TY - JOUR A1 - Tofelde, Stefanie A1 - Bufe, Aaron A1 - Turowski, Jens M. T1 - Hillslope Sediment Supply Limits Alluvial Valley Width JF - AGU Advances N2 - River-valley morphology preserves information on tectonic and climatic conditions that shape landscapes. Observations suggest that river discharge and valley-wall lithology are the main controls on valley width. Yet, current models based on these observations fail to explain the full range of cross-sectional valley shapes in nature, suggesting hitherto unquantified controls on valley width. In particular, current models cannot explain the existence of paired terrace sequences that form under cyclic climate forcing. Paired river terraces are staircases of abandoned floodplains on both valley sides, and hence preserve past valley widths. Their formation requires alternating phases of predominantly river incision and predominantly lateral planation, plus progressive valley narrowing. While cyclic Quaternary climate changes can explain shifts between incision and lateral erosion, the driving mechanism of valley narrowing is unknown. Here, we extract valley geometries from climatically formed, alluvial river-terrace sequences and show that across our dataset, the total cumulative terrace height (here: total valley height) explains 90%–99% of the variance in valley width at the terrace sites. This finding suggests that valley height, or a parameter that scales linearly with valley height, controls valley width in addition to river discharge and lithology. To explain this valley-width-height relationship, we reformulate existing valley-width models and suggest that, when adjusting to new boundary conditions, alluvial valleys evolve to a width at which sediment removal from valley walls matches lateral sediment supply from hillslope erosion. Such a hillslope-channel coupling is not captured in current valley-evolution models. Our model can explain the existence of paired terrace sequences under cyclic climate forcing and relates valley width to measurable field parameters. Therefore, it facilitates the reconstruction of past climatic and tectonic conditions from valley topography. Y1 - 2022 U6 - https://doi.org/10.1029/2021AV000641 SN - 2576-604X PB - American Geophysical Union (AGU); Wiley CY - Hoboken, New Jersey, USA ER - TY - JOUR A1 - Miklashevsky, Alex A1 - Fischer, Martin H. A1 - Lindemann, Oliver T1 - Spatial-numerical associations without a motor response? Grip force says ‘Yes’ JF - Acta Psychologica N2 - In numerical processing, the functional role of Spatial-Numerical Associations (SNAs, such as the association of smaller numbers with left space and larger numbers with right space, the Mental Number Line hypothesis) is debated. Most studies demonstrate SNAs with lateralized responses, and there is little evidence that SNAs appear when no response is required. We recorded passive holding grip forces in no-go trials during number processing. In Experiment 1, participants performed a surface numerical decision task (“Is it a number or a letter?”). In Experiment 2, we used a deeper semantic task (“Is this number larger or smaller than five?”). Despite instruction to keep their grip force constant, participants' spontaneous grip force changed in both experiments: Smaller numbers led to larger force increase in the left than in the right hand in the numerical decision task (500–700 ms after stimulus onset). In the semantic task, smaller numbers again led to larger force increase in the left hand, and larger numbers increased the right-hand holding force. This effect appeared earlier (180 ms) and lasted longer (until 580 ms after stimulus onset). This is the first demonstration of SNAs with passive holding force. Our result suggests that (1) explicit motor response is not a prerequisite for SNAs to appear, and (2) the timing and strength of SNAs are task-dependent. (216 words). KW - SNARC KW - Mental number line KW - Number processing KW - Embodied cognition KW - Grip force KW - Motor system Y1 - 2022 U6 - https://doi.org/10.1016/j.actpsy.2022.103791 SN - 1873-6297 VL - 231 SP - 1 EP - 17 PB - Elsevier CY - Amsterdam ER - TY - RPRT A1 - Kienbaum, Janna A1 - Würfl, Katja A1 - Favella, Gianpiero T1 - Leitfaden für einen qualitativen Methoden- und Feldbericht N2 - Der Leitfaden für einen qualitativen Methoden- und Feldbericht ist im Rahmen des DFG-Verbundprojektes “FDNext” (2020-2023) entstanden und dient als Orientierungshilfe für die Dokumentation erhobener Daten mit dem Schwerpunkt auf die qualitative Bildungsforschung. KW - research data management KW - rdm in disciplines KW - data documentation KW - educational sciences KW - qualitative research data KW - Forschungsdatenmanagement KW - disziplinspezifisches FDM