur Frage nach einer Messianisch Jüdischen Halacha geteilter Meinung. Doch auch hier wird der Begriff Halacha von den Repräsentanten verschieden gefüllt. Zum Schluss der Feldstudie werden die Versuche, Messianisch Jüdische Halacha zu produzieren und die Probleme und Kritikpunkte, die von anderen Interviewpartnern dagegen geäußert wurden erläutert. Den Abschluss der Arbeit bilden ein theologischer Rahmen, der all die verschiedenen Positionen und Beziehungen zur Torah fassen kann und einige Ansatzpunkte für eine mögliche Messianisch Jüdische hermeneutische Theologie der Torah. N2 - This study on the Messianic Jewish movement and its relationship to the Torah explores the various aspects of the relationship to the Torah on the basis of 10 interviews with selected Yeshua-believing Jews in leadership positions. The selection of interviewees results in a range of different positions typical of the movement as a whole, which overlap in many respects but are often fundamentally different and sometimes contradictory. Particular attention is paid to the theologically based, divergent and contradictory positions in an attempt to make these understandable. After a brief introduction to the Messianic Jewish movement, aspects of the Messianic Jewish dual identity are examined and their relevance for the relationship to the Torah is demonstrated. This is followed by an overview of the forums in which Yeshua-believing Jews discuss their relationship to the Torah. The extensive bibliography at the end of the work provides an insight into a lively discussion process within the movement that is still far from complete. A briefly annotated differentiation of terms serves as an overview of the most important meanings of Torah used in the Messianic Jewish movement. Following this preliminary work, the field study is presented. A description of the research field and methodological reflections precede the interviews. In the interviews, the associations with the term Torah are first recorded and the conceptual meaning and use clarified. This already reveals some serious differences. The theological positions and understandings of Torah are presented with the biographical context and main field of influence, and the most important formative influences are named. The points on which they all agree are noted first, as they serve as a common basis. All study the written Torah and consider it, as well as the rest of the Tanakh and the writings of the New Testament in their present form, to be divinely inspired and authoritative. All have found a positive approach to the Torah according to their own definition of the term. For all of them, the written Torah and the Tanakh point to Yeshua. All agree that Yeshua did not abrogate the Torah, but fulfilled it. And all feel a responsibility as a Jew to the Torah in some way. With regard to keeping commandments, all say that no one can earn their way to heaven by doing so. G-d's faithfulness to His promises to Israel is affirmed by all, but whether the new covenant in Yeshua superseded the old covenant of Mt. Sinai, or whether it is simply added to the already existing covenant of Sinai, whether ritual commandments are to continue to be kept after Yeshua's death and resurrection and the destruction of the Temple, whether the commandments aiming at separation from the nations should continue to be kept, whether and under what conditions rabbinic halacha should be followed and what individuals do and teach in their families and communities - all this is discussed interview by interview. It becomes clear how different ways of reading and weighting key scriptures produce different positions. Just as the diversity of positions in relation to the Torah already suggests, the interview partners are divided on the question of a Messianic Jewish Halacha. But here too, the term halacha is interpreted differently by the representatives. At the end of the field study, the attempts to produce Messianic Jewish Halacha and the problems and points of criticism expressed by other interviewees are explained. The work concludes with a theological framework able to contain all the different positions and relationships to the Torah and some starting points for a possible Messianic Jewish hermeneutic theology of the Torah. KW - Messianic Jewish Movement KW - Torah KW - theological field study KW - Messianic Judaism KW - Jewish identity KW - New religious movements KW - Messianism KW - Messianic Jews KW - Torah observance KW - Halacha KW - Judaism KW - Jewish denominations KW - Jewish Christians KW - Hebrew Catholics KW - Messianische Juden KW - Halacha KW - hebräische Katholiken KW - Judenchristen KW - jüdische Konfessionen KW - jüdische Identität KW - Judentum KW - messianisch-jüdische Bewegung KW - messianische Juden KW - messianisches Judentum KW - Messianismus KW - neue religiöse Bewegungen KW - Thora KW - Einhaltung der Thora KW - theologische Feldstudie Y1 - 2024 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-636441 ER - TY - THES A1 - Huegle, Johannes T1 - Causal discovery in practice: Non-parametric conditional independence testing and tooling for causal discovery T1 - Kausale Entdeckung in der Praxis: Nichtparametrische bedingte Unabhängigkeitstests und Werkzeuge für die Kausalentdeckung N2 - Knowledge about causal structures is crucial for decision support in various domains. For example, in discrete manufacturing, identifying the root causes of failures and quality deviations that interrupt the highly automated production process requires causal structural knowledge. However, in practice, root cause analysis is usually built upon individual expert knowledge about associative relationships. But, "correlation does not imply causation", and misinterpreting associations often leads to incorrect conclusions. Recent developments in methods for causal discovery from observational data have opened the opportunity for a data-driven examination. Despite its potential for data-driven decision support, omnipresent challenges impede causal discovery in real-world scenarios. In this thesis, we make a threefold contribution to improving causal discovery in practice. (1) The growing interest in causal discovery has led to a broad spectrum of methods with specific assumptions on the data and various implementations. Hence, application in practice requires careful consideration of existing methods, which becomes laborious when dealing with various parameters, assumptions, and implementations in different programming languages. Additionally, evaluation is challenging due to the lack of ground truth in practice and limited benchmark data that reflect real-world data characteristics. To address these issues, we present a platform-independent modular pipeline for causal discovery and a ground truth framework for synthetic data generation that provides comprehensive evaluation opportunities, e.g., to examine the accuracy of causal discovery methods in case of inappropriate assumptions. (2) Applying constraint-based methods for causal discovery requires selecting a conditional independence (CI) test, which is particularly challenging in mixed discrete-continuous data omnipresent in many real-world scenarios. In this context, inappropriate assumptions on the data or the commonly applied discretization of continuous variables reduce the accuracy of CI decisions, leading to incorrect causal structures. Therefore, we contribute a non-parametric CI test leveraging k-nearest neighbors methods and prove its statistical validity and power in mixed discrete-continuous data, as well as the asymptotic consistency when used in constraint-based causal discovery. An extensive evaluation of synthetic and real-world data shows that the proposed CI test outperforms state-of-the-art approaches in the accuracy of CI testing and causal discovery, particularly in settings with low sample sizes. (3) To show the applicability and opportunities of causal discovery in practice, we examine our contributions in real-world discrete manufacturing use cases. For example, we showcase how causal structural knowledge helps to understand unforeseen production downtimes or adds decision support in case of failures and quality deviations in automotive body shop assembly lines. N2 - Kenntnisse über die Strukturen zugrundeliegender kausaler Mechanismen sind eine Voraussetzung für die Entscheidungsunterstützung in verschiedenen Bereichen. In der Fertigungsindustrie beispielsweise erfordert die Fehler-Ursachen-Analyse von Störungen und Qualitätsabweichungen, die den hochautomatisierten Produktionsprozess unterbrechen, kausales Strukturwissen. In Praxis stützt sich die Fehler-Ursachen-Analyse in der Regel jedoch auf individuellem Expertenwissen über assoziative Zusammenhänge. Aber "Korrelation impliziert nicht Kausalität", und die Fehlinterpretation assoziativer Zusammenhänge führt häufig zu falschen Schlussfolgerungen. Neueste Entwicklungen von Methoden des kausalen Strukturlernens haben die Möglichkeit einer datenbasierten Betrachtung eröffnet. Trotz seines Potenzials zur datenbasierten Entscheidungsunterstützung wird das kausale Strukturlernen in der Praxis jedoch durch allgegenwärtige Herausforderungen erschwert. In dieser Dissertation leisten wir einen dreifachen Beitrag zur Verbesserung des kausalen Strukturlernens in der Praxis. (1) Das wachsende Interesse an kausalem Strukturlernen hat zu einer Vielzahl von Methoden mit spezifischen statistischen Annahmen über die Daten und verschiedenen Implementierungen geführt. Daher erfordert die Anwendung in der Praxis eine sorgfältige Prüfung der vorhandenen Methoden, was eine Herausforderung darstellt, wenn verschiedene Parameter, Annahmen und Implementierungen in unterschiedlichen Programmiersprachen betrachtet werden. Hierbei wird die Evaluierung von Methoden des kausalen Strukturlernens zusätzlich durch das Fehlen von "Ground Truth" in der Praxis und begrenzten Benchmark-Daten, welche die Eigenschaften realer Datencharakteristiken widerspiegeln, erschwert. Um diese Probleme zu adressieren, stellen wir eine plattformunabhängige modulare Pipeline für kausales Strukturlernen und ein Tool zur Generierung synthetischer Daten vor, die umfassende Evaluierungsmöglichkeiten bieten, z.B. um Ungenauigkeiten von Methoden des Lernens kausaler Strukturen bei falschen Annahmen an die Daten aufzuzeigen. (2) Die Anwendung von constraint-basierten Methoden des kausalen Strukturlernens erfordert die Wahl eines bedingten Unabhängigkeitstests (CI-Test), was insbesondere bei gemischten diskreten und kontinuierlichen Daten, die in vielen realen Szenarien allgegenwärtig sind, die Anwendung erschwert. Beispielsweise führen falsche Annahmen der CI-Tests oder die Diskretisierung kontinuierlicher Variablen zu einer Verschlechterung der Korrektheit der Testentscheidungen, was in fehlerhaften kausalen Strukturen resultiert. Um diese Probleme zu adressieren, stellen wir einen nicht-parametrischen CI-Test vor, der auf Nächste-Nachbar-Methoden basiert, und beweisen dessen statistische Validität und Trennschärfe bei gemischten diskreten und kontinuierlichen Daten, sowie dessen asymptotische Konsistenz in constraint-basiertem kausalem Strukturlernen. Eine umfangreiche Evaluation auf synthetischen und realen Daten zeigt, dass der vorgeschlagene CI-Test bestehende Verfahren hinsichtlich der Korrektheit der Testentscheidung und gelernter kausaler Strukturen übertrifft, insbesondere bei geringen Stichprobengrößen. (3) Um die Anwendbarkeit und Möglichkeiten kausalen Strukturlernens in der Praxis aufzuzeigen, untersuchen wir unsere Beiträge in realen Anwendungsfällen aus der Fertigungsindustrie. Wir zeigen an mehreren Beispielen aus der automobilen Karosseriefertigungen wie kausales Strukturwissen helfen kann, unvorhergesehene Produktionsausfälle zu verstehen oder eine Entscheidungsunterstützung bei Störungen und Qualitätsabweichungen zu geben. KW - causal discovery KW - causal structure learning KW - causal AI KW - non-parametric conditional independence testing KW - manufacturing KW - causal reasoning KW - mixed data KW - kausale KI KW - kausale Entdeckung KW - kausale Schlussfolgerung KW - kausales Strukturlernen KW - Fertigung KW - gemischte Daten KW - nicht-parametrische bedingte Unabhängigkeitstests Y1 - 2024 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-635820 ER - TY - THES A1 - Dörries, Timo Julian T1 - Anomalous transport and non-Gaussian dynamics in mobile-immobile models N2 - The mobile-immobile model (MIM) has been established in geoscience in the context of contaminant transport in groundwater. Here the tracer particles effectively immobilise, e.g., due to diffusion into dead-end pores or sorption. The main idea of the MIM is to split the total particle density into a mobile and an immobile density. Individual tracers switch between the mobile and immobile state following a two-state telegraph process, i.e., the residence times in each state are distributed exponentially. In geoscience the focus lies on the breakthrough curve (BTC), which is the concentration at a fixed location over time. We apply the MIM to biological experiments with a special focus on anomalous scaling regimes of the mean squared displacement (MSD) and non-Gaussian displacement distributions. As an exemplary system, we have analysed the motion of tau proteins, that diffuse freely inside axons of neurons. Their free diffusion thereby corresponds to the mobile state of the MIM. Tau proteins stochastically bind to microtubules, which effectively immobilises the tau proteins until they unbind and continue diffusing. Long immobilisation durations compared to the mobile durations give rise to distinct non-Gaussian Laplace shaped distributions. It is accompanied by a plateau in the MSD for initially mobile tracer particles at relevant intermediate timescales. An equilibrium fraction of initially mobile tracers gives rise to non-Gaussian displacements at intermediate timescales, while the MSD remains linear at all times. In another setting bio molecules diffuse in a biosensor and transiently bind to specific receptors, where advection becomes relevant in the mobile state. The plateau in the MSD observed for the advection-free setting and long immobilisation durations persists also for the case with advection. We find a new clear regime of anomalous diffusion with non-Gaussian distributions and a cubic scaling of the MSD. This regime emerges for initially mobile and for initially immobile tracers. For an equilibrium fraction of initially mobile tracers we observe an intermittent ballistic scaling of the MSD. The long-time effective diffusion coefficient is enhanced by advection, which we physically explain with the variance of mobile durations. Finally, we generalize the MIM to incorporate arbitrary immobilisation time distributions and focus on a Mittag-Leffler immobilisation time distribution with power-law tail ~ t^(-1-mu) with 07) had significantly lower BDNF concentrations compared to non-depressed patients (p = 0.04), this was not statistically significant after controlling for confounders (p = 0.15). Cognitive-affective symptoms and somatic comorbidity burden each closely missed a statistically significant association with BDNF concentrations (p = 0.08, p = 0.06, respectively). BDNF was reduced in patients with CHF (p = 0.02). There was no covariate-adjusted, significant association between BDNF and ACS. Conclusion: Serum BDNF concentrations are associated with cardiovascular dysfunction. Somatic comorbidities should be considered when investigating the relationship between depression and BDNF. T3 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe - 850 KW - depression KW - BDNF KW - coronary heart disease KW - heart failure KW - somatic comorbidity KW - acute coronary syndrome Y1 - 2020 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-557315 SN - 1866-8364 IS - 1 ER - TY - GEN A1 - Heß, Stefan A1 - Mousikou, Petroula A1 - Schroeder, Sascha T1 - Morphological processing in developmental handwriting production BT - Evidence from kinematics T2 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe N2 - In this study, we investigated effects of morphological processing on handwriting production in beginning writers of German. Children from Grades 3 and 4 were asked to copy words from a computer screen onto a pen tablet, while we recorded their handwriting with high spatiotemporal resolution. Words involved a syllable-congruent visual disruption (e.g., "Golfer"), a morpheme-congruent visual disruption (e.g., "Golfer"), or had no disruption (e.g., "Golfer"). We analyzed productions in terms of Writing Onset Duration and Letter Duration at the onset of the second syllable ("f" in "Gol.fer") and the onset of the suffix ("e" in "Golf_er"). Results showed that durations were longer at word-writing onset only for words with a morpheme-congruent visual disruption. Also, letter durations were longer at the onset of the second syllable (i.e., "-fer") and shorter at the onset of the suffix (i.e., "-er") only for words with a syllable-congruent visual disruption. We interpret these findings within extant theories of handwriting production and offer an explanation for the observed effects before and during trajectory formation. T3 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe - 852 KW - Handwriting production KW - Spelling KW - Syllables KW - Morphemes KW - Kinematics Y1 - 2021 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-587363 SN - 0922-4777 SN - 1573-0905 IS - 4 ER - TY - GEN A1 - Westphal, Andrea A1 - Lazarides, Rebecca A1 - Vock, Miriam T1 - Are some students graded more appropriately than others? BT - student characteristics as moderators of the relationships between teacher-assigned grades and test scores in mathematics T2 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe N2 - Background Building on the Realistic Accuracy Model, this paper explores whether it is easier for teachers to assess the achievement of some students than others. Accordingly, we suggest that certain individual characteristics of students, such as extraversion, academic self-efficacy, and conscientiousness, may guide teachers' evaluations of student achievement, resulting in more appropriate judgements and a stronger alignment of assigned grades with students' actual achievement level (as measured using standardized tests). Aims We examine whether extraversion, academic self-efficacy, and conscientiousness moderate the relations between teacher-assigned grades and students' standardized test scores in mathematics. Sample This study uses a representative sample of N = 5,919 seventh-grade students in Germany (48.8% girls; mean age: M = 12.5, SD = 0.62) who participated in a national, large-scale assessment focusing on students' academic development. Methods We specified structural equation models to examine the inter-relations of teacher-assigned grades with students' standardized test scores in mathematics, Big Five personality traits, and academic self-efficacy, while controlling