KW - Datendokumentation KW - Bildungswissenschaften KW - Qualitative Forschungsdaten Y1 - 2022 U6 - https://doi.org/10.5281/zenodo.7247993 ER - TY - JOUR A1 - Lindner, Nadja A1 - Moeller, Korbinian A1 - Hildebrandt, Frauke A1 - Hasselhorn, Marcus A1 - Lonnemann, Jan T1 - Children's use of egocentric reference frames in spatial language is related to their numerical magnitude understanding JF - Frontiers in Psychology N2 - Numerical magnitude information is assumed to be spatially represented in the form of a mental number line defined with respect to a body-centred, egocentric frame of reference. In this context, spatial language skills such as mastery of verbal descriptions of spatial position (e.g., in front of, behind, to the right/left) have been proposed to be relevant for grasping spatial relations between numerical magnitudes on the mental number line. We examined 4- to 5-year-old’s spatial language skills in tasks that allow responses in egocentric and allocentric frames of reference, as well as their relative understanding of numerical magnitude (assessed by a number word comparison task). In addition, we evaluated influences of children’s absolute understanding of numerical magnitude assessed by their number word comprehension (montring different numbers using their fingers) and of their knowledge on numerical sequences (determining predecessors and successors as well as identifying missing dice patterns of a series). Results indicated that when considering responses that corresponded to the egocentric perspective, children’s spatial language was associated significantly with their relative numerical magnitude understanding, even after controlling for covariates, such as children’s SES, mental rotation skills, and also absolute magnitude understanding or knowledge on numerical sequences. This suggests that the use of egocentric reference frames in spatial language may facilitate spatial representation of numbers along a mental number line and thus seem important for preschoolers’ relative understanding of numerical magnitude. KW - spatial language KW - frames of reference KW - numerical development KW - mental number line KW - preschool children Y1 - 2022 U6 - https://doi.org/10.3389/fpsyg.2022.943191 SN - 1664-1078 SP - 1 EP - 13 PB - Frontiers CY - Lausanne, Schweiz ER - TY - JOUR A1 - Reeg, Jette A1 - Strigl, Lea A1 - Jeltsch, Florian T1 - Agricultural buffer zone thresholds to safeguard functional bee diversity BT - Insights from a community modeling approach JF - Ecology and Evolution N2 - Wild bee species are important pollinators in agricultural landscapes. However, population decline was reported over the last decades and is still ongoing. While agricultural intensification is a major driver of the rapid loss of pollinating species, transition zones between arable fields and forest or grassland patches, i.e., agricultural buffer zones, are frequently mentioned as suitable mitigation measures to support wild bee populations and other pollinator species. Despite the reported general positive effect, it remains unclear which amount of buffer zones is needed to ensure a sustainable and permanent impact for enhancing bee diversity and abundance. To address this question at a pollinator community level, we implemented a process-based, spatially explicit simulation model of functional bee diversity dynamics in an agricultural landscape. More specifically, we introduced a variable amount of agricultural buffer zones (ABZs) at the transition of arable to grassland, or arable to forest patches to analyze the impact on bee functional diversity and functional richness. We focused our study on solitary bees in a typical agricultural area in the Northeast of Germany. Our results showed positive effects with at least 25% of virtually implemented agricultural buffer zones. However, higher amounts of ABZs of at least 75% should be considered to ensure a sufficient increase in Shannon diversity and decrease in quasi-extinction risks. These high amounts of ABZs represent effective conservation measures to safeguard the stability of pollination services provided by solitary bee species. As the model structure can be easily adapted to other mobile species in agricultural landscapes, our community approach offers the chance to compare the effectiveness of conservation measures also for other pollinator communities in future. KW - agricultural landscape KW - buffer zones KW - community model KW - functional traits KW - solitary bees KW - spatially explicit Y1 - 2022 U6 - https://doi.org/10.1002/ece3.8748 SN - 2045-7758 VL - 12 SP - 1 EP - 17 PB - Wiley Online Library CY - Hoboken, New Jersey, USA ET - 3 ER - TY - JOUR A1 - Liebe, Thomas A1 - Dordevic, Milos A1 - Kaufmann, Jörn A1 - Avetisyan, Araks A1 - Skalej, Martin A1 - Müller, Notger Germar T1 - Investigation of the functional pathogenesis of mild cognitive impairment by localisation-based locus coeruleus resting-state fMRI JF - Human Brain Mapping N2 - Dementia as one of the most prevalent diseases urges for a better understanding of the central mechanisms responsible for clinical symptoms, and necessitates improvement of actual diagnostic capabilities. The brainstem nucleus locus coeruleus (LC) is a promising target for early diagnosis because of its early structural alterations and its relationship to the functional disturbances in the patients. In this study, we applied our improved method of localisation-based LC resting-state fMRI to investigate the differences in central sensory signal processing when comparing functional connectivity (fc) of a patient group with mild cognitive impairment (MCI, n = 28) and an age-matched healthy control group (n = 29). MCI and control participants could be differentiated in their Mini-Mental-State-Examination (MMSE) scores (p < .001) and LC intensity ratio (p = .010). In the fMRI, LC fc to anterior cingulate cortex (FDR p < .001) and left anterior insula (FDR p = .012) was elevated, and LC fc to right temporoparietal junction (rTPJ, FDR p = .012) and posterior cingulate cortex (PCC, FDR p = .021) was decreased in the patient group. Importantly, LC to rTPJ connectivity was also positively correlated to MMSE scores in MCI patients (p = .017). Furthermore, we found a hyperactivation of the left-insula salience network in the MCI patients. Our results and our proposed disease model shed new light on the functional pathogenesis of MCI by directing to attentional network disturbances, which could aid new therapeutic strategies and provide a marker for diagnosis and prediction of disease progression. KW - attention KW - locus coeruleus KW - mild cognitive impairment KW - resting-state fMRI Y1 - 2022 U6 - https://doi.org/10.1002/hbm.26039 SN - 1097-0193 VL - 43 SP - 5630 EP - 5642 PB - Wiley CY - New York, NY, USA ET - 18 ER - TY - JOUR A1 - Kayhan, Ezgi A1 - Matthes, Daniel A1 - Marriott Haresign, Ira A1 - Bánki, Anna A1 - Michel, Christine A1 - Langeloh, Miriam A1 - Wass, Sam A1 - Hoehl, Stefanie T1 - DEEP: A dual EEG pipeline for developmental hyperscanning studies JF - Developmental Cognitive Neuroscience N2 - Cutting-edge hyperscanning methods led to a paradigm shift in social neuroscience. It allowed researchers to measure dynamic mutual alignment of neural processes between two or more individuals in naturalistic contexts. The ever-growing interest in hyperscanning research calls for the development of transparent and validated data analysis methods to further advance the field. We have developed and tested a dual electroencephalography (EEG) analysis pipeline, namely DEEP. Following the preprocessing of the data, DEEP allows users to calculate Phase Locking Values (PLVs) and cross-frequency PLVs as indices of inter-brain phase alignment of dyads as well as time-frequency responses and EEG power for each participant. The pipeline also includes scripts to control for spurious correlations. Our goal is to contribute to open and reproducible science practices by making DEEP publicly available together with an example mother-infant EEG hyperscanning dataset. KW - Developmental hyperscanning KW - Dual EEG analysis KW - Adult-child interaction KW - Phase Locking Value KW - PLV KW - Cross-frequency PLV KW - FieldTrip Y1 - 2022 U6 - https://doi.org/10.1016/j.dcn.2022.101104 SN - 1878-9307 VL - 54 SP - 1 EP - 11 PB - Elsevier CY - Amsterdam, Niederlande ER - TY - JOUR A1 - Tiedemann, Kim A1 - Iobbi-Nivol, Chantal A1 - Leimkühler, Silke T1 - The Role of the Nucleotides in the Insertion of the bis-Molybdopterin Guanine Dinucleotide Cofactor into apo-Molybdoenzymes JF - Molecules N2 - The role of the GMP nucleotides of the bis-molybdopterin guanine dinucleotide (bis-MGD) cofactor of the DMSO reductase family has long been a subject of discussion. The recent characterization of the bis-molybdopterin (bis-Mo-MPT) cofactor present in the E. coli YdhV protein, which differs from bis-MGD solely by the absence of the nucleotides, now enables studying the role of the nucleotides of bis-MGD and bis-MPT cofactors in Moco insertion and the activity of molybdoenzymes in direct comparison. Using the well-known E. coli TMAO reductase TorA as a model enzyme for cofactor insertion, we were able to show that the GMP nucleotides of bis-MGD are crucial for the insertion of the bis-MGD cofactor into apo-TorA. KW - bis-MGD KW - chaperone KW - molybdenum cofactor KW - TMAO reductase Y1 - 2022 U6 - https://doi.org/10.3390/molecules27092993 SN - 1420-3049 VL - 27 SP - 