for students' socioeconomic status, gender, and age. Results The correlation between teacher-assigned grades and standardized test scores in mathematics was r = .40. Teacher-assigned grades more closely related to standardized test scores when students reported higher levels of conscientiousness (beta = .05, p = .002). Students' extraversion and academic self-efficacy did not moderate the relationship between teacher-assigned grades and standardized test scores. Conclusions Our findings indicate that students' conscientiousness is a personality trait that seems to be important when it comes to how closely mathematics teachers align their grades to standardized test scores. T3 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe - 853 KW - teacher‐ assigned grades KW - teacher judgements KW - Realistic Accuracy KW - Model KW - Big Five personality traits Y1 - 2020 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-563330 SN - 1866-8364 IS - 3 ER - TY - GEN A1 - Frank, Ulrike A1 - Radtke, Julia A1 - Nienstedt, Julie Cläre A1 - Pötter-Nerger, Monika A1 - Schönwald, Beate A1 - Buhmann, Carsten A1 - Gerloff, Christian A1 - Niessen, Almut A1 - Flügel, Till A1 - Koseki, Jana-Christiane A1 - Pflug, Christina T1 - Dysphagia screening in Parkinson's Disease BT - a diagnostic accuracy cross-sectional study investigating the applicability of the Gugging Swallowing Screen (GUSS) T2 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe N2 - Background Simple water-swallowing screening tools are not predictive of aspiration and dysphagia in patients with Parkinson's Disease (PD). We investigated the diagnostic accuracy of a multi-texture screening tool, the Gugging Swallowing Screen (GUSS) to identify aspiration and dysphagia/penetration in PD patients compared to flexible endoscopic evaluation of swallowing (FEES). Methods Swallowing function was evaluated in 51 PD participants in clinical 'on-medication' state with the GUSS and a FEES examination according to standardized protocols. Inter-rater reliability and convergent validity were determined and GUSS- and FEES-based diet recommendations were compared. Key Results Inter-rater reliability of GUSS ratings was high (r(s) = 0.8; p < 0.001). Aspiration was identified by the GUSS with a sensitivity of 50%, and specificity of 51.35% (PPV 28%, NPV 73%, LR+ 1.03, LR- 0.97), dysphagia/penetration was identified with 72.97% sensitivity and 35.71% specificity (PPV 75%, NPV 33.33%, LR+ 1.14, LR- 0.76). Agreement between GUSS- and FEES-based diet recommendations was low (r(s) = 0.12, p = 0.42) with consistent NPO (Nil per Os) allocation by GUSS and FEES in only one participant. Conclusions and Inferences The multi-texture screening tool GUSS in its current form, although applicable with good inter-rater reliability, does not detect aspiration in PD patients with acceptable accuracy. Modifications of the GUSS parameters "coughing," "voice change" and "delayed swallowing" might enhance validity. The GUSS' diet recommendations overestimate the need for oral intake restriction in PD patients and should be verified by instrumental swallowing examination. T3 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe - 854 KW - aspiration KW - dysphagia KW - FEES KW - Gugging Swallowing Screen KW - Parkinson' s disease Y1 - 2021 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-569625 SN - 1866-8364 IS - 5 ER - TY - GEN A1 - Chen, Hao A1 - Nebe, Stephan A1 - Mojtahedzadeh, Negin A1 - Kuitunen-Paul, Soren A1 - Garbusow, Maria A1 - Schad, Daniel A1 - Rapp, Michael Armin A1 - Huys, Quentin J. M. A1 - Heinz, Andreas A1 - Smolka, Michael N. T1 - Susceptibility to interference between Pavlovian and instrumental control is associated with early hazardous alcohol use T2 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe N2 - Pavlovian-to-instrumental transfer (PIT) tasks examine the influence of Pavlovian stimuli on ongoing instrumental behaviour. Previous studies reported associations between a strong PIT effect, high-risk drinking and alcohol use disorder. This study investigated whether susceptibility to interference between Pavlovian and instrumental control is linked to risky alcohol use in a community sample of 18-year-old male adults. Participants (N = 191) were instructed to 'collect good shells' and 'leave bad shells' during the presentation of appetitive (monetary reward), aversive (monetary loss) or neutral Pavlovian stimuli. We compared instrumental error rates (ER) and functional magnetic resonance imaging (fMRI) brain responses between the congruent and incongruent conditions, as well as among high-risk and low-risk drinking groups. On average, individuals showed a substantial PIT effect, that is, increased ER when Pavlovian cues and instrumental stimuli were in conflict compared with congruent trials. Neural PIT correlates were found in the ventral striatum and the dorsomedial and lateral prefrontal cortices (lPFC). Importantly, high-risk drinking was associated with a stronger behavioural PIT effect, a decreased lPFC response and an increased neural response in the ventral striatum on the trend level. Moreover, high-risk drinkers showed weaker connectivity from the ventral striatum to the lPFC during incongruent trials. Our study links interference during PIT to drinking behaviour in healthy, young adults. High-risk drinkers showed higher susceptibility to Pavlovian cues, especially when they conflicted with instrumental behaviour, indicating lower interference control abilities. Increased activity in the ventral striatum (bottom-up), decreased lPFC response (top-down), and their altered interplay may contribute to poor interference control in the high-risk drinkers. T3 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe - 855 KW - high‐risk drinking KW - interference control KW - Pavlovian‐to‐instrumental transfer Y1 - 2020 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-569609 SN - 1866-8364 IS - 4 ER - TY - GEN A1 - von der Malsburg, Titus Raban A1 - Poppels, Till A1 - Levy, Roger P. T1 - Implicit gender bias in linguistic descriptions for expected events BT - the cases of the 2016 United States and 2017 United Kingdom elections T2 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe N2 - Gender stereotypes influence subjective beliefs about the world, and this is reflected in our use of language. But do gender biases in language transparently reflect subjective beliefs? Or is the process of translating thought to language itself biased? During the 2016 United States (N = 24,863) and 2017 United Kingdom (N = 2,609) electoral campaigns, we compared participants' beliefs about the gender of the next head of government with their use and interpretation of pronouns referring to the next head of government. In the United States, even when the female candidate was expected to win, she pronouns were rarely produced and induced substantial comprehension disruption. In the United Kingdom, where the incumbent female candidate was heavily favored, she pronouns were preferred in production but yielded no comprehension advantage. These and other findings suggest that the language system itself is a source of implicit biases above and beyond previously known biases, such as those measured by the Implicit Association Test. T3 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe - 856 KW - language KW - psycholinguistics KW - event expectations KW - reference KW - implicit bias KW - open data KW - open materials Y1 - 2020 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-516154 SN - 1866-8364 IS - 2 ER - TY - GEN A1 - Kühne, Franziska A1 - Heinze, Peter Eric A1 - Weck, Florian T1 - What do laypersons believe characterises a competent psychotherapist? T2 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe N2 - Aim Although research and clinical definitions of psychotherapeutic competence have been proposed, less is known about the layperson perspective. The aim was to explore the views of individuals with different levels of psychotherapy experience regarding what-in their views-constitutes a competent therapist. Method In an online survey, 375 persons (64% female, mean age 33.24 years) with no experience, with professional experience, or with personal pre-experience with psychotherapy participated. To provide low-threshold questions, we first presented two qualitative items (i.e. "In your opinion, what makes a good/competent psychotherapist?"; "How do you recognize that a psychotherapist is not competent?") and analysed them using inductive content analysis techniques (Mayring, 2014). Then, we gave participants a 16-item questionnaire including items from previous surveys and from the literature and analysed them descriptively. Results Work-relatedprinciples, professionalism, personalitycharacteristics, caringcommunication, empathy and understandingwere important categories of competence. Concerning the quantitative questions, most participants agreed with items indicating that a therapist should be open, listen well, show empathy and behave responsibly. Conclusion Investigating layperson perspectives suggested that effective and professional interpersonal behaviour of therapists plays a central role in the public's perception of psychotherapy. T3 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe - 857 KW - client preferences KW - expectancies KW - psychotherapeutic competencies KW - psychotherapy process KW - public involvement Y1 - 2020 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-544304 SN - 1866-8364 IS - 3 ER - TY - GEN A1 - Jacobs, Ingo A1 - Wollny, Anna A1 - Seidler, Juliana A1 - Wochatz, Germar T1 - A trait emotional intelligence perspective on schema modes T2 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe N2 - Schema modes (ormodes) are a key concept in the theory underlying schema therapy. Modes have rarely been related to established models of personality traits. The present study thus investigates the associations between trait emotional intelligence (TEI) and 14 modes, and tests a global TEI-mode factors-general psychological distress mediation model. The study draws on self-report data from 173 inpatients from a German clinic for psychosomatic medicine. Global TEI correlated positively with both healthy modes (happy child and healthy adult) and negatively with 10 maladaptive modes. When modes were regressed on the four TEI factors, six (emotionality), five (well-being), four (sociability), and four (self-control) significant partial effects on 10 modes emerged. In the parallel mediation model, the mode factors internalization and compulsivity fully mediated the global TEI-general psychological distress link. Implications of the results for the integration of modes with traits in general and with TEI in particular as well as implications of low TEI as a transdiagnostic feature of personality malfunctioning are discussed. T3 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe - 858 KW - externalization KW - internalization KW - level of personality functioning KW - mentalization KW - psychological distress KW - schema modes KW - trait emotional intelligence Y1 - 2020 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-541857 SN - 1866-8364 IS - 2 ER - TY - GEN A1 - Schuster, Isabell A1 - Tomaszewska, Paulina A1 - Krahé, Barbara T1 - Changing cognitive risk factors for sexual aggression BT - Risky sexual scripts, low sexual self-esteem, perception of pornography, and acceptance of sexual coercion T2 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe N2 - Sexual aggression is a problem among college students worldwide, and a growing body of research has identified variables associated with an increased risk of victimization and perpetration. Among these, sexuality-related cognitions, such as sexual scripts, sexual self-esteem, perceived realism of pornography, and acceptance of sexual coercion, play a major role. The current experimental study aimed to show that these cognitive risk factors of sexual aggression victimization and perpetration are amenable to change, which is a critical condition for evidence-based intervention efforts. College students in Germany (N = 324) were randomly assigned to one of three groups: a treatment group designed to change participants' sexual scripts for consensual sex with regard to the role of alcohol consumption, casual sex, and ambiguous communication of sexual intentions as risk factors for sexual aggression (EG1), a treatment group designed to promote sexual self-esteem, challenge the perceived realism of pornography, and reduce the acceptance of sexual coercion (EG2), and a non-treatment control group (CG). Baseline (T1), post-experimental (T2), and follow-up (T3) measures were taken across an eight-week period. Sexual scripts contained fewer risk factors for sexual aggression in EG1 than in EG2 and CG at T3. Sexual self-esteem was enhanced in EG2 at T2 relative to the other two groups. Acceptance of sexual coercion was lower in EG2 than in EG1 and CG at T2 and T3. No effect was found for perceived realism of pornography. The findings are discussed in terms of targeting cognitive risk factors as a basis for intervention programs. T3 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe - 859 KW - sexual aggression KW - sexual scripts KW - sexual self-esteem KW - sexual coercion KW - college students Y1 - 2020 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-549072 SN - 1866-8364 IS - 3-4 ER - TY - GEN A1 - Gorupec, Natalia A1 - Brehmer, Nataliia A1 - Tiberius, Victor A1 - Kraus, Sascha T1 - Tackling uncertain future scenarios with real options BT - a review and research framework T2 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe N2 - Real options are widely applied in strategic and operational decision-making, allowing for managerial flexibility in uncertaincontexts. Increased scholarly interest has led to an extensive but fragmented research landscape. We aim to measure andsystematize the research field quantitatively. To achieve this goal, we conduct bibliometric performance analyses and bibliographiccoupling analyses with an in-depth content review. The results of the performance analyses show an increasing interest in realoptions since the beginning of the 2000s and identify the most influential journals and authors. The science mappings reveal sixand seven research clusters over the last two decades. Based on an in-depth analysis of their themes, we develop a researchframework comprising antecedents, application areas, internal and external contingencies, and uncertainty resolution throughreal option valuation or reasoning. We identify several gaps in that framework, which we propose to tackle in future research. T3 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe - 861 KW - bibliometric analysis KW - decision processes KW - real options KW - research framework Y1 - 2022 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-608917 SN - 1866-8364 SN - 1867-5808 IS - 1 ER - TY - GEN A1 - Dolcos, Florin A1 - Katsumi, Yuta A1 - Moore, Matthew A1 - Berggren, Nick A1 - de Gelder, Beatrice A1 - Derakshan, Nazanin A1 - Hamm, Alfons O. A1 - Koster, Ernst H. W. A1 - Ladouceur, Cecile D. A1 - Okon-Singer, Hadas A1 - Ventura-Bort, Carlos A1 - Weymar, Mathias T1 - Neural correlates of emotion-attention interactions BT - From perception, learning, and memory to social cognition, individual differences, and training interventions T2 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe N2 - Due to their ability to capture attention, emotional stimuli tend to benefit from enhanced perceptual processing, which can be helpful when such stimuli are task-relevant but hindering when they are task-irrelevant. Altered emotion-attention interactions have been associated with symptoms of affective disturbances, and emerging research focuses on improving emotion-attention interactions to prevent or treat affective disorders. In line with the Human Affectome Project's emphasis on linguistic components, we also analyzed the language used to describe attention-related aspects of emotion, and highlighted terms related to domains such as conscious awareness, motivational effects of attention, social attention, and emotion regulation. These terms were discussed within a broader review of available evidence regarding the neural correlates of (1) Emotion-Attention Interactions in Perception, (2) Emotion-Attention Interactions in Learning and Memory, (3) Individual Differences in Emotion-Attention Interactions, and (4) Training and Interventions to Optimize Emotion-Attention Interactions. This comprehensive approach enabled an integrative overview of the current knowledge regarding the mechanisms of emotion-attention interactions at multiple levels of analysis, and identification of emerging directions for future investigations. T3 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe - 862 KW - emotion KW - attention KW - perception KW - learning and memory KW - individual differences KW - training interventions KW - psychophysiology KW - neuroimaging KW - affective neuroscience KW - health and well-being KW - linguistics Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-516213 SN - 1866-8364 ER - TY - THES A1 - Panzer, Marcel T1 - Design of a hyper-heuristics based control framework for modular production systems T1 - Design eines auf Hyperheuristiken basierenden Steuerungsframeworks für modulare Produktionssysteme N2 - Volatile supply and sales markets, coupled with increasing product individualization and complex production processes, present significant challenges for manufacturing companies. These must navigate and adapt to ever-shifting external and internal factors while ensuring robustness against process variabilities and unforeseen events. This has a pronounced impact on production control, which serves as the operational intersection between production planning and the shop- floor resources, and necessitates the capability to manage intricate process interdependencies effectively. Considering the increasing dynamics and product diversification, alongside the need to maintain constant production performances, the implementation of innovative control strategies becomes crucial. In recent years, the integration of Industry 4.0 technologies and machine learning methods has gained prominence in addressing emerging challenges in production applications. Within this context, this cumulative thesis analyzes deep learning based production systems based on five publications. Particular attention is paid to the applications of deep reinforcement learning, aiming to explore its potential in dynamic control contexts. Analysis reveal that deep reinforcement learning excels in various applications, especially in dynamic production control tasks. Its efficacy can be attributed to its interactive learning and real-time operational model. However, despite its evident utility, there are notable structural, organizational, and algorithmic gaps in the prevailing research. A predominant portion of deep