1 EP - 15 PB - MDPI CY - Basel, Schweiz ET - 9 ER - TY - JOUR A1 - Weithoff, Guntram A1 - Bell, Elanor Margaret T1 - Complex Trophic Interactions in an Acidophilic Microbial Community JF - Microorganisms N2 - Extreme habitats often harbor specific communities that differ substantially from non-extreme habitats. In many cases, these communities are characterized by archaea, bacteria and protists, whereas the number of species of metazoa and higher plants is relatively low. In extremely acidic habitats, mostly prokaryotes and protists thrive, and only very few metazoa thrive, for example, rotifers. Since many studies have investigated the physiology and ecology of individual species, there is still a gap in research on direct, trophic interactions among extremophiles. To fill this gap, we experimentally studied the trophic interactions between a predatory protist (Actinophrys sol, Heliozoa) and its prey, the rotifers Elosa woralli and Cephalodella sp., the ciliate Urosomoida sp. and the mixotrophic protist Chlamydomonas acidophila (a green phytoflagellate, Chlorophyta). We found substantial predation pressure on all animal prey. High densities of Chlamydomonas acidophila reduced the predation impact on the rotifers by interfering with the feeding behaviour of A. sol. These trophic relations represent a natural case of intraguild predation, with Chlamydomonas acidophila being the common prey and the rotifers/ciliate and A. sol being the intraguild prey and predator, respectively. We further studied this intraguild predation along a resource gradient using Cephalodella sp. as the intraguild prey. The interactions among the three species led to an increase in relative rotifer abundance with increasing resource (Chlamydomonas) densities. By applying a series of laboratory experiments, we revealed the complexity of trophic interactions within a natural extremophilic community. KW - acid mine drainage KW - extremophiles KW - food web KW - heliozoa KW - intraguild predation KW - mining lakes KW - Rotifera Y1 - 2022 U6 - https://doi.org/10.3390/microorganisms10071340 SN - 2076-2607 VL - 10 SP - 1 EP - 10 PB - MDPI CY - Basel, Schweiz ET - 7 ER - TY - BOOK A1 - Weiß, Norman A1 - Verlaan, Stephanie A1 - Vasquez Carruthers, Juan Francisco A1 - Mair, Theresa A1 - Conner, Sean A1 - Maaser, Lucas A1 - Röthlisberger, Livia ED - Weiß, Norman T1 - Transitional Justice BT - Theoretical and Practical Approaches T3 - Potsdamer Studien zu Staat, Recht und Politik N2 - This publication deals with the topic of transitional justice. In six case studies, the authors link theoretical and practical implications in order to develop some innovative approaches. Their proposals might help to deal more effectively with the transition of societies, legal orders and political systems. Young academics from various backgrounds provide fresh insights and demonstrate the relevance of the topic. The chapters analyse transitions and conflicts in Sierra Leone, Argentina, Nicaragua, Nepal, and South Sudan as well as Germany’s colonial genocide in Namibia. Thus, the book provides the reader with new insights and contributes to the ongoing debate about transitional justice. N2 - Gegenstand dieser Publikation ist das Thema „Transitional Justice“. In sechs Fallstudien verknüpfen die Autoren theoretische und praktische Implikationen, um innovative Ansätze zu entwickeln. Ihre Vorschläge wollen dazu beitragen, den Übergangsprozess von Gesellschaften, Rechtsordnungen und politischen Systemen effektiver zu gestalten. Nachwuchswissenschaftler mit unterschiedlichem fachlichem Hintergrund geben hier neue Einblicke und zeigen die fortdauernde Relevanz des Themas. Die Kapitel analysieren Übergänge und Konflikte in Sierra Leone, Argentinien, Nicaragua, Nepal und Süd-Sudan sowie den kolonialen Völkermord in Namibia. So liefert das Buch dem Leser neue Erkenntnisse und trägt zur laufenden Debatte über das Thema „Transitional Justice“ bei. T3 - Potsdamer Studien zu Staat, Recht und Politik - 7 KW - transitional justice KW - transformation KW - transformative justice KW - reconciliation KW - political opportunism KW - Übergangsjustiz KW - Transformation KW - Versöhnung KW - Demokratisierung Y1 - 2022 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-431711 SN - 978-3-86956-473-9 SN - 1869-2443 SN - 1867-2663 IS - 7 PB - Universitätsverlag Potsdam CY - Potsdam ER - TY - JOUR A1 - Prasse, Paul A1 - Iversen, Pascal A1 - Lienhard, Matthias A1 - Thedinga, Kristina A1 - Herwig, Ralf A1 - Scheffer, Tobias T1 - Pre-Training on In Vitro and Fine-Tuning on Patient-Derived Data Improves Deep Neural Networks for Anti-Cancer Drug-Sensitivity Prediction JF - MDPI N2 - Large-scale databases that report the inhibitory capacities of many combinations of candidate drug compounds and cultivated cancer cell lines have driven the development of preclinical drug-sensitivity models based on machine learning. However, cultivated cell lines have devolved from human cancer cells over years or even decades under selective pressure in culture conditions. Moreover, models that have been trained on in vitro data cannot account for interactions with other types of cells. Drug-response data that are based on patient-derived cell cultures, xenografts, and organoids, on the other hand, are not available in the quantities that are needed to train high-capacity machine-learning models. We found that pre-training deep neural network models of drug sensitivity on in vitro drug-sensitivity databases before fine-tuning the model parameters on patient-derived data improves the models’ accuracy and improves the biological plausibility of the features, compared to training only on patient-derived data. From our experiments, we can conclude that pre-trained models outperform models that have been trained on the target domains in the vast majority of cases. KW - deep neural networks KW - drug-sensitivity prediction KW - anti-cancer drugs Y1 - 2022 U6 - https://doi.org/10.3390/cancers14163950 SN - 2072-6694 VL - 14 SP - 1 EP - 14 PB - MDPI CY - Basel, Schweiz ET - 16 ER - TY - JOUR A1 - Dordevic, Milos A1 - Hölzer, Sonja A1 - Russo, Augusta A1 - García Alanis, José Carlos A1 - Müller, Notger Germar T1 - The Role of the Precuneus in Human Spatial Updating in a Real Environment Setting—A cTBS Study JF - Life N2 - As we move through an environment, we update positions of our body relative to other objects, even when some objects temporarily or permanently leave our field of view—this ability is termed egocentric spatial updating and plays an important role in everyday life. Still, our knowledge about its representation in the brain is still scarce, with previous studies using virtual movements in virtual environments or patients with brain lesions suggesting that the precuneus might play an important role. However, whether this assumption is also true when healthy humans move in real environments where full body-based cues are available in addition to the visual cues typically used in many VR studies is unclear. Therefore, in this study we investigated the role of the precuneus in egocentric spatial updating in a real environment setting in 20 healthy young participants who underwent two conditions in a cross-over design: (a) stimulation, achieved through applying continuous theta-burst stimulation (cTBS) to inhibit the precuneus and (b) sham condition (activated coil turned upside down). In both conditions, participants had to walk back with blindfolded eyes to objects they had previously memorized while walking with open eyes. Simplified trials (without spatial updating) were used as control condition, to make sure the participants were not affected by factors such as walking blindfolded, vestibular or working memory deficits. A significant interaction was found, with participants performing better in the sham condition compared to real stimulation, showing smaller errors both in distance and angle. The results of our study reveal evidence of an important role of the precuneus in a real-environment egocentric spatial updating; studies on larger samples are necessary to confirm and further investigate this finding. KW - precuneus KW - spatial updating KW - TMS KW - cTBS Y1 - 2022 U6 - https://doi.org/10.3390/life12081239 SN - 2075-1729 VL - 12 SP - 1 EP - 13 PB - MDPI CY - Basel, Schweiz ET - 8 ER - TY - JOUR A1 - Westphal, Andrea A1 - Kalinowski, Eva A1 - Hoferichter, Clara Josepha A1 - Vock, Miriam T1 - K−12 teachers' stress and burnout during the COVID-19 pandemic: A systematic review JF - Frontiers in Psychology N2 - We present the first systematic literature review on stress and burnout in K−12 teachers during the COVID-19 pandemic. Based on a systematic literature search, we identified 17 studies that included 9,874 K−12 teachers from around the world. These studies showed some indication that burnout did increase during the COVID-19 pandemic. There were, however, almost no differences in the levels of stress and burnout experienced by K−12 teachers compared to individuals employed in other occupational fields. School principals' leadership styles emerged as an organizational characteristic that is highly relevant for K−12 teachers' levels of stress and burnout. Individual teacher characteristics associated with burnout were K−12 teachers' personality, self-efficacy in online teaching, and perceived vulnerability to COVID-19. In order to reduce stress, there was an indication that stress-management training in combination