reinforcement learning based approaches is limited to specific job shop scenarios and often overlooks the potential synergies in combined resources. Furthermore, it highlights the rare implementation of multi-agent systems and semi-heterarchical systems in practical settings. A notable gap remains in the integration of deep reinforcement learning into a hyper-heuristic. To bridge these research gaps, this thesis introduces a deep reinforcement learning based hyper- heuristic for the control of modular production systems, developed in accordance with the design science research methodology. Implemented within a semi-heterarchical multi-agent framework, this approach achieves a threefold reduction in control and optimisation complexity while ensuring high scalability, adaptability, and robustness of the system. In comparative benchmarks, this control methodology outperforms rule-based heuristics, reducing throughput times and tardiness, and effectively incorporates customer and order-centric metrics. The control artifact facilitates a rapid scenario generation, motivating for further research efforts and bridging the gap to real-world applications. The overarching goal is to foster a synergy between theoretical insights and practical solutions, thereby enriching scientific discourse and addressing current industrial challenges. N2 - Volatile Beschaffungs- und Absatzmärkte sowie eine zunehmende Produktindividualisierung konfrontieren Fertigungsunternehmen mit beträchtlichen Herausforderungen. Diese erfordern eine Anpassung der Produktion an sich ständig wechselnde externe Einflüsse und eine hohe Prozessrobustheit gegenüber unvorhersehbaren Schwankungen. Ein Schlüsselelement in diesem Kontext ist die Produktionssteuerung, die als operative Schnittstelle zwischen der Produktions- planung und den Fertigungsressourcen fungiert und eine effiziente Handhabung zahlreicher Prozessinterdependenzen sicherstellen muss. Angesichts dieser gesteigerten Produktionsdynamik und Produktvielfalt rücken innovative Steuerungsansätze in den Vordergrund. In jüngerer Zeit wurden daher verstärkt Industrie-4.0-Ansätze und Methoden des maschinellen Lernens betrachtet. Im Kontext der aktuellen Forschung analysiert die vorliegende kumulative Arbeit Deep-Learning basierte Produktionssysteme anhand von fünf Publikationen. Hierbei wird ein besonderes Augenmerk auf die Anwendungen des Deep Reinforcement Learning gelegt, um dessen Potenzial zu ergründen. Die Untersuchungen zeigen, dass das Deep Reinforcement Learning in vielen Produktionsanwendungen sowohl herkömmlichen Ansätzen als auch an- deren Deep-Learning Werkzeugen überlegen ist. Diese Überlegenheit ergibt sich vor allem aus dem interaktiven Lernprinzip und der direkten Interaktion mit der Umwelt, was es für die dynamische Produktionssteuerung besonders geeignet macht. Dennoch werden strukturelle, organisatorische und algorithmische Forschungslücken identifiziert. Die überwiegende Mehrheit der untersuchten Ansätze fokussiert sich auf Werkstattfertigungen und vernachlässigt dabei potenzielle Prozesssynergien modularer Produktionssysteme. Ferner zeigt sich, dass Multi- Agenten- und Mehr-Ebenen-Systeme sowie die Kombination verschiedener algorithmischer Ansätze nur selten zur Anwendung kommen. Um diese Forschungslücken zu adressieren, wird eine auf Deep Reinforcement Learning basierende Hyper-Heuristik für die Steuerung modularer Produktionssysteme vorgestellt, die nach der Design Science Research Methodology entwickelt wird. Ein semi-heterarchisches Multi-Agenten-System ermöglicht eine dreifache Reduktion der Steuerungs- und Optimierungs- komplexität und gewährleistet gleichzeitig eine hohe Systemadaptabilität und -robustheit. In Benchmarks übertrifft das Steuerungskonzept regelbasierte Ansätze, minimiert Durchlaufzeiten und Verspätungen und berücksichtigt kunden- sowie auftragsorientierte Kennzahlen. Die ent- wickelte Steuerungsmethodik ermöglicht einen schnellen Szenarienentwurf, um dadurch weitere Forschungsbemühungen zu stimulieren und die bestehende Transferlücke zur Realität weiter zu überbrücken. Das Ziel dieser Forschungsarbeit ist es, eine Synergie zwischen theoretischen Erkenntnissen und Praxis-relevanten Lösungen zu schaffen, um sowohl den wissenschaftlichen Diskurs zu bereichern als auch Antworten auf aktuelle industrielle Herausforderungen zu bieten. KW - modular production KW - deep learning KW - modulare Produktion KW - Produktionssteuerung KW - Deep Learning KW - Reinforcement Learning KW - Simulation KW - production control KW - reinforcement learning KW - simulation Y1 - 2024 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-633006 ER - TY - GEN A1 - Matheis, Svenja A1 - Keller, Lena A1 - Kronborg, Leonie A1 - Schmitt, Manfred A1 - Preckel, Franzis T1 - Do stereotypes strike twice? BT - Giftedness and gender stereotypes in pre-service teachers’ beliefs about student characteristics in Australia T2 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe N2 - Stereotypes influence teachers' perception of and behaviour towards students, thus shaping students' learning opportunities. The present study investigated how 315 Australian pre-service teachers' stereotypes about giftedness and gender are related to their perception of students' intellectual ability, adjustment, and social-emotional ability, using an experimental vignette approach and controlling for social desirability in pre-service teachers' responses. Repeated-measures ANOVA showed that pre-service teachers associated giftedness with higher intellectual ability, but with less adjustment compared to average-ability students. Furthermore, pre-service teachers perceived male students as less socially and emotionally competent and less adjusted than female students. Additionally, pre-service teachers seemed to perceive female average-ability students' adjustment as most favourable compared to male average-ability students and gifted students. Findings point to discrepancies between actual characteristics of gifted female and male students and stereotypes in teachers' beliefs. Consequences of stereotyping and implications for teacher education are discussed. T3 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe - 863 KW - teacher beliefs KW - stereotypes KW - giftedness KW - gender KW - teacher education KW - Australian culture Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-513701 SN - 1866-8364 IS - 2 ER - TY - GEN A1 - Köster, Moritz A1 - Kayhan, Ezgi A1 - Langeloh, Miriam A1 - Hoehl, Stefanie T1 - Making sense of the world BT - Infant learning from a predictive processing perspective T2 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe N2 - For human infants, the first years after birth are a period of intense exploration-getting to understand their own competencies in interaction with a complex physical and social environment. In contemporary neuroscience, the predictive-processing framework has been proposed as a general working principle of the human brain, the optimization of predictions about the consequences of one's own actions, and sensory inputs from the environment. However, the predictive-processing framework has rarely been applied to infancy research. We argue that a predictive-processing framework may provide a unifying perspective on several phenomena of infant development and learning that may seem unrelated at first sight. These phenomena include statistical learning principles, infants' motor and proprioceptive learning, and infants' basic understanding of their physical and social environment. We discuss how a predictive-processing perspective can advance the understanding of infants' early learning processes in theory, research, and application. T3 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe - 864 KW - cognition KW - infant development KW - neuroscience KW - perception KW - social cognition Y1 - 2020 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-513717 SN - 1866-8364 IS - 3 ER - TY - GEN A1 - Paoli, Antonio A1 - Moro, Tatiana A1 - Lorenzetti, Silvio A1 - Seiler, Jan A1 - Lüthy, Fabian A1 - Gross, Micah A1 - Roggio, Federico A1 - Chaabene, Helmi A1 - Musumeci, Giuseppe T1 - The “Journal of Functional Morphology and Kinesiology” Journal Club Series BT - Resistance Training T2 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe N2 - We are glad to introduce the Second Journal Club of Volume Five, Second Issue. This edition is focused on relevant studies published in the last few years in the field of resistance training, chosen by our Editorial Board members and their colleagues. We hope to stimulate your curiosity in this field and to share with you the passion for the sport, seen also from the scientific point of view. The Editorial Board members wish you an inspiring lecture. T3 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe - 866 Y1 - 2020 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-516306 SN - 1866-8364 IS - 2 ER - TY - GEN A1 - Baritello, Omar A1 - Khajooei, Mina A1 - Engel, Tilman A1 - Kopinski, Stephan A1 - Quarmby, Andrew A1 - Müller, Steffen A1 - Mayer, Frank T1 - Neuromuscular shoulder activity during exercises with different combinations of stable and unstable weight mass T2 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe N2 - Background Recent shoulder injury prevention programs have utilized resistance exercises combined with different forms of instability, with the goal of eliciting functional adaptations and thereby reducing the risk of injury. However, it is still unknown how an unstable weight mass (UWM) affects the muscular activity of the shoulder stabilizers. Aim of the study was to assess neuromuscular activity of dynamic shoulder stabilizers under four conditions of stable and UWM during three shoulder exercises. It was hypothesized that a combined condition of weight with UWM would elicit greater activation due to the increased stabilization demand. Methods Sixteen participants (7 m/9 f) were included in this cross-sectional study and prepared with an EMG-setup for the: Mm. upper/lower trapezius (U.TA/L.TA), lateral deltoid (DE), latissimus dorsi (LD), serratus anterior (SA) and pectoralis major (PE). A maximal voluntary isometric contraction test (MVIC; 5 s.) was performed on an isokinetic dynamometer. Next, internal/external rotation (In/Ex), abduction/adduction (Ab/Ad) and diagonal flexion/extension (F/E) exercises (5 reps.) were performed with four custom-made-pipes representing different exercise conditions. First, the empty-pipe (P; 0.5 kg) and then, randomly ordered, water-filled-pipe (PW; 1 kg), weight-pipe (PG; 4.5 kg) and weight + water-filled-pipe (PWG; 4.5 kg), while EMG was recorded. Raw root-mean-square values (RMS) were normalized to MVIC (%MVIC). Differences between conditions for RMS%MVIC, scapular stabilizer (SR: U.TA/L.TA; U.TA/SA) and contraction (CR: concentric/eccentric) ratios were analyzed (paired t-test; p <= 0.05; Bonferroni adjusted alpha = 0.008). Results PWG showed significantly greater muscle activity for all exercises and all muscles except for PE compared to P and PW. Condition PG elicited muscular activity comparable to PWG (p > 0.008) with significantly lower activation of L.TA and SA in the In/Ex rotation. The SR ratio was significantly higher in PWG compared to P and PW. No significant differences were found for the CR ratio in all exercises and for all muscles. Conclusion Higher weight generated greater muscle activation whereas an UWM raised the neuromuscular activity, increasing the stabilization demands. Especially in the In/Ex rotation, an UWM increased the RMS%MVIC and SR ratio. This might improve training effects in shoulder prevention and rehabilitation programs. T3 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe - 867 KW - EMG KW - instability KW - overhead athlete KW - unstable resistance training KW - water pipe KW - rotator cuff Y1 - 2020 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-509366 SN - 1866-8364 IS - 1 ER - TY - GEN A1 - Höhle, Barbara A1 - Fritzsche, Tom A1 - Meß, Katharina A1 - Philipp, Mareike A1 - Gafos, Adamantios I. T1 - Only the right noise? BT - Effects of phonetic and visual input variability on 14-month-olds' minimal pair word learning T2 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe N2 - Seminal work by Werker and colleagues (Stager & Werker [1997]Nature, 388, 381-382) has found that 14-month-old infants do not show evidence for learning minimal pairs in the habituation-switch paradigm. However, when multiple speakers produce the minimal pair in acoustically variable ways, infants' performance improves in comparison to a single speaker condition (Rost & McMurray [2009]Developmental Science, 12, 339-349). The current study further extends these results and assesses how different kinds of input variability affect 14-month-olds' minimal pair learning in the habituation-switch paradigm testing German learning infants. The first two experiments investigated word learning when the labels were spoken by a single speaker versus when the labels were spoken by multiple speakers. In the third experiment we studied whether non-acoustic variability, implemented by visual variability of the objects presented together with the labels, would also affect minimal pair learning. We found enhanced learning in the multiple speakers compared to the single speaker condition, confirming previous findings with English-learning infants. In contrast, visual variability of the presented objects did not support learning. These findings both confirm and better delimit the beneficial role of speech-specific variability in minimal pair learning. Finally, we review different proposals on the mechanisms via which variability confers benefits to learning and outline what may be likely principles that underlie this benefit. We highlight among these the multiplicity of acoustic cues signalling phonemic contrasts and the presence of relations among these cues. It is in these relations where we trace part of the source for the apparent paradoxical benefit of variability in learning. T3 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe - 868 KW - acoustic variability KW - habituation-switch paradigm KW - infant word learning KW - minimal pairs KW - phonological development KW - visual variability Y1 - 2020 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-516674 SN - 1866-8364 IS - 5 ER - TY - GEN A1 - Ciaccio, Laura Anna A1 - Clahsen, Harald T1 - Variability and consistency in first and second language processing BT - A masked morphological priming study on prefixation and suffixation T2 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe N2 - Word forms such as walked or walker are decomposed into their morphological constituents (walk + -ed/-er) during language comprehension. Yet, the efficiency of morphological decomposition seems to vary for different languages and morphological types, as well as for first and second language speakers. The current study reports results from a visual masked priming experiment focusing on different types of derived word forms (specifically prefixed vs. suffixed) in first and second language speakers of German. We compared the present findings with results from previous studies on inflection and compounding and proposed an account of morphological decomposition that captures both the variability and the consistency of morphological decomposition for different morphological types and for first and second language speakers. Open Practices This article has been awarded an Open Materials badge. Study materials are publicly accessible via the Open Science Framework at . Learn more about the Open Practices badges from the Center for Open Science. T3 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe - 869 KW - prefixed words KW - derivation KW - second language processing KW - masked priming KW - morphology Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-517727 SN - 1866-8364 IS - 1 ER - TY - GEN A1 - Ruberg, Tobias A1 - Rothweiler, Monika A1 - Veríssimo, João Marques A1 - Clahsen, Harald T1 - Childhood bilingualism and Specific Language Impairment BT - A study of the CP-domain in German SLI T2 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe N2 - This study addresses the question of whether and how growing up with more than one language shapes a child's language impairment. Our focus is on Specific Language Impairment (SLI) in bilingual (Turkish-German) children. We specifically investigated a range of phenomena related to the so-called CP (Complementizer Phrase) in German, the hierarchically highest layer of syntactic clause structure, which has been argued to be particularly affected in children with SLI. Spontaneous speech data were examined from bilingual children with SLI in comparison to two comparison groups: (i) typically-developing bilingual children, (ii) monolingual children with SLI. We found that despite persistent difficulty with subject-verb agreement, the two groups of children with SLI did not show any impairment of the CP-domain. We conclude that while subject-verb agreement is a suitable linguistic marker of SLI in German-speaking children, for both monolingual and bilingual ones, 'vulnerability of the CP-domain' is not. T3 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe - 870 KW - developmental language impairment KW - specific language impairment KW - child second language acquisition KW - syntax KW - agreement Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-518095 SN - 1866-8364 IS - 3 ER - TY - GEN A1 - Backhaus, Daniel A1 - Engbert, Ralf A1 - Rothkegel, Lars Oliver Martin A1 - Trukenbrod, Hans Arne T1 - Task-dependence in scene perception: Head unrestrained viewing using mobile eye-tracking T2 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe N2 - Real-world scene perception is typically studied in the laboratory using static picture viewing with restrained head position. Consequently, the transfer of results obtained in this paradigm to real-word scenarios has been questioned. The advancement of mobile eye-trackers and the progress in image processing, however, permit a more natural experimental setup that, at the same time, maintains the high experimental control from the standard laboratory setting. We investigated eye movements while participants were standing in front of a projector screen and explored images under four specific task instructions. Eye movements were recorded with a mobile eye-tracking device and raw gaze data were transformed from head-centered into image-centered coordinates. We observed differences between tasks in temporal and spatial eye-movement parameters and found that the bias to fixate images near the center differed between tasks. Our results demonstrate that current mobile eye-tracking technology and a highly controlled design support the study of fine-scaled task dependencies in an experimental setting that permits more natural viewing behavior than the static picture viewing paradigm. T3 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe - 871 KW - scene viewing KW - real-world scenarios KW - mobile eye-tracking KW - task influence KW - central fixation bias Y1 - 2020 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-519124 SN - 1866-8364 IS - 5 ER - TY - GEN A1 - Knigge, Michel T1 - Use of evidence to promote inclusive education development commentary on Mel Ainscow. Promoting inclusion and equity in education BT - Lessons from international experiences T2 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe N2 - In his essay, Mel Ainscow looks at inclusion and equity from an international perspective and makes suggestions on how to develop inclusive education in a ‘whole-system approach’. After discussing different conceptions of inclusion and equity, he describes international policies which address them. From this international macro-level, Ainscow zooms in to the meso-level of the school and its immediate environment, defining dimensions to be considered for an inclusive school development. One of these dimensions is the ‘use of evidence’. In my comment, I want to focus on this dimension and discuss its scope and the potential to apply it in inclusive education development. As a first and important precondition, Ainscow explains that different circumstances lead to different linguistic uses of the term ‘inclusive education’. Thus, the term ‘inclusive education’ does not refer to an identical set of objectives across countries, and neither does the term ‘equity’. T3 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe - 872 KW - evidence KW - inclusion KW - education KW - evaluation KW - practice Y1 - 2020 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-519142 SN - 1866-8364 IS - 1 ER - TY - GEN A1 - Raafat, Dina A1 - Mrochen, Daniel M. A1 - Al’Sholui, Fawaz A1 - Heuser, Elisa A1 - Ryll, René A1 - Pritchett-Corning, Kathleen R. A1 - Jacob, Jens A1 - Walther, Bernd A1 - Matuschka, Franz-Rainer A1 - Richter, Dania T1 - Molecular epidemiology of methicillin-susceptible and methicillin-resistant Staphylococcus aureus in wild, captive and laboratory rats BT - Effect of habitat on the nasal S. aureus population T2 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe N2 - Rats are a reservoir of human- and livestock-associated methicillin-resistant Staphylococcus aureus (MRSA). However, the composition of the natural S. aureus population in wild and laboratory rats is largely unknown. Here, 144 nasal S. aureus isolates from free-living wild rats, captive wild rats and laboratory rats were genotyped and profiled for antibiotic resistances and human-specific virulence genes. The nasal S. aureus carriage rate was higher among wild rats (23.4%) than laboratory rats (12.3%). Free-living wild rats were primarily colonized with isolates of clonal complex (CC) 49 and CC130 and maintained these strains even in husbandry. Moreover, upon livestock contact, CC398 isolates were acquired. In contrast, laboratory rats were colonized with many different S. aureus lineages—many of which are commonly found in humans. Five captive wild rats were colonized with CC398-MRSA. Moreover, a single CC30-MRSA and two CC130-MRSA were detected in free-living or captive wild rats. Rat-derived S. aureus isolates rarely harbored the phage-carried immune evasion gene cluster or superantigen genes, suggesting long-term adaptation to their host. Taken together, our study revealed a natural S. aureus population in wild rats, as well as a colonization pressure on wild and laboratory rats by exposure to livestock- and human-associated S. aureus, respectively. T3 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe - 873 KW - Staphylococcus aureus KW - rat KW - clonal complex KW - host adaptation KW - livestock KW - laboratory KW - coagulation KW - immune evasion cluster KW - habitat KW - epidemiology Y1 - 2020 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-512379 SN - 1866-8364 IS - 2 ER - TY - GEN A1 - Benson, Lawrence A1 - Makait, Hendrik A1 - Rabl, Tilmann T1 - Viper BT - An Efficient Hybrid PMem-DRAM Key-Value Store T2 - Zweitveröffentlichungen der Universität Potsdam : Reihe der Digital Engineering Fakultät N2 - Key-value stores (KVSs) have found wide application in modern software systems. For persistence, their data resides in slow secondary storage, which requires KVSs to employ various techniques to increase their read and write performance from and to the underlying medium. Emerging persistent memory (PMem) technologies offer data persistence at close-to-DRAM speed, making them a promising alternative to classical disk-based storage. However, simply drop-in replacing existing storage with PMem does not yield good results, as block-based access behaves differently in PMem than on disk and ignores PMem's byte addressability, layout, and unique performance characteristics. In this paper, we propose three PMem-specific access patterns and implement them in a hybrid PMem-DRAM KVS called Viper. We employ a DRAM-based hash index and a PMem-aware storage layout to utilize the random-write speed of DRAM and efficient sequential-write performance PMem. Our evaluation shows that Viper significantly outperforms existing KVSs for core KVS operations while providing full data persistence. Moreover, Viper outperforms existing PMem-only, hybrid, and disk-based KVSs by 4-18x for write workloads, while matching or surpassing their get performance. T3 - Zweitveröffentlichungen der Universität Potsdam : Reihe der Digital Engineering Fakultät - 20 KW - memory Y1 - 2021 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-559664 SN - 2150-8097 IS - 9 ER - TY - GEN A1 - Dellepiane, Sergio A1 - Vaid, Akhil A1 - Jaladanki, Suraj K. A1 - Coca, Steven A1 - Fayad, Zahi A. A1 - Charney, Alexander W. A1 - Böttinger, Erwin A1 - He, John Cijiang A1 - Glicksberg, Benjamin S. A1 - Chan, Lili A1 - Nadkarni, Girish T1 - Acute kidney injury in patients hospitalized with COVID-19 in New York City BT - Temporal Trends From March 2020 to April 2021 T2 - Zweitveröffentlichungen der Universität Potsdam : Reihe der Digital Engineering Fakultät T3 - Zweitveröffentlichungen der Universität Potsdam : Reihe der Digital Engineering Fakultät - 21 Y1 - 2021 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-585415 SN - 2590-0595 IS - 5 ER - TY - GEN A1 - Kruse, Sebastian A1 - Kaoudi, Zoi A1 - Contreras-Rojas, Bertty A1 - Chawla, Sanjay A1 - Naumann, Felix A1 - Quiané-Ruiz, Jorge-Arnulfo T1 - RHEEMix in the data jungle BT - a cost-based optimizer for cross-platform systems T2 - Zweitveröffentlichungen der Universität Potsdam : Reihe der Digital Engineering Fakultät N2 - Data analytics are moving beyond the limits of a single platform. In this paper, we present the cost-based optimizer of Rheem, an open-source cross-platform system that copes with these new requirements. The optimizer allocates the subtasks of data analytic tasks to the most suitable platforms. Our main contributions are: (i) a mechanism based on graph transformations to explore alternative execution strategies; (ii) a novel graph-based approach to determine efficient data movement plans among subtasks and platforms; and (iii) an efficient plan enumeration algorithm, based on a novel enumeration algebra. We extensively evaluate our optimizer under diverse real tasks. We show that our optimizer can perform tasks more than one order of magnitude faster when using multiple platforms than when using a single platform. T3 - Zweitveröffentlichungen der Universität Potsdam : Reihe der Digital Engineering Fakultät - 22 KW - cross-platform KW - polystore KW - query optimization KW - data processing Y1 - 2020 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-519443 IS - 6 ER - TY - GEN A1 - Scheffler, Christiane A1 - Bogin, Barry A1 - Hermanussen, Michael T1 - Catch-up growth is a better indicator of undernutrition than thresholds for stunting T2 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe N2 - Objective: Stunting (height-for-age < −2 SD) is one of the forms of undernutrition and is frequent among children of low- and middle-income countries. But stunting perSe is not a synonym of undernutrition. We investigated association between body height and indicators of energetic undernutrition at three critical thresholds for thinness used in public health: (1) BMI SDS < −2; (2) mid-upper arm circumference divided by height (MUAC (mm) × 10/height (cm) < 1·36) and (3) mean skinfold thickness (SF) < 7 mm and to question the reliability of thresholds as indicators of undernutrition. Design: Cross-sectional study; breakpoint analysis. Setting: Rural and urban regions of Indonesia and Guatemala – different socio-economic status (SES). Participants: 1716 Indonesian children (6·0–13·2 years) and 3838 Guatemalan children (4·0–18·9 years) with up to 50 % stunted children. Results: When separating the regression of BMI, MUAC or SF, on height into distinguishable segments (breakpoint analysis), we failed to detect relevant associations between height, and BMI, MUAC or SF, even in the thinnest and shortest children. For BMI and SF, the breakpoint analysis either failed to reach statistical significance or distinguished at breakpoints above critical thresholds. For MUAC, the breakpoint analysis yielded negative associations between MUAC/h and height in thin individuals. Only in high SES Guatemalan children, SF and height appeared mildly associated with R2 = 0·017. Conclusions: Currently used lower thresholds of height-for-age (stunting) do not show relevant associations with anthropometric indicators of energetic undernutrition. We recommend using the catch-up growth spurt during early re-feeding instead as immediate and sensitive indicator of past undernourishment. We discuss the primacy of education and social-economic-political-emotional circumstances as responsible factors for stunting. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 1350 KW - no threshold for stunting KW - catch-up growth KW - social-economic-political-emotional KW - (SEPE) factors Y1 - 2020 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-550495 SN - 1866-8372 IS - 1 ER - TY - GEN A1 - Korup, Oliver T1 - Bayesian geomorphology T2 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe N2 - The rapidly growing amount and diversity of data are confronting us more than ever with the need to make informed predictions under uncertainty. The adverse impacts of climate change and natural hazards also motivate our search for reliable predictions. The range of statistical techniques that geomorphologists use to tackle this challenge has been growing, but rarely involves Bayesian methods. Instead, many geomorphic models rely on estimated averages that largely miss out on the variability of form and process. Yet seemingly fixed estimates of channel heads, sediment rating curves or glacier equilibrium lines, for example, are all prone to uncertainties. Neighbouring scientific disciplines such as physics, hydrology or ecology have readily embraced Bayesian methods to fully capture and better explain such uncertainties, as the necessary computational tools have advanced greatly. The aim of this article is to introduce the Bayesian toolkit to scientists concerned with Earth surface processes and landforms, and to show how geomorphic models might benefit from probabilistic concepts. I briefly review the use of Bayesian reasoning in geomorphology, and outline the corresponding variants of regression and classification in several worked examples. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 1348 KW - Bayes’ rule KW - probability KW - uncertainty KW - prediction Y1 - 2020 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-539892 SN - 1866-8372 IS - 1 ER - TY - GEN A1 - Chorus, Ingrid A1 - Spijkerman, Elly T1 - What Colin Reynolds could tell us about nutrient limitation, N:P ratios and eutrophication control T2 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe N2 - Colin Reynolds exquisitely consolidated our understanding of driving forces shaping phytoplankton communities and those setting the upper limit to biomass yield, with limitation typically shifting from light in winter to phosphorus in spring. Nonetheless, co-limitation is frequently postulated from enhanced growth responses to enrichments with both N and P or from N:P ranging around the Redfield ratio, concluding a need to reduce both N and P in order to mitigate eutrophication. Here, we review the current understanding of limitation through N and P and of co-limitation. We conclude that Reynolds is still correct: (i) Liebig's law of the minimum holds and reducing P is sufficient, provided concentrations achieved are low enough; (ii) analyses of nutrient limitation need to exclude evidently non-limiting situations, i.e. where soluble P exceeds 3-10 mu g/l, dissolved N exceeds 100-130 mu g/l and total P and N support high biomass levels with self-shading causing light limitation; (iii) additionally decreasing N to limiting concentrations may be useful in specific situations (e.g. shallow waterbodies with high internal P and pronounced denitrification); (iv) management decisions require local, situation-specific assessments. The value of research on stoichiometry and co-limitation lies in promoting our understanding of phytoplankton ecophysiology and community ecology. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 1344 KW - phytoplankton KW - nitrogen limitation KW - redfield ratio KW - co-limitation KW - enrichment experiments Y1 - 2020 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-541979 SN - 1866-8372 IS - 1 ER - TY - GEN A1 - Hechenbichler, Michelle A1 - Laschewsky, Andre A1 - Gradzielski, Michael T1 - Poly(N,N-bis(2-methoxyethyl)acrylamide), a thermoresponsive non-ionic polymer combining the amide and the ethyleneglycolether motifs T2 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe N2 - Poly(N,N-bis(2-methoxyethyl)acrylamide) (PbMOEAm) featuring two classical chemical motifs from non-ionic water-soluble polymers, namely, the amide and ethyleneglycolether moieties, was synthesized by reversible addition fragmentation transfer (RAFT) polymerization. This tertiary polyacrylamide is thermoresponsive exhibiting a lower critical solution temperature (LCST)-type phase transition. A series of homo- and block copolymers with varying molar masses but low dispersities and different end groups were prepared. Their thermoresponsive behavior in aqueous solution was analyzed via turbidimetry and dynamic light scattering (DLS). The cloud points (CP) increased with increasing molar masses, converging to 46 degrees C for 1 wt% solutions. This rise is attributed to the polymers' hydrophobic end groups incorporated via the RAFT agents. When a surfactant-like strongly hydrophobic end group was attached using a functional RAFT agent, CP was lowered to 42 degrees C, i.e., closer to human body temperature. Also, the effect of added salts, in particular, the role of the Hofmeister series, on the phase transition of PbMOEAm was investigated, exemplified for the kosmotropic fluoride, intermediate chloride, and chaotropic thiocyanate anions. A pronounced shift of the cloud point of about 10 degrees C to lower or higher temperatures was observed for 0.2 M fluoride and thiocyanate, respectively. When PbMOEAm was attached to a long hydrophilic block of poly(N,N-dimethylacrylamide) (PDMAm), the cloud points of these block copolymers were strongly shifted towards higher temperatures. While no phase transition was observed for PDMAm-b-pbMOEAm with short thermoresponsive blocks, block copolymers with about equally sized PbMOEAm and PDMAm blocks underwent the coil-to-globule transition around 60 degrees C. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 1345 KW - polyacrylamide KW - water-soluble polymers KW - responsive systems KW - lower KW - critical solution temperature KW - polymer amphiphile Y1 - 2020 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-598378 SN - 0303-402X SN - 1435-1536 SN - 1866-8372 VL - 299 IS - 2 PB - Springer CY - Berlin; Heidelberg ER - TY - GEN A1 - Kumar, Rohini A1 - Hesse, Fabienne A1 - Rao, P. Srinivasa A1 - Musolff, Andreas A1 - Jawitz, James A1 - Sarrazin, Francois A1 - Samaniego, Luis A1 - Fleckenstein, Jan H. A1 - Rakovec, Oldrich A1 - Thober, S. A1 - Attinger, Sabine T1 - Strong hydroclimatic controls on vulnerability to subsurface nitrate contamination across Europe T2 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe N2 - Subsurface contamination due to excessive nutrient surpluses is a persistent and widespread problem in agricultural areas across Europe. The vulnerability of a particular location to pollution from reactive solutes, such as nitrate, is determined by the interplay between hydrologic transport and biogeochemical transformations. Current studies on the controls of subsurface vulnerability do not consider the transient behaviour of transport dynamics in the root zone. Here, using state-of-the-art hydrologic simulations driven by observed hydroclimatic forcing, we demonstrate the strong spatiotemporal heterogeneity of hydrologic transport dynamics and reveal that these dynamics are primarily controlled by the hydroclimatic gradient of the aridity index across Europe. Contrasting the space-time dynamics of transport times with reactive timescales of denitrification in soil indicate that similar to 75% of the cultivated areas across Europe are potentially vulnerable to nitrate leaching for at least onethird of the year. We find that neglecting the transient nature of transport and reaction timescale results in a great underestimation of the extent of vulnerable regions by almost 50%. Therefore, future vulnerability and risk assessment studies must account for the transient behaviour of transport and biogeochemical transformation processes. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 1352 KW - travel time distributions KW - groundwater vulnerability KW - flux tracking KW - transit-time KW - water age KW - nitrogen KW - model KW - dynamics KW - pollution KW - patterns Y1 - 2020 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-549875 SN - 1866-8372 IS - 1 ER - TY - GEN A1 - Horn, Juliane A1 - Becher, Matthias A. A1 - Johst, Karin A1 - Kennedy, Peter J. A1 - Osborne, Juliet L. A1 - Radchuk, Viktoriia A1 - Grimm, Volker T1 - Honey bee colony performance affected by crop diversity and farmland structure BT - a modeling framework T2 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe N2 - Forage availability has been suggested as one driver of the observed decline in honey bees. However, little is known about the effects of its spatiotemporal variation on colony success. We present a modeling framework for assessing honey bee colony viability in cropping systems. Based on two real farmland structures, we developed a landscape generator to design cropping systems varying in crop species identity, diversity, and relative abundance. The landscape scenarios generated were evaluated using the existing honey bee colony model BEEHAVE, which links foraging to in-hive dynamics. We thereby explored how different cropping systems determine spatiotemporal forage availability and, in turn, honey bee colony viability (e.g., time to extinction, TTE) and resilience (indicated by, e.g., brood mortality). To assess overall colony viability, we developed metrics,P(H)andP(P,)which quantified how much nectar and pollen provided by a cropping system per year was converted into a colony's adult worker population. Both crop species identity and diversity determined the temporal continuity in nectar and pollen supply and thus colony viability. Overall farmland structure and relative crop abundance were less important, but details mattered. For monocultures and for four-crop species systems composed of cereals, oilseed rape, maize, and sunflower,P(H)andP(P)were below the viability threshold. Such cropping systems showed frequent, badly timed, and prolonged forage gaps leading to detrimental cascading effects on life stages and in-hive work force, which critically reduced colony resilience. Four-crop systems composed of rye-grass-dandelion pasture, trefoil-grass pasture, sunflower, and phacelia ensured continuous nectar and pollen supply resulting in TTE > 5 yr, andP(H)(269.5 kg) andP(P)(108 kg) being above viability thresholds for 5 yr. Overall, trefoil-grass pasture, oilseed rape, buckwheat, and phacelia improved the temporal continuity in forage supply and colony's viability. Our results are hypothetical as they are obtained from simplified landscape settings, but they nevertheless match empirical observations, in particular the viability threshold. Our framework can be used to assess the effects of cropping systems on honey bee viability and to develop land-use strategies that help maintain pollination services by avoiding prolonged and badly timed forage gaps. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 1351 KW - apis mellifera KW - BEEHAVE KW - colony viability KW - crop diversity KW - cropping system KW - decline KW - forage availability KW - forage gaps KW - honey bees KW - landscape generator KW - modeling Y1 - 2020 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-556943 SN - 1866-8372 IS - 1 ER - TY - GEN A1 - Kolbe, Benedikt Maximilian A1 - Evans, Myfanwy E. T1 - Isotopic tiling theory for hyperbolic surfaces T2 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe N2 - In this paper, we develop the mathematical tools needed to explore isotopy classes of tilings on hyperbolic surfaces of finite genus, possibly nonorientable, with boundary, and punctured. More specifically, we generalize results on Delaney-Dress combinatorial tiling theory using an extension of mapping class groups to orbifolds, in turn using this to study tilings of covering spaces of orbifolds. Moreover, we study finite subgroups of these mapping class groups. Our results can be used to extend the Delaney-Dress combinatorial encoding of a tiling to yield a finite symbol encoding the complexity of an isotopy class of tilings. The results of this paper provide the basis for a complete and unambiguous enumeration of isotopically distinct tilings of hyperbolic surfaces. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 1347 KW - isotopic tiling theory KW - Delaney–Dress tiling theory KW - mapping class groups KW - Orbifolds KW - maps on surfaces KW - hyperbolic tilings Y1 - 2020 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-544285 SN - 1866-8372 IS - 1 ER - TY - GEN A1 - Jannasch, Franziska A1 - Nickel, Daniela A1 - Schulze, Matthias Bernd T1 - The reliability and relative validity of predefined dietary patterns were higher than that of exploratory dietary patterns in the European Prospective Investigation into Cancer and Nutrition (EPIC)-Potsdam population T2 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe N2 - The aim of this study was to assess the ability of the FFQ to describe reliable and valid dietary pattern (DP) scores. In a total of 134 participants of the European Prospective Investigation into Cancer and Nutrition-Potsdam study aged 35-67 years, the FFQ was applied twice (baseline and after 1 year) to assess its reliability. Between November 1995 and March 1997, twelve 24-h dietary recalls (24HDR) as reference instrument were applied to assess the validity of the FFQ. Exploratory DP were derived by principal component analyses. Investigated predefined DP were the Alternative Healthy Eating Index (AHEI) and two Mediterranean diet indices. From dietary data of each FFQ, two exploratory DP were retained, but differed in highly loading food groups, resulting in moderate correlations (r 0 center dot 45-0 center dot 58). The predefined indices showed higher correlations between the FFQ (r(AHEI) 0 center dot 62, r(Mediterranean Diet Pyramid Index (MedPyr)) 0 center dot 62 and r(traditional Mediterranean Diet Score (tMDS)) 0 center dot 51). From 24HDR dietary data, one exploratory DP retained differed in composition to the first FFQ-based DP, but showed similarities to the second DP, reflected by a good correlation (r 0 center dot 70). The predefined DP correlated moderately (r 0 center dot 40-0 center dot 60). To conclude, long-term analyses on exploratory DP should be interpreted with caution, due to only moderate reliability. The validity differed extensively for the two exploratory DP. The investigated predefined DP showed a better reliability and a moderate validity, comparable to other studies. Within the two Mediterranean diet indices, the MedPyr performed better than the tMDs in this middle-aged, semi-urban German study population. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 1349 KW - dietary patterns KW - reliability KW - validity Y1 - 2020 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-550030 SN - 1866-8372 VL - 125 IS - 11 ER - TY - GEN A1 - Grohmann, Nils-Hendrik T1 - Strengthening the UN Human Rights Treaty Bodies BT - eine Analyse der rechtlichen Befugnisse der Ausschüsse und der Möglichkeiten für eine Reform BT - an analysis of the committees’ legal powers and possibilities for reform T2 - Zweitveröffentlichungen der Universität Potsdam : Rechtswissenschaftliche Reihe N2 - Nils-Hendrik Grohmann beschäftigt sich mit dem noch andauernden Stärkungsprozess der UN-Menschenrechtsvertragsorgane. Er analysiert, welche rechtlichen Befugnisse die Ausschüsse haben, ob sie von sich aus Vorschläge einbringen können und inwieweit sie ihre Verfahrensweisen bisher aufeinander abgestimmt haben. Ein weiterer Schwerpunkt liegt auf der Zusammenarbeit zwischen den verschiedenen Ausschüssen und der Frage, welche Rolle das Treffen der Vorsitzenden bei der Stärkung spielen kann. T2 - Stärkung der UN-Menschenrechtsvertragsorgane T3 - Zweitveröffentlichungen der Universität Potsdam : Rechtswissenschaftliche Reihe - 14 Y1 - 2024 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-633441 IS - 14 ER - TY - THES A1 - Kiss, Andrea T1 - Moss-associated bacterial and archaeal communities of northern peatlands: key taxa, environmental drivers and potential functions T1 - Moos-assoziierte bakterielle und archaelle Gemeinschaften nördlicher Moore: Schlüsselspezies, beeinflussende Umweltfaktoren und potentielle Funktionen N2 - Moss-microbe associations are often characterised by syntrophic interactions between the microorganisms and their hosts, but the structure of the microbial consortia and their role in peatland development remain unknown. In order to study microbial communities of dominant peatland mosses, Sphagnum and brown mosses, and the respective environmental drivers, four study sites representing different successional stages of natural northern peatlands were chosen on a large geographical scale: two brown moss-dominated, circumneutral peatlands from the Arctic and two Sphagnum-dominated, acidic peat bogs from subarctic and temperate zones. The family Acetobacteraceae represented the dominant bacterial taxon of Sphagnum mosses from various geographical origins and displayed an integral part of the moss core community. This core community was shared among all investigated bryophytes and consisted of few but highly abundant prokaryotes, of which many appear as endophytes of Sphagnum mosses. Moreover, brown mosses and Sphagnum mosses represent habitats for archaea which were not studied in association with peatland mosses so far. Euryarchaeota that are capable of methane production (methanogens) displayed the majority of the moss-associated archaeal communities. Moss-associated methanogenesis was detected for the first time, but it was mostly negligible under laboratory conditions. Contrarily, substantial moss-associated methane oxidation was measured on both, brown mosses and Sphagnum mosses, supporting that methanotrophic bacteria as part of the moss microbiome may contribute to the reduction of methane emissions from pristine and rewetted peatlands of the northern hemisphere. Among the investigated abiotic and biotic environmental parameters, the peatland type and the host moss taxon were identified to have a major impact on the structure of moss-associated bacterial communities, contrarily to archaeal communities whose structures were similar among the investigated bryophytes. For the first time it was shown that different bog development stages harbour distinct bacterial communities, while at the same time a small core community is shared among all investigated bryophytes independent of geography and peatland type. The present thesis displays the first large-scale, systematic assessment of bacterial and archaeal communities associated both with brown mosses and Sphagnum mosses. It suggests that some host-specific moss taxa have the potential to play a key role in host moss establishment and peatland development. N2 - Während die Beziehungen zwischen Moosen und den mit ihnen assoziierten Mikroorganismen oft durch syntrophische Wechselwirkungen charakterisiert sind, ist die Struktur der Moos-assoziierten mikrobiellen Gemeinschaften sowie deren Rolle bei der Entstehung von Mooren weitgehend unbekannt. Die vorliegende Arbeit befasst sich mit mikrobiellen Gemeinschaften, die mit Moosen nördlicher, naturnaher Moore assoziiert sind, sowie mit den Umweltfaktoren, die sie beeinflussen. Entlang eines groß angelegten geographischen Gradienten, der von der Hocharktis bis zur gemäßigten Klimazone reicht, wurden vier naturbelassene Moore als Probenstandorte ausgesucht, die stellvertretend für verschiedene Stadien der Moorentwicklung stehen: zwei Braunmoos-dominierte Niedermoore mit nahezu neutralem pH-Wert sowie zwei Sphagnum-dominierte Torfmoore mit saurem pH-Wert. Die Ergebnisse der vorliegenden Arbeit machen deutlich, dass die zu den Bakterien zählenden Acetobacteraceae das vorherrschende mikrobielle Taxon der Sphagnum-Moose gleich welchen geographischen Ursprungs darstellen und insbesondere innerhalb des Wirtsmoosgewebes dominieren. Gleichzeitig gehörten die Acetobacteraceae zum wesentlichen Bestandteil der mikrobiellen Kerngemeinschaft aller untersuchten Moose, die sich aus einigen wenigen Arten, dafür zahlreich vorkommenden Prokaryoten zusammensetzt. Die vorliegende Arbeit zeigt zudem erstmals, dass sowohl Braunmoose als auch Torfmoose ein Habitat für Archaeen darstellen. Die Mehrheit der Moos-assoziierten Archaeen gehörte dabei zu den methanbildenden Gruppen, wenngleich die metabolischen Aktivitätsraten unter Laborbedingungen meistens kaum messbar waren. Im Gegensatz hierzu konnte die Bakterien-vermittelte Methanoxidation sowohl an Braunmoosen als auch an Sphagnum-Moosen gemessen werden. Dies zeigt eindrucksvoll, dass Moos-assoziierte Bakterien potenziell zur Minderung von Methanemissionen aus nördlichen, aber auch wiedervernässten Mooren beitragen können. Ein weiteres wichtiges Resultat der vorliegenden Arbeit ist die Bedeutung des Moortyps (Niedermoor oder Torfmoor), aber auch der Wirtsmoosart selbst für die Struktur der Moos-assoziierten Bakteriengemeinschaften, während die archaeellen Gemeinschaftsstrukturen weder vom Moortyp noch von der Wirtsmoosart beeinflusst wurden und sich insgesamt deutlich ähnlicher waren als die der Bakterien. Darüber hinaus konnte erstmalig gezeigt werden, dass sich die bakteriellen Gemeinschaften innerhalb der unterschiedlichen Moorsukzessionsstadien zwar ganz erheblich voneinander unterscheiden, ein kleiner Teil der Bakterien dennoch Kerngemeinschaften bilden, die mit allen untersuchten Moosarten assoziiert waren. Bei der hier präsentierten Arbeit handelt es sich um die erste systematische Studie, die sich auf einer großen geographischen Skala mit den bakteriellen und archaeellen Gemeinschaften von Braunmoosen und Torfmoosen aus naturbelassenen nördlichen Mooren befasst. Die vorliegenden Ergebnisse machen deutlich, dass die untersuchten Moose ein ganz spezifisches mikrobielles Konsortium beherbergen, welches mutmaßlich eine Schlüsselrolle bei der Etablierung der Wirtspflanzen am Anfang der Moorentwicklung spielt und darüber hinaus das Potential hat, die charakteristischen Eigenschaften von Mooren sowie deren weitere Entwicklung zu prägen. KW - moss-microbe-interactions KW - moss-associated bacteria KW - moss-associated archaea KW - northern peatlands KW - peatland core microbiome KW - Acetobacteraceae KW - moss-associated methanotrophy KW - moss-associated methanogenesis KW - Sphagnum KW - Amblystegiaceae KW - endophytes KW - brown mosses KW - epiphytes KW - peatland development KW - bryophytes KW - host-specificity KW - large-scale study KW - methanotrophic bacteria KW - methanogenic archaea KW - Essigsäurebakterien KW - Amblystegiaceae KW - Torfmoose KW - Braunmoose KW - Bryophyten KW - Endophyten KW - Epiphyten KW - Wirtsspezifität KW - geographische Großstudie KW - methanproduzierende Archaeen KW - methanoxidierende Bakterien KW - Moos-assoziierte Methanproduktion KW - Moos-assoziierte Methanoxidation KW - Moos-Mikroben-Interaktion KW - nördliche Moore KW - mikrobielle Moor-Kerngemeinschaft KW - Moorsukzession Y1 - 2024 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-630641 ER - TY - THES A1 - Hussein, Mahmoud T1 - Solvent engineering for highly-efficiency lead-free perovskite solar cells T1 - Lösungsmitteltechnik für hocheffiziente Zinn-Perowskit-Solarzellen N2 - Global warming, driven primarily by the excessive emission of greenhouse gases such as carbon dioxide into the atmosphere, has led to severe and detrimental environmental impacts. Rising global temperatures have triggered a cascade of adverse effects, including melting glaciers and polar ice caps, more frequent and intense heat waves disrupted weather patterns, and the acidification of oceans. These changes adversely affect ecosystems, biodiversity, and human societies, threatening food security, water availability, and livelihoods. One promising solution to mitigate the harmful effects of global warming is the widespread adoption of solar cells, also known as photovoltaic cells. Solar cells harness sunlight to generate electricity without emitting greenhouse gases or other pollutants. By replacing fossil fuel-based energy sources, solar cells can significantly reduce CO2 emissions, a significant contributor to global warming. This transition to clean, renewable energy can help curb the increasing concentration of greenhouse gases in the atmosphere, thereby slowing down the rate of global temperature rise. Solar energy’s positive impact extends beyond emission reduction. As solar panels become more efficient and affordable, they empower individuals, communities, and even entire nations to generate electricity and become less dependent on fossil fuels. This decentralized energy generation can enhance resilience in the face of climate-related challenges. Moreover, implementing solar cells creates green jobs and stimulates technological innovation, further promoting sustainable economic growth. As solar technology advances, its integration with energy storage systems and smart grids can ensure a stable and reliable energy supply, reducing the need for backup fossil fuel power plants that exacerbate environmental degradation. The market-dominant solar cell technology is silicon-based, highly matured technology with a highly systematic production procedure. However, it suffers from several drawbacks, such as: 1) Cost: still relatively high due to high energy consumption due to the need to melt and purify silicon, and the use of silver as an electrode, which hinders their widespread availability, especially in low-income countries. 2) Efficiency: theoretically, it should deliver around 29%; however, the efficiency of most of the commercially available silicon-based solar cells ranges from 18 – 22%. 3) Temperature sensitivity: The efficiency decreases with the increase in the temperature, affecting their output. 4) Resource constraints: silicon as a raw material is unavailable in all countries, creating supply chain challenges. Perovskite solar cells arose in 2011 and matured very rapidly in the last decade as a highly efficient and versatile solar cell technology. With an efficiency of 26%, high absorption coefficients, solution processability, and tunable band gap, it attracted the attention of the solar cells community. It represented a hope for cheap, efficient, and easily processable next-generation solar cells. However, lead toxicity might be the block stone hindering perovskite solar cells’ market reach. Lead is a heavy and bioavailable element that makes perovskite solar cells environmentally unfriendly technology. As a result, scientists try to replace lead with a more environmentally friendly element. Among several possible alternatives, tin was the most suitable element due to its electronic and atomic structure similarity to lead. Tin perovskites were developed to alleviate the challenge of lead toxicity. Theoretically, it shows very high absorption coefficients, an optimum band gap of 1.35 eV for FASnI3, and a very high short circuit current, which nominates it to deliver the highest possible efficiency of a single junction solar cell, which is around 30.1% according to Schockly-Quisser limit. However, tin perovskites’ efficiency still lags below 15% and is irreproducible, especially from lab to lab. This humble performance could be attributed to three reasons: 1) Tin (II) oxidation to tin (IV), which would happen due to oxygen, water, or even by the effect of the solvent, as was discovered recently. 2) fast crystallization dynamics, which occurs due to the lateral exposure of the P-orbitals of the tin atom, which enhances its reactivity and increases the crystallization pace. 3) Energy band misalignment: The energy bands at the interfaces between the perovskite absorber material and the charge selective layers are not aligned, leading to high interfacial charge recombination, which devastates the photovoltaic performance. To solve these issues, we implemented several techniques and approaches that enhanced the efficiency of tin halide perovskites, providing new chemically safe solvents and antisolvents. In addition, we studied the energy band alignment between the charge transport layers and the tin perovskite absorber. Recent research has shown that the principal source of tin oxidation is the solvent known as dimethylsulfoxide, which also happens to be one of the most effective solvents for processing perovskite. The search for a stable solvent might prove to be the factor that makes all the difference in the stability of tin-based perovskites. We started with a database of over 2,000 solvents and narrowed it down to a series of 12 new solvents that are suitable for processing FASnI3 experimentally. This was accomplished by looking into 1) the solubility of the precursor chemicals FAI and SnI2, 2) the thermal stability of the precursor solution, and 3) the potential to form perovskite. Finally, we show that it is possible to manufacture solar cells using a novel solvent system that outperforms those produced using DMSO. The results of our research give some suggestions that may be used in the search for novel solvents or mixes of solvents that can be used to manufacture stable tin-based perovskites. Due to the quick crystallization of tin, it is more difficult to deposit tin-based perovskite films from a solution than manufacturing lead-based perovskite films since lead perovskite is more often utilized. The most efficient way to get high efficiencies is to deposit perovskite from dimethyl sulfoxide (DMSO), which slows down the quick construction of the tin-iodine network that is responsible for perovskite synthesis. This is the most successful approach for achieving high efficiencies. Dimethyl sulfoxide, which is used in the processing, is responsible for the oxidation of tin, which is a disadvantage of this method. This research presents a potentially fruitful alternative in which 4-(tert-butyl) pyridine can substitute dimethyl sulfoxide in the process of regulating crystallization without causing tin oxidation to take place. Perovskite films that have been formed from pyridine have been shown to have a much-reduced defect density. This has resulted in increased charge mobility and better photovoltaic performance, making pyridine a desirable alternative for use in the deposition of tin perovskite films. The precise control of perovskite precursor crystallization inside a thin film is of utmost importance for optimizing the efficiency and manufacturing of solar cells. The deposition process of tin-based perovskite films from a solution presents difficulties due to the quick crystallization of tin compared to the more often employed lead perovskite. The optimal approach for attaining elevated efficiencies entails using dimethyl sulfoxide (DMSO) as a medium for depositing perovskite. This choice of solvent impedes the tin-iodine network’s fast aggregation, which plays a crucial role in the production of perovskite. Nevertheless, this methodology is limited since the utilization of dimethyl sulfoxide leads to the oxidation of tin throughout the processing stage. In this thesis, we present a potentially advantageous alternative approach wherein 4-(tert-butyl) pyridine is proposed as a substitute for dimethyl sulfoxide in regulating crystallization processes while avoiding the undesired consequence of tin oxidation. Films of perovskite formed using pyridine as a solvent have a notably reduced density of defects, resulting in higher mobility of charges and improved performance in solar applications. Consequently, the utilization of pyridine for the deposition of tin perovskite films is considered advantageous. Tin perovskites are suffering from an apparent energy band misalignment. However, the band diagrams published in the current body of research display contradictions, resulting in a dearth of unanimity. Moreover, comprehensive information about the dynamics connected with charge extraction is lacking. This thesis aims to ascertain the energy band locations of tin perovskites by employing the kelvin probe and Photoelectron yield spectroscopy methods. This thesis aims to construct a precise band diagram for the often-utilized device stack. Moreover, a comprehensive analysis is performed to assess the energy deficits inherent in the current energetic structure of tin halide perovskites. In addition, we investigate the influence of BCP on the improvement of electron extraction in C60/BCP systems, with a specific emphasis on the energy factors involved. Furthermore, transient surface photovoltage was utilized to investigate the charge extraction kinetics of frequently studied charge transport layers, such as NiOx and PEDOT as hole transport layers and C60, ICBA, and PCBM as electron transport layers. The Hall effect, KP, and TRPL approaches accurately ascertain the p-doping concentration in FASnI3. The results consistently demonstrated a value of 1.5 * 1017 cm-3. Our research findings highlight the imperative nature of autonomously constructing the charge extraction layers for tin halide perovskites, apart from those used for lead perovskites. The crystallization of perovskite precursors relies mainly on the utilization of two solvents. The first one dissolves the perovskite powder to form the precursor solution, usually called the solvent. The second one precipitates the perovskite precursor, forming the wet film, which is a supersaturated solution of perovskite precursor and in the remains of the solvent and the antisolvent. Later, this wet film crystallizes upon annealing into a full perovskite crystallized film. In our research context, we proposed new solvents to dissolve FASnI3, but when we tried to form a film, most of them did not crystallize. This is attributed to the high coordination strength between the metal halide and the solvent molecules, which is unbreakable by the traditionally used antisolvents such as Toluene and Chlorobenzene. To solve this issue, we introduce a high-throughput antisolvent screening in which we screened around 73 selected antisolvents against 15 solvents that can form a 1M FASnI3 solution. We used for the first time in tin perovskites machine learning algorithm to understand and predict the effect of an antisolvent on the crystallization of a precursor solution in a particular solvent. We relied on film darkness as a primary criterion to judge the efficacy of a solvent-antisolvent pair. We found that the relative polarity between solvent and antisolvent is the primary factor that affects the solvent-antisolvent interaction. Based on our findings, we prepared several high-quality tin perovskite films free from DMSO and achieved an efficiency of 9%, which is the highest DMSO tin perovskite device so far. N2 - Zinn ist eine der vielversprechendsten Alternativen zu Blei, um bleifreie Halogenidperowskite für die Optoelektronik herzustellen. Die Stabilität von Perowskiten auf Zinnbasis wird jedoch durch die Oxidation von Sn(II) zu Sn(IV) beeinträchtigt. Jüngste Arbeiten haben ergeben, dass Dimethylsulfoxid, eines der besten Lösungsmittel für die Verarbeitung von Perowskiten, die Hauptquelle für die Oxidation von Zinn ist. Die Suche nach einem stabilen Lösungsmittel könnte den Ausschlag für die Stabilität von Perowskiten auf Zinnbasis geben. Ausgehend von einer Datenbank mit über 2000 Lösungsmitteln haben wir eine Reihe von 12 neuen Lösungsmitteln identifiziert, die für die Verarbeitung von Formamidinium-Zinniodid-Perowskit (FASnI3) geeignet sind, indem wir 1) die Löslichkeit der Vorläuferchemikalien FAI und SnI2, 2) die thermische Stabilität der Vorläuferlösung und 3) die Möglichkeit zur Bildung von Perowskit experimentell untersucht haben. Schließlich demonstrieren wir ein neues Lösungsmittelsystem zur Herstellung von Solarzellen, das die auf DMSO basierenden Zellen übertrifft. Unsere Arbeit liefert Leitlinien für die weitere Identifizierung neuer Lösungsmittel oder Lösungsmittelmischungen zur Herstellung stabiler Perowskite auf Zinnbasis. Die genaue Steuerung der Kristallisation des Perowskit-Vorläufers in einer Dünnschicht ist entscheidend für die Effizienz und Produktion von Solarzellen. Die Abscheidung von Perowskit-Filmen auf Zinnbasis aus einer Lösung stellt aufgrund der schnellen Kristallisation von Zinn im Vergleich zu dem üblicherweise verwendeten Bleiperowskit eine Herausforderung dar. Die effektivste Methode zur Erzielung hoher Wirkungsgrade ist die Abscheidung von Perowskit aus Dimethylsulfoxid (DMSO), das den schnellen Aufbau des für die Perowskitbildung verantwortlichen Zinn-Jod-Netzwerks behindert. Dieser Ansatz hat jedoch einen Nachteil, da Dimethylsulfoxid während der Verarbeitung eine Zinnoxidation verursacht. In dieser Studie wird eine vielversprechende Alternative vorgestellt, bei der 4-(tert-Butyl)-pyridin Dimethylsulfoxid bei der Steuerung der Kristallisation ersetzen kann, ohne eine Zinnoxidation zu verursachen. Aus Pyridin abgeschiedene Perowskit-Filme weisen eine deutlich geringere Defektdichte auf, was zu einer erhöhten Ladungsbeweglichkeit und einer verbesserten photovoltaischen Leistung führt und es zu einer günstigen Wahl für die Abscheidung von Zinn-Perowskit-Filmen macht. Zinnperowskite haben sich als vielversprechender, umweltverträglicher Ersatz für Bleiperowskite erwiesen, vor allem wegen ihrer besseren optoelektronischen Eigenschaften und ihrer geringeren Bioverfügbarkeit. Dennoch gibt es mehrere Gründe, warum die Leistung von Zinnperowskiten nicht mit der von Bleiperowskiten verglichen werden kann. Einer dieser Gründe ist die Nichtübereinstimmung der Energiebänder zwischen dem Perowskit-Absorberfilm und den ladungstransportierenden Schichten (CTLs). Die in der vorhandenen Literatur dargestellten Banddiagramme sind jedoch uneinheitlich, was zu einem Mangel an Konsens führt. Außerdem ist das Verständnis der mit der Ladungsextraktion verbundenen Dynamik noch unzureichend. In dieser Studie sollen die Energiebandpositionen von Zinnperowskiten mit Hilfe der Kelvinsonde (KP) und der Photoelektronenausbeutespektroskopie (PYS) bestimmt werden. Ziel ist es, ein genaues Banddiagramm für den üblicherweise verwendeten Bauelementestapel zu erstellen. Darüber hinaus führen wir eine Diagnose der energetischen Unzulänglichkeiten durch, die im bestehenden energetischen Rahmen von Zinnhalogenid-Perowskiten vorhanden sind. Unser Ziel ist es, Folgendes zu klären den Einfluss von BCP auf die Verbesserung der Elektronenextraktion in C60/BCP-Systemen, wobei der Schwerpunkt auf den energetischen Aspekten liegt. Darüber hinaus haben wir die transiente Oberflächenphotospannung (tr-SPV) eingesetzt, um Einblicke in die Ladungsextraktionskinetik von allgemein bekannten CTLs zu gewinnen, einschließlich NiOx und PEDOT als Lochtransportschichten (HTLs) und C60, ICBA und PCBM als Elektronentransportschichten (ETLs). In diesem Kapitel verwenden wir den Halleffekt, KP- und TRPL-Techniken, um die genaue p-Dotierungskonzentration in FASnI3 zu bestimmen. Unsere Ergebnisse ergaben durchweg einen Wert von 1.5 * 1017 cm-3. Die Ergebnisse unserer Studie zeigen, dass es notwendig ist, die Ladungsextraktionsschichten von Zinnhalogenidperowskiten unabhängig von den Bleiperowskiten zu entwickeln. Die Kristallisation von Perowskit-Vorstufen beruht hauptsächlich auf der Verwendung von zwei Lösungsmitteln. Das erste löst das Perowskit-Pulver auf und bildet die Vorläuferlösung, die üblicherweise als Lösungsmittel bezeichnet wird. Mit dem zweiten wird der Perowskit-Precursor ausgefällt, wobei sich der Nassfilm bildet, der eine übersättigte Lösung des Perowskit-Precursors und der Reste des Lösungsmittels und des Antisolierungsmittels ist. Später kristallisiert dieser nasse Film beim Ausglühen zu einem vollständig kristallisierten Perowskit-Film. In unserem Forschungskontext haben wir neue Lösungsmittel vorgeschlagen, um FASnI3 aufzulösen, aber als wir versuchten, einen Film zu bilden, kristallisierten die meisten von ihnen nicht. Dies ist auf die hohe Koordinationsstärke zwischen dem Metallhalogenid und den Lösungsmittelmolekülen zurückzuführen, die von den traditionell verwendeten Antisolierungsmitteln wie Toluol und Chlorbenzol nicht aufgebrochen werden kann. Um dieses Problem zu lösen, haben wir ein Hochdurchsatz-Screening von Antisolventien durchgeführt, bei dem wir 73 ausgewählte Antisolventien mit 15 Lösungsmitteln verglichen haben, die eine 1M FASnI3-Lösung bilden können. Wir haben zum ersten Mal bei Zinnperowskiten einen Algorithmus für maschinelles Lernen verwendet, um die Wirkung eines Antisolvens auf die Kristallisation einer Vorläuferlösung in einem bestimmten Lösungsmittel zu verstehen und vorherzusagen. Wir stützten uns auf die Schwärzung des Films als primäres Kriterium zur Beurteilung der Wirksamkeit eines Lösungsmittel-Antisolierungsmittel-Paares. Wir fanden heraus, dass die relative Polarität zwischen Lösungsmittel und Antisolvent der wichtigste Faktor ist, der die Wechselwirkung zwischen Lösungsmittel und Antisolvent beeinflusst. Auf der Grundlage unserer Erkenntnisse haben wir mehrere hochwertige Zinn-Perowskit-Filme ohne DMSO hergestellt und einen Wirkungsgrad von 9 % erzielt, was die bisher höchste DMSO-Zinn-Perowskit-Vorrichtung darstellt. KW - perovskite solar cells KW - lead-free perovskites KW - tin perovskites KW - solar cells KW - perovskite KW - Perowskit-Solarzellen KW - photovoltaische Materialien KW - Solarzellen KW - Lösungsmittel KW - bleifreie Perowskit-Solarzellen Y1 - 2024 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-630375 ER - TY - THES A1 - Lilienkamp, Henning T1 - Enhanced computational approaches for data-driven characterization of earthquake ground motion and rapid earthquake impact assessment T1 - Fortgeschrittene Berechnungsansätze für die datengestützte Charakterisierung von Erdbeben-Bodenbewegungen und die schnelle Einschätzung von Erdbebenauswirkungen N2 - Rapidly growing seismic and macroseismic databases and simplified access to advanced machine learning methods have in recent years opened up vast opportunities to address challenges in engineering and strong motion seismology from novel, datacentric perspectives. In this thesis, I explore the opportunities of such perspectives for the tasks of ground motion modeling and rapid earthquake impact assessment, tasks with major implications for long-term earthquake disaster mitigation. In my first study, I utilize the rich strong motion database from the Kanto basin, Japan, and apply the U-Net artificial neural network architecture to develop a deep learning based ground motion model. The operational prototype provides statistical estimates of expected ground shaking, given descriptions of a specific earthquake source, wave propagation paths, and geophysical site conditions. The U-Net interprets ground motion data in its spatial context, potentially taking into account, for example, the geological properties in the vicinity of observation sites. Predictions of ground motion intensity are thereby calibrated to individual observation sites and earthquake locations. The second study addresses the explicit incorporation of rupture forward directivity into ground motion modeling. Incorporation of this phenomenon, causing strong, pulse like ground shaking in the vicinity of earthquake sources, is usually associated with an intolerable increase in computational demand during probabilistic seismic hazard analysis (PSHA) calculations. I suggest an approach in which I utilize an artificial neural network to efficiently approximate the average, directivity-related adjustment to ground motion predictions for earthquake ruptures from the 2022 New Zealand National Seismic Hazard Model. The practical implementation in an actual PSHA calculation demonstrates the efficiency and operational readiness of my model. In a follow-up study, I present a proof of concept for an alternative strategy in which I target the generalizing applicability to ruptures other than those from the New Zealand National Seismic Hazard Model. In the third study, I address the usability of pseudo-intensity reports obtained from macroseismic observations by non-expert citizens for rapid impact assessment. I demonstrate that the statistical properties of pseudo-intensity collections describing the intensity of shaking are correlated with the societal impact of earthquakes. In a second step, I develop a probabilistic model that, within minutes of an event, quantifies the probability of an earthquake to cause considerable societal impact. Under certain conditions, such a quick and preliminary method might be useful to support decision makers in their efforts to organize auxiliary measures for earthquake disaster response while results from more elaborate impact assessment frameworks are not yet available. The application of machine learning methods to datasets that only partially reveal characteristics of Big Data, qualify the majority of results obtained in this thesis as explorative insights rather than ready-to-use solutions to real world problems. The practical usefulness of this work will be better assessed in the future by applying the approaches developed to growing and increasingly complex data sets. N2 - Das rapide Wachstum seismischer und makroseismischer Datenbanken und der vereinfachte Zugang zu fortschrittlichen Methoden aus dem Bereich des maschinellen Lernens haben in den letzen Jahren die datenfokussierte Betrachtung von Fragestellungen in der Seismologie ermöglicht. In dieser Arbeit erforsche ich das Potenzial solcher Betrachtungsweisen im Hinblick auf die Modellierung erdbebenbedingter Bodenerschütterungen und der raschen Einschätzung von gesellschaftlichen Erdbebenauswirkungen, Disziplinen von erheblicher Bedeutung für den langfristigen Erdbebenkatastrophenschutz in seismisch aktiven Regionen. In meiner ersten Studie nutze ich die Vielzahl an Bodenbewegungsdaten aus der Kanto Region in Japan, sowie eine spezielle neuronale Netzwerkarchitektur (U-Net) um ein Bodenbewegungsmodell zu entwickeln. Der einsatzbereite Prototyp liefert auf Basis der Charakterisierung von Erdbebenherden, Wellenausbreitungspfaden und Bodenbeschaffenheiten statistische Schätzungen der zu erwartenden Bodenerschütterungen. Das U-Net interpretiert Bodenbewegungsdaten im räumlichen Kontext, sodass etwa die geologischen Beschaffenheiten in der Umgebung von Messstationen mit einbezogen werden können. Auch die absoluten Koordinaten von Erdbebenherden und Messstationen werden berücksichtigt. Die zweite Studie behandelt die explizite Berücksichtigung richtungsabhängiger Verstärkungseffekte in der Bodenbewegungsmodellierung. Obwohl solche Effekte starke, impulsartige Erschütterungen in der Nähe von Erdbebenherden erzeugen, die eine erhebliche seismische Beanspruchung von Gebäuden darstellen, wird deren explizite Modellierung in der seismischen Gefährdungsabschätzung aufgrund des nicht vertretbaren Rechenaufwandes ausgelassen. Mit meinem, auf einem neuronalen Netzwerk basierenden, Ansatz schlage ich eine Methode vor, umdieses Vorhaben effizient für Erdbebenszenarien aus dem neuseeländischen seismischen Gefährdungsmodell für 2022 (NSHM) umzusetzen. Die Implementierung in einer seismischen Gefährdungsrechnung unterstreicht die Praktikabilität meines Modells. In einer anschließenden Machbarkeitsstudie untersuche ich einen alternativen Ansatz der auf die Anwendbarkeit auf beliebige Erdbebeszenarien abzielt. Die abschließende dritte Studie befasst sich mit dem potenziellen Nutzen der von makroseismischen Beobachtungen abgeleiteten pseudo-Erschütterungsintensitäten für die rasche Abschätzung von gesellschaftlichen Erdbebenauswirkungen. Ich zeige, dass sich aus den Merkmalen solcher Daten Schlussfolgerungen über die gesellschaftlichen Folgen eines Erdbebens ableiten lassen. Basierend darauf formuliere ich ein statistisches Modell, welches innerhalb weniger Minuten nach einem Erdbeben die Wahrscheinlichkeit für das Auftreten beachtlicher gesellschaftlicher Auswirkungen liefert. Ich komme zu dem Schluss, dass ein solches Modell, unter bestimmten Bedingungen, hilfreich sein könnte, um EntscheidungsträgerInnen in ihren Bestrebungen Hilfsmaßnahmen zu organisieren zu unterstützen. Die Anwendung von Methoden des maschinellen Lernens auf Datensätze die sich nur begrenzt als Big Data charakterisieren lassen, qualifizieren die Mehrheit der Ergebnisse dieser Arbeit als explorative Einblicke und weniger als einsatzbereite Lösungen für praktische Fragestellungen. Der praktische Nutzen dieser Arbeit wird sich in erst in Zukunft an der Anwendung der erarbeiteten Ansätze auf wachsende und zunehmend komplexe Datensätze final abschätzen lassen. KW - seismology KW - machine learning KW - deep learning KW - ground motion modeling KW - seismic hazard KW - rapid earthquake impact assessment KW - geophysics KW - Deep Learning KW - Geophysik KW - Bodenbewegungsmodellierung KW - maschinelles Lernen KW - schnelle Einschätzung von Erdbebenauswirkungen KW - seismische Gefährdung KW - Seismologie Y1 - 2024 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-631954 ER - TY - THES A1 - Hammel, Alexander T1 - Establishing the red microalga Porphyridium purpureum as a novel platform for the production of recombinant proteins T1 - Die Etablierung der roten Mikroalge Porphyridium purpureum als neue Platform für die Herstellung rekombinanter Proteine N2 - Microalgae have been recognized as a promising green production platform for recombinant proteins. The majority of studies on recombinant protein expression have been conducted in the green microalga C. reinhardtii. While promising improvement regarding nuclear transgene expression in this alga has been made, it is still inefficient due to epigenetic silencing, often resulting in low yields that are not competitive with other expressor organisms. Other microalgal species might be better suited for high-level protein expression, but are limited in their availability of molecular tools. The red microalga Porphyridium purpureum recently emerged as candidate for the production of recombinant proteins. It is promising in that transformation vectors are episomally maintained as autonomously replicating plasmids in the nucleus at a high copy number, thus leading to high expression values in this red alga. In this work, we expand the genetic tools for P. purpureum and investigate parameters that govern efficient transgene expression. We provide an improved transformation protocol to streamline the generation of transgenic lines in this organism. After being able to efficiently generate transgenic lines, we showed that codon usage is a main determinant of high-level transgene expression, not only at the protein level but also at the level of mRNA accumulation. The optimized expression constructs resulted in YFP accumulation up to an unprecedented 5% of the total soluble protein. Furthermore, we designed new constructs conferring efficient transgene expression into the culture medium, simplifying purification and harvests of recombinant proteins. To further improve transgene expression, we tested endogenous promoters driving the most highly transcribed genes in P. purpureum and found minor increase of YFP accumulation. We employed the previous findings to express complex viral antigens from the hepatitis B virus and the hepatitis C virus in P. purpureum to demonstrate its feasibility as producer of biopharmaceuticals. The viral glycoproteins were successfully produced to high levels and could reach their native confirmation, indicating a functional glycosylation machinery and an appropriate folding environment in this red alga. We could successfully upscale the biomass production of transgenic lines and with that provide enough material for immunization trials in mice that were performed in collaboration. These trials showed no toxicity of neither the biomass nor the purified antigens, and, additionally, the algal-produced antigens were able to elicit a strong and specific immune response. The results presented in this work pave the way for P. purpureum as a new promising producer organism for biopharmaceuticals in the microalgal field. N2 - Biotechnologisch hergestellte Proteine (rekombinante Proteine), wie zum Beispiel monoklonale Antikörper, Insulin oder diverse Impfstoffe, spielen heutzutage eine immer wichtigere Rolle bei der Bekämpfung von Krankheiten. Diese werden hauptsächlich aus genetisch veränderten humanen Zelllinien hergestellt. Die Produktion ist allerdings sehr teuer, anfällig für Kontaminationen und nicht nachhaltig. Als Alternative dazu können Mikroalgen benutzt werden, die viel günstiger kultiviert werden können und viele Vorteile bezüglich des ökologischen Aspekts bieten. Die bisherige Forschung an Mikroalgen als Plattform für die Herstellung rekombinanter Proteine konzentriert sich vor allem auf die grüne Mikroalge Chlamydomonas reinhardtii. Doch vor allem die geringe Proteinausbeute macht diese Alge nicht zum idealen Expressionsorganismus. Kürzlich wurde die rote Mikroalge Porphyridium purpureum als vielversprechende Kandidatin für die Produktion rekombinanter Proteine identifiziert. Besonders interessant ist, dass diese Alge rekombinante Proteine in einem hohen Maß exprimiert. Diese Arbeit beschäftigt sich mit dem Potenzial von Porphyridium purpureum als relativ unerforschte Alge. Es wurden neue genetische Werkzeuge entwickelt und verschiedene Faktoren untersucht, die die Expression von eingebrachten Genen beeinflussen. Durch Optimierung dieser Parameter konnten wir die Proteinausbeute eines gelb fluoreszierenden Proteins auf 5% des löslichen Gesamtproteins steigern. Wir haben das gewonnene Wissen genutzt, um jeweils ein Oberflächenprotein vom Hepatitis B Virus und vom Hepatitis C Virus in dieser roten Mikroalge herzustellen. Diese können als möglicher zukünftiger Impfstoff benutzt werden. Wir konnten zeigen, dass beide Proteine korrekt und in hoher Menge in Porphyridium purpureum hergestellt werden. Anschließend wurden die hergestellten Proteine auf ihre Wirksamkeit und Verträglichkeit an Mäusen getestet. Dabei wurde gezeigt, dass (i) Porphyridium purpureum nicht giftig ist und auch keine giftigen Produkte produziert und (ii) die produzierten Proteine eine effektive Immunantwort gegen die Viren induzieren. Mit dieser Arbeit wurde das Fundament für die biotechnologische Anwendung dieser roten Mikroalge gelegt. Die Ergebnisse dieser Studie zeigen, dass P. purpureum eine vielversprechende Mikroalgenart für die Produktion von biopharmazeutischen Proteinen ist. KW - microalgae KW - biotechnology KW - subunit vaccine KW - Biotechnologie KW - Mikroalgen KW - Untereinheitenimpfstoff Y1 - 2024 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-632709 ER - TY - THES A1 - Zona, Carlotta Isabella T1 - Visuo-linguistic integration for thematic-role assignment across speakers T1 - Visuell-linguistische Integration für die Zuweisung thematischer Rollen über Sprecher hinweg N2 - This dissertation examines the integration of incongruent visual-scene and morphological-case information (“cues”) in building thematic-role representations of spoken relative clauses in German. Addressing the mutual influence of visual and linguistic processing, the Coordinated Interplay Account (CIA) describes a mechanism in two steps supporting visuo-linguistic integration (Knoeferle & Crocker, 2006, Cog Sci). However, the outcomes and dynamics of integrating incongruent thematic-role representations from distinct sources have been investigated scarcely. Further, there is evidence that both second-language (L2) and older speakers may rely on non-syntactic cues relatively more than first-language (L1)/young speakers. Yet, the role of visual information for thematic-role comprehension has not been measured in L2 speakers, and only limitedly across the adult lifespan. Thematically unambiguous canonically ordered (subject-extracted) and noncanonically ordered (object-extracted) spoken relative clauses in German (see 1a-b) were presented in isolation and alongside visual scenes conveying either the same (congruent) or the opposite (incongruent) thematic relations as the sentence did. 1 a Das ist der Koch, der die Braut verfolgt. This is the.NOM cook who.NOM the.ACC bride follows This is the cook who is following the bride. b Das ist der Koch, den die Braut verfolgt. This is the.NOM cook whom.ACC the.NOM bride follows This is the cook whom the bride is following. The relative contribution of each cue to thematic-role representations was assessed with agent identification. Accuracy and latency data were collected post-sentence from a sample of L1 and L2 speakers (Zona & Felser, 2023), and from a sample of L1 speakers from across the adult lifespan (Zona & Reifegerste, under review). In addition, the moment-by-moment dynamics of thematic-role assignment were investigated with mouse tracking in a young L1 sample (Zona, under review). The following questions were addressed: (1) How do visual scenes influence thematic-role representations of canonical and noncanonical sentences? (2) How does reliance on visual-scene, case, and word-order cues vary in L1 and L2 speakers? (3) How does reliance on visual-scene, case, and word-order cues change across the lifespan? The results showed reliable effects of incongruence of visually and linguistically conveyed thematic relations on thematic-role representations. Incongruent (vs. congruent) scenes yielded slower and less accurate responses to agent-identification probes presented post-sentence. The recently inspected agent was considered as the most likely agent ~300ms after trial onset, and the convergence of visual scenes and word order enabled comprehenders to assign thematic roles predictively. L2 (vs. L1) participants relied more on word order overall. In response to noncanonical clauses presented with incongruent visual scenes, sensitivity to case predicted the size of incongruence effects better than L1-L2 grouping. These results suggest that the individual’s ability to exploit specific cues might predict their weighting. Sensitivity to case was stable throughout the lifespan, while visual effects increased with increasing age and were modulated by individual interference-inhibition levels. Thus, age-related changes in comprehension may stem from stronger reliance on visually (vs. linguistically) conveyed meaning. These patterns represent evidence for a recent-role preference – i.e., a tendency to re-assign visually conveyed thematic roles to the same referents in temporally coordinated utterances. The findings (i) extend the generalizability of CIA predictions across stimuli, tasks, populations, and measures of interest, (ii) contribute to specifying the outcomes and mechanisms of detecting and indexing incongruent representations within the CIA, and (iii) speak to current efforts to understand the sources of variability in sentence comprehension. N2 - Diese Dissertation untersucht die Integration inkongruenter visueller Szenen- und morphologisch-kasusbezogener Informationen ("Hinweise") beim Aufbau thematischer Rollenrepräsentationen gesprochener Relativsätze auf Deutsch. Das Coordinated Interplay Account (CIA) beschreibt einen Mechanismus in zwei Schritten zur Unterstützung der visuell-linguistischen Integration, der die wechselseitige Beeinflussung visueller und sprachlicher Verarbeitung adressiert (Knoeferle & Crocker, 2006, Cog Sci). Die Ergebnisse und Dynamiken der Integration inkongruenter thematischer Rollenrepräsentationen aus verschiedenen Quellen wurden jedoch kaum untersucht. Außerdem gibt es Hinweise darauf, dass sich sowohl Zweitsprachler (L2) als auch ältere Sprecher möglicherweise relativ stärker auf nicht-syntaktische Hinweise verlassen als Erstsprachler (L1)/jüngere Sprecher. Dennoch wurde die Rolle visueller Informationen für das Verständnis thematischer Rollen bei L2-Sprechern nicht gemessen und nur begrenzt über die gesamte Lebensspanne hinweg. Thematisch eindeutige, kanonisch geordnete (subjektausgezogene) und nichtkanonisch geordnete (objektausgezogene) gesprochene Relativsätze auf Deutsch (siehe 1a-b) wurden isoliert und zusammen mit visuellen Szenen präsentiert, die entweder dieselben (kongruente) oder entgegengesetzte (inkongruente) thematische Beziehungen wie der Satz vermittelten. Die relative Beitrag jedes Hinweises zur thematischen Rollenrepräsentation wurde durch die Identifizierung des Agenten bewertet. Genauigkeits- und Latenzdaten wurden nach dem Satz von einer Stichprobe von L1- und L2-Sprechern (Zona & Felser, 2023) sowie von einer Stichprobe von L1-Sprechern über die Lebensspanne hinweg (Zona & Reifegerste, in Überprüfung) gesammelt. Darüber hinaus wurden die momentane Dynamik der Zuweisung thematischer Rollen mit Mausverfolgung in einer jungen L1-Stichprobe untersucht (Zona, in Überprüfung). Die folgenden Fragen wurden adressiert: (1) Wie beeinflussen visuelle Szenen thematische Rollenrepräsentationen kanonischer und nichtkanonischer Sätze? (2) Wie variiert der Verlass auf visuelle Szenen, Kasus- und Wortstellungs-Hinweise bei L1- und L2-Sprechern? (3) Wie verändert sich der Verlass auf visuelle Szenen, Kasus- und Wortstellungs-Hinweise im Laufe des Lebens? Die Ergebnisse zeigten zuverlässige Effekte der Inkongruenz visuell und sprachlich vermittelter thematischer Beziehungen auf thematische Rollenrepräsentationen. Inkongruente (vs. kongruente) Szenen führten zu langsameren und weniger genauen Reaktionen auf Agentenidentifikationsproben, die nach dem Satz präsentiert wurden. Der kürzlich inspizierte Agent wurde etwa 300 ms nach Beginn des Versuchs als der wahrscheinlichste Agent betrachtet, und die Übereinstimmung von visuellen Szenen und Wortstellung ermöglichte es den Verstehenden, thematische Rollen vorherzusagen. L2-Teilnehmer (vs. L1) verließen sich insgesamt stärker auf die Wortstellung. Auf nichtkanonische Klauseln, die mit inkongruenten visuellen Szenen präsentiert wurden, sagte die Sensibilität für den Kasus die Größe der Inkongruenzeffekte besser vorher als die Einteilung in L1-L2. Diese Ergebnisse legen nahe, dass die Fähigkeit des Einzelnen, bestimmte Hinweise auszunutzen, ihr Gewicht vorhersagen könnte. Die Sensibilität für den Kasus blieb über die Lebensspanne hinweg stabil, während sich visuelle Effekte mit zunehmendem Alter verstärkten und durch individuelle Interferenz-Hemmungslevel moduliert wurden. Somit können altersbedingte Veränderungen im Verständnis von einer stärkeren Abhängigkeit von visuell (vs. sprachlich) vermittelter Bedeutung herrühren. Diese Muster stellen einen Beleg für eine Präferenz für kürzlich eingeführte Rollen dar - d. h. eine Tendenz, visuell vermittelte thematische Rollen den gleichen Referenten in zeitlich koordinierten Äußerungen neu zuzuweisen. Die Ergebnisse (i) erweitern die Verallgemeinerbarkeit der Vorhersagen des CIAs über Stimuli, Aufgaben, Populationen und Interessenmaße hinweg, (ii) tragen zur Spezifizierung der Ergebnisse und Mechanismen bei der Erkennung und Indizierung inkongruenter Repräsentationen innerhalb des CIAs bei und (iii) sprechen aktuelle Bemühungen an, die Quellen der Variabilität im Satzverständnis zu verstehen. KW - spoken sentence comprehension KW - visuo-linguistic integration KW - thematic-role assignment KW - Sprachverständnis KW - Zuweisung thematischer Rollen KW - visuell-linguistische Integration Y1 - 2024 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-631857 ER - TY - THES A1 - Limberger, Daniel T1 - Concepts and techniques for 3D-embedded treemaps and their application to software visualization T1 - Konzepte und Techniken für 3D-eingebettete Treemaps und ihre Anwendung auf Softwarevisualisierung N2 - This thesis addresses concepts and techniques for interactive visualization of hierarchical data using treemaps. It explores (1) how treemaps can be embedded in 3D space to improve their information content and expressiveness, (2) how the readability of treemaps can be improved using level-of-detail and degree-of-interest techniques, and (3) how to design and implement a software framework for the real-time web-based rendering of treemaps embedded in 3D. With a particular emphasis on their application, use cases from software analytics are taken to test and evaluate the presented concepts and techniques. Concerning the first challenge, this thesis shows that a 3D attribute space offers enhanced possibilities for the visual mapping of data compared to classical 2D treemaps. In particular, embedding in 3D allows for improved implementation of visual variables (e.g., by sketchiness and color weaving), provision of new visual variables (e.g., by physically based materials and in situ templates), and integration of visual metaphors (e.g., by reference surfaces and renderings of natural phenomena) into the three-dimensional representation of treemaps. For the second challenge—the readability of an information visualization—the work shows that the generally higher visual clutter and increased cognitive load typically associated with three-dimensional information representations can be kept low in treemap-based representations of both small and large hierarchical datasets. By introducing an adaptive level-of-detail technique, we cannot only declutter the visualization results, thereby reducing cognitive load and mitigating occlusion problems, but also summarize and highlight relevant data. Furthermore, this approach facilitates automatic labeling, supports the emphasis on data outliers, and allows visual variables to be adjusted via degree-of-interest measures. The third challenge is addressed by developing a real-time rendering framework with WebGL and accumulative multi-frame rendering. The framework removes hardware constraints and graphics API requirements, reduces interaction response times, and simplifies high-quality rendering. At the same time, the implementation effort for a web-based deployment of treemaps is kept reasonable. The presented visualization concepts and techniques are applied and evaluated for use cases in software analysis. In this domain, data about software systems, especially about the state and evolution of the source code, does not have a descriptive appearance or natural geometric mapping, making information visualization a key technology here. In particular, software source code can be visualized with treemap-based approaches because of its inherently hierarchical structure. With treemaps embedded in 3D, we can create interactive software maps that visually map, software metrics, software developer activities, or information about the evolution of software systems alongside their hierarchical module structure. Discussions on remaining challenges and opportunities for future research for 3D-embedded treemaps and their applications conclude the thesis. N2 - Diese Doktorarbeit behandelt Konzepte und Techniken zur interaktiven Visualisierung hierarchischer Daten mit Hilfe von Treemaps. Sie untersucht (1), wie Treemaps im 3D-Raum eingebettet werden können, um ihre Informationsinhalte und Ausdrucksfähigkeit zu verbessern, (2) wie die Lesbarkeit von Treemaps durch Techniken wie Level-of-Detail und Degree-of-Interest verbessert werden kann, und (3) wie man ein Software-Framework für das Echtzeit-Rendering von Treemaps im 3D-Raum entwirft und implementiert. Dabei werden Anwendungsfälle aus der Software-Analyse besonders betont und zur Verprobung und Bewertung der Konzepte und Techniken verwendet. Hinsichtlich der ersten Herausforderung zeigt diese Arbeit, dass ein 3D-Attributraum im Vergleich zu klassischen 2D-Treemaps verbesserte Möglichkeiten für die visuelle Kartierung von Daten bietet. Insbesondere ermöglicht die Einbettung in 3D eine verbesserte Umsetzung von visuellen Variablen (z.B. durch Skizzenhaftigkeit und Farbverwebungen), die Bereitstellung neuer visueller Variablen (z.B. durch physikalisch basierte Materialien und In-situ-Vorlagen) und die Integration visueller Metaphern (z.B. durch Referenzflächen und Darstellungen natürlicher Phänomene) in die dreidimensionale Darstellung von Treemaps. Für die zweite Herausforderung – die Lesbarkeit von Informationsvisualisierungen – zeigt die Arbeit, dass die allgemein höhere visuelle Unübersichtlichkeit und die damit einhergehende, erhöhte kognitive Belastung, die typischerweise mit dreidimensionalen Informationsdarstellungen verbunden sind, in Treemap-basierten Darstellungen sowohl kleiner als auch großer hierarchischer Datensätze niedrig gehalten werden können. Durch die Einführung eines adaptiven Level-of-Detail-Verfahrens lassen sich nicht nur die Visualisierungsergebnisse übersichtlicher gestalten, die kognitive Belastung reduzieren und Verdeckungsprobleme verringern, sondern auch relevante Daten zusammenfassen und hervorheben. Darüber hinaus erleichtert dieser Ansatz eine automatische Beschriftung, unterstützt die Hervorhebung von Daten-Ausreißern und ermöglicht die Anpassung von visuellen Variablen über Degree-of-Interest-Maße. Die dritte Herausforderung wird durch die Entwicklung eines Echtzeit-Rendering-Frameworks mit WebGL und akkumulativem Multi-Frame-Rendering angegangen. Das Framework hebt mehrere Hardwarebeschränkungen und Anforderungen an die Grafik-API auf, verkürzt die Reaktionszeiten auf Interaktionen und vereinfacht qualitativ hochwertiges Rendering. Gleichzeitig wird der Implementierungsaufwand für einen webbasierten Einsatz von Treemaps geringgehalten. Die vorgestellten Visualisierungskonzepte und -techniken werden für Anwendungsfälle in der Softwareanalyse eingesetzt und evaluiert. In diesem Bereich haben Daten über Softwaresysteme, insbesondere über den Zustand und die Evolution des Quellcodes, keine anschauliche Erscheinung oder natürliche geometrische Zuordnung, so dass die Informationsvisualisierung hier eine Schlüsseltechnologie darstellt. Insbesondere Softwarequellcode kann aufgrund seiner inhärenten hierarchischen Struktur mit Hilfe von Treemap-basierten Ansätzen visualisiert werden. Mit in 3D-eingebetteten Treemaps können wir interaktive Softwarelagekarten erstellen, die z.B. Softwaremetriken, Aktivitäten von Softwareentwickler*innen und Informationen über die Evolution von Softwaresystemen in ihrer hierarchischen Modulstruktur abbilden und veranschaulichen. Diskussionen über verbleibende Herausforderungen und Möglichkeiten für zukünftige Forschung zu 3D-eingebetteten Treemaps und deren Anwendungen schließen die Arbeit ab. KW - treemaps KW - software visualization KW - software analytics KW - web-based rendering KW - degree-of-interest techniques KW - labeling KW - 3D-embedding KW - interactive visualization KW - progressive rendering KW - hierarchical data KW - 3D-Einbettung KW - Interessengrad-Techniken KW - hierarchische Daten KW - interaktive Visualisierung KW - Beschriftung KW - progressives Rendering KW - Softwareanalytik KW - Softwarevisualisierung KW - Treemaps KW - Web-basiertes Rendering Y1 - 2024 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-632014 ER - TY - THES A1 - Fitzner, Maria T1 - Cultivation of selected halophytes in saline indoor farming and modulation of cultivation conditions to optimize metabolite profiles for human nutrition T1 - Kultivierung ausgewählter Halophyten im salinen Indoor Farming und Modulation der Anbaubedingungen zur Optimierung der Metabolitenprofile für die menschliche Ernährung N2 - With the many challenges facing the agricultural system, such as water scarcity, loss of arable land due to climate change, population growth, urbanization or trade disruptions, new agri-food systems are needed to ensure food security in the future. In addition, healthy diets are needed to combat non-communicable diseases. Therefore, plant-based diets rich in health-promoting plant secondary metabolites are desirable. A saline indoor farming system is representing a sustainable and resilient new agrifood system and can preserve valuable fresh water. Since indoor farming relies on artificial lighting, assessment of lighting conditions is essential. In this thesis, the cultivation of halophytes in a saline indoor farming system was evaluated and the influence of cultivation conditions were assessed in favor of improving the nutritional quality of halophytes for human consumption. Therefore, five selected edible halophyte species (Brassica oleracea var. palmifolia, Cochlearia officinalis, Atriplex hortensis, Chenopodium quinoa, and Salicornia europaea) were cultivated in saline indoor farming. The halophyte species were selected for to their salt tolerance levels and mechanisms. First, the suitability of halophytes for saline indoor farming and the influence of salinity on their nutritional properties, e.g. plant secondary metabolites and minerals, were investigated. Changes in plant performance and nutritional properties were observed as a function of salinity. The response to salinity was found to be species-specific and related to the salt tolerance mechanism of the halophytes. At their optimal salinity levels, the halophytes showed improved carotenoid content. In addition, a negative correlation was found between the nitrate and chloride content of halophytes as a function of salinity. Since chloride and nitrate can be antinutrient compounds, depending on their content, monitoring is essential, especially in halophytes. Second, regional brine water was introduced as an alternative saline water resource in the saline indoor farming system. Brine water was shown to be feasible for saline indoor farming of halophytes, as there was no adverse effect on growth or nutritional properties, e.g. carotenoids. Carotenoids were shown to be less affected by salt composition than by salt concentration. In addition, the interaction between the salinity and the light regime in indoor farming and greenhouse cultivation has been studied. There it was shown that interacting light regime and salinity alters the content of carotenoids and chlorophylls. Further, glucosinolate and nitrate content were also shown to be influenced by light regime. Finally, the influence of UVB light on halophytes was investigated using supplemental narrow-band UVB LEDs. It was shown that UVB light affects the growth, phenotype and metabolite profile of halophytes and that the UVB response is species specific. Furthermore, a modulation of carotenoid content in S. europaea could be achieved to enhance health-promoting properties and thus improve nutritional quality. This was shown to be dose-dependent and the underlying mechanisms of carotenoid accumulation were also investigated. Here it was revealed that carotenoid accumulation is related to oxidative stress. In conclusion, this work demonstrated the potential of halophytes as alternative vegetables produced in a saline indoor farming system for future diets that could contribute to ensuring food security in the future. To improve the sustainability of the saline indoor farming system, LED lamps and regional brine water could be integrated into the system. Since the nutritional properties have been shown to be influenced by salt, light regime and UVB light, these abiotic stressors must be taken into account when considering halophytes as alternative vegetables for human nutrition. N2 - Angesichts zahlreicher Herausforderungen wie Wasserknappheit oder Verlust landwirtschaftlicher Nutzflächen aufgrund des Klimawandels, Bevölkerungswachstum und Verstädterung sind neue Systeme der Agrar- und Lebensmittelproduktion (Agrifood-Systeme) erforderlich, um die Ernährungssicherheit in der Zukunft zu gewährleisten. Eines dieser neuen Agrifood-Systeme ist das Indoor Farming. Es bietet den Vorteil einer nachhaltigen und resilienten Nahrungsmittelproduktion. In Kombination mit dem Anbau von Salzpflanzen kann wertvolles Süßwasser eingespart werden, da diese mit Salzwasser bewässert werden können. Durch eine pflanzliche Ernährung, die reich an sekundären Pflanzenstoffen mit gesundheitsfördernden Eigenschaften ist, kann eine gesunde Ernährung erreicht werden. Dadurch kann das Risiko für nicht übertragbare Krankheiten wie Diabetes oder Herz-Kreislauf-Erkrankungen gesenkt werden. In dieser Arbeit wurde untersucht, ob salztolerante Pflanzen (Halophyten) als alternatives Gemüse für die menschliche Ernährung geeignet sind und ob sie in einem salzhaltigen Indoor Farming System angebaut werden können. Zu diesem Zweck wurden fünf essbare Halophyten (Palmkohl, Gartenmelde, Löffelkraut, Quinoa und Europäische Queller) untersucht. Mit diesen Halophyten wurden verschiedene Pflanzenstudien durchgeführt, um den Einfluss von Salz, Licht und UVB-Strahlung auf für die menschliche Ernährung relevante Inhaltsstoffe zu untersuchen. In der ersten Studie wurde untersucht, welchen Einfluss das salzhaltige Indoor Farming System auf die Salzpflanzen und ihre Inhaltsstoffe hat. Es konnte festgestellt werden, dass sich die Inhaltsstoffe mit steigender Salzkonzentration im Wasser verändern. Weiterhin wurde untersucht, ob sich regionales Solewasser aus einer Thermalquelle als Salzwasserressource eignet. Es zeigte sich, dass das Solewasser keine negativen Auswirkungen auf das Wachstum oder die Inhaltsstoffe hat. Darüber hinaus wurde das Indoor-Farming System mit dem klassischen Gewächshausanbau von Salzpflanzen verglichen. Dabei zeigte sich ein Einfluss der unterschiedlichen Beleuchtung auf die Inhaltsstoffe. Schließlich wurde der Einsatz von UVB-LEDs als zusätzliche Beleuchtung getestet. Dabei wurde eine Verbesserung des Inhaltsstoffprofils erreicht. Zusammenfassend konnte in dieser Arbeit gezeigt werden, dass Salzpflanzen in Indoor-Farming kultiviert werden können und dass die ernährungsphysiologischen Eigenschaften durch Salz, Beleuchtung und UVB-Licht beeinflusst werden können. KW - halophytes KW - indoor farming KW - secondary plant metabolites KW - carotenoids KW - saline agriculture KW - future food KW - human diet KW - Carotinoide KW - Nahrung der Zukunft KW - Halophyten KW - menschliche Ernährung KW - Indoor farming KW - Saline Landwirtschaft KW - pflanzliche Sekundär Metabolite Y1 - 2024 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-626974 ER - TY - RPRT A1 - Andres, Maximilian T1 - Equilibrium selection in infinitely repeated games with communication T2 - CEPA Discussion Papers N2 - The present paper proposes a novel approach for equilibrium selection in the infinitely repeated prisoner’s dilemma where players can communicate before choosing their strategies. This approach yields a critical discount factor that makes different predictions for cooperation than the usually considered sub-game perfect or risk dominance critical discount factors. In laboratory experiments, we find that our factor is useful for predicting cooperation. For payoff changes where the usually considered factors and our factor make different predictions, the observed cooperation is consistent with the predictions based on our factor. T3 - CEPA Discussion Papers - 75 KW - cooperation KW - communication KW - infinitely repeated game KW - machine learning Y1 - 2024 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-631800 SN - 2628-653X IS - 75 ER - TY - GEN A1 - Palmer, Matthew D. A1 - Gregory, Jonathan A1 - Bagge, Meike A1 - Calvert, Daley A1 - Hagedoorn, Jan Marius A1 - Howard, Tom A1 - Klemann, Volker A1 - Lowe, Jason A. A1 - Roberts, Chris A1 - Slangen, Aimee B. A. A1 - Spada, Giorgio T1 - Exploring the drivers of global and local sea‐level change over the 21st century and beyond T2 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe N2 - We present a new set of global and local sea‐level projections at example tide gauge locations under the RCP2.6, RCP4.5, and RCP8.5 emissions scenarios. Compared to the CMIP5‐based sea‐level projections presented in IPCC AR5, we introduce a number of methodological innovations, including (i) more comprehensive treatment of uncertainties, (ii) direct traceability between global and local projections, and (iii) exploratory extended projections to 2300 based on emulation of individual CMIP5 models. Combining the projections with observed tide gauge records, we explore the contribution to total variance that arises from sea‐level variability, different emissions scenarios, and model uncertainty. For the period out to 2300 we further breakdown the model uncertainty by sea‐level component and consider the dependence on geographic location, time horizon, and emissions scenario. Our analysis highlights the importance of local variability for sea‐level change in the coming decades and the potential value of annual‐to‐decadal predictions of local sea‐level change. Projections to 2300 show a substantial degree of committed sea‐level rise under all emissions scenarios considered and highlight the reduced future risk associated with RCP2.6 and RCP4.5 compared to RCP8.5. Tide gauge locations can show large ( > 50%) departures from the global average, in some cases even reversing the sign of the change. While uncertainty in projections of the future Antarctic ice dynamic response tends to dominate post‐2100, we see substantial differences in the breakdown of model variance as a function of location, time scale, and emissions scenario. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 1353 KW - climate change KW - CMIP5 models KW - RCP scenarios KW - sea-level projections KW - tide gauge observations Y1 - 2020 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-549881 SN - 1866-8372 IS - 9 ER - TY - GEN A1 - Varykhalov, Andrei A1 - Freyse, Friedrich A1 - Aguilera, Irene A1 - Battiato, Marco A1 - Krivenkov, Maxim A1 - Marchenko, Dmitry A1 - Bihlmayer, Gustav A1 - Blugel, Stefan A1 - Rader, Oliver A1 - Sanchez-Barriga, Jaime T1 - Effective mass enhancement and ultrafast electron dynamics of Au(111) surface state coupled to a quantum well T2 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe N2 - We show that, although the equilibrium band dispersion of the Shockley-type surface state of two-dimensional Au(111) quantum films grown on W(110) does not deviate from the expected free-electron-like behavior, its nonequilibrium energy-momentum dispersion probed by time- and angle-resolved photoemission exhibits a remarkable kink above the Fermi level due to a significant enhancement of the effective mass. The kink is pronounced for certain thicknesses of the Au quantum well and vanishes in the very thin limit. We identify the kink as induced by the coupling between the Au(111) surface state and emergent quantum-well states which probe directly the buried gold-tungsten interface. The signatures of the coupling are further revealed by our time-resolved measurements which show that surface state and quantum-well states thermalize together behaving as dynamically locked electron populations. In particular, relaxation of hot carriers following laser excitation is similar for both surface state and quantum-well states and much slower than expected for a bulk metallic system. The influence of quantum confinement on the interplay between elementary scattering processes of the electrons at the surface and ultrafast carrier transport in the direction perpendicular to the surface is shown to be the reason for the slow electron dynamics. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 1354 KW - AG KW - films Y1 - 2020 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-549892 SN - 1866-8372 IS - 1 ER - TY - GEN A1 - Schulz, Christian A1 - Lieutenant, Klaus A1 - Xiao, Jie A1 - Hofmann, Tommy A1 - Wong, Deniz A1 - Habicht, Klaus T1 - Characterization of the soft X-ray spectrometer PEAXIS at BESSY II T2 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe N2 - The performance of the recently commissioned spectrometer PEAXIS for resonant inelastic soft X-ray scattering (RIXS) and X-ray photoelectron spectroscopy and its hosting beamline U41-PEAXIS at the BESSY II synchrotron are characterized. The beamline provides linearly polarized light from 180 eV to 1600 eV allowing for RIXS measurements in the range 200-1200 eV. The monochromator optics can be operated in different configurations to provide either high flux with up to 10(12) photons s(-1) within the focal spot at the sample or high energy resolution with a full width at half maximum of <40 meV at an incident photon energy of similar to 400 eV. The measured total energy resolution of the RIXS spectrometer is in very good agreement with theoretically predicted values obtained by ray-tracing simulations. PEAXIS features a 5 m-long RIXS spectrometer arm that can be continuously rotated about the sample position by 106 degrees within the horizontal photon scattering plane, thus enabling the study of momentum-transfer-dependent excitations. Selected scientific examples are presented to demonstrate the instrument capabilities, including measurements of excitations in single-crystalline NiO and in liquid acetone employing a fluid cell sample manipulator. Planned upgrades of the beamline and the RIXS spectrometer to further increase the energy resolution to similar to 100 meV at 1000 eV incident photon energy are discussed. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 1355 KW - resonant inelastic X-ray scattering; KW - X-ray photoelectron spectroscopy KW - soft X-ray spectroscopy KW - soft X-ray beamline KW - X-ray emission KW - X-ray absorption KW - BESSY II. Y1 - 2020 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-549928 SN - 1866-8372 ER -