with training in technology use for teaching may be superior to stress-management training alone. Future research needs to adopt more longitudinal designs and examine the interplay between individual and organizational characteristics in the development of teacher stress and burnout during the COVID-19 pandemic and beyond. KW - burnout KW - stress KW - COVID-19 KW - pandemic KW - K−12 teachers KW - remote teaching Y1 - 2022 U6 - https://doi.org/10.3389/fpsyg.2022.920326 SN - 1664-1078 SP - 1 EP - 29 PB - Frontiers CY - Lausanne, Schweiz ER - TY - JOUR A1 - Block, Andrea A1 - Bonaventura, Klaus A1 - Grahn, Patricia A1 - Bestgen, Felix A1 - Wippert, Pia-Maria T1 - Stress management in pre-and postoperative care amongst practitioners and patients in cardiac catheterization laboratory: a study protocol JF - Frontiers in Cardiovascular Medicine N2 - Background: As the number of cardiac diseases continuously increases within the last years in modern society, so does cardiac treatment, especially cardiac catheterization. The procedure of a cardiac catheterization is challenging for both patients and practitioners. Several potential stressors of psychological or physical nature can occur during the procedure. The objective of the study is to develop and implement a stress management intervention for both practitioners and patients that aims to reduce the psychological and physical strain of a cardiac catheterization. Methods: The clinical study (DRKS00026624) includes two randomized controlled intervention trials with parallel groups, for patients with elective cardiac catheterization and practitioners at the catheterization lab, in two clinic sites of the Ernst-von-Bergmann clinic network in Brandenburg, Germany. Both groups received different interventions for stress management. The intervention for patients comprises a psychoeducational video with different stress management technics and additional a standardized medical information about the cardiac catheterization examination. The control condition includes the in hospitals practiced medical patient education before the examination (usual care). Primary and secondary outcomes are measured by physiological parameters and validated questionnaires, the day before (M1) and after (M2) the cardiac catheterization and at a postal follow-up 6 months later (M3). It is expected that people with standardized information and psychoeducation show reduced complications during cardiac catheterization procedures, better pre- and post-operative wellbeing, regeneration, mood and lower stress levels over time. The intervention for practitioners includes a Mindfulness-based stress reduction program (MBSR) over 8 weeks supervised by an experienced MBSR practitioner directly at the clinic site and an operative guideline. It is expected that practitioners with intervention show improved perceived and chronic stress, occupational health, physical and mental function, higher effort-reward balance, regeneration and quality of life. Primary and secondary outcomes are measured by physiological parameters (heart rate variability, saliva cortisol) and validated questionnaires and will be assessed before (M1) and after (M2) the MBSR intervention and at a postal follow-up 6 months later (M3). Physiological biomarkers in practitioners will be assessed before (M1) and after intervention (M2) on two work days and a two days off. Intervention effects in both groups (practitioners and patients) will be evaluated separately using multivariate variance analysis. Discussion: This study evaluates the effectiveness of two stress management intervention programs for patients and practitioners within cardiac catheter laboratory. Study will disclose strains during a cardiac catheterization affecting both patients and practitioners. For practitioners it may contribute to improved working conditions and occupational safety, preservation of earning capacity, avoidance of participation restrictions and loss of performance. In both groups less anxiety, stress and complications before and during the procedures can be expected. The study may add knowledge how to eliminate stressful exposures and to contribute to more (psychological) security, less output losses and exhaustion during work. The evolved stress management guidelines, training manuals and the standardized patient education should be transferred into clinical routines KW - stress management KW - mindfulness-based stress reduction KW - psychoeducation KW - standardized patient information KW - stress intervention KW - distress KW - study protocol KW - cardiac catheterization (CC) Y1 - 2022 U6 - https://doi.org/10.3389/fcvm.2022.830256 SN - 2297-055X VL - 9 SP - 1 EP - 10 PB - Frontiers CY - Lausanne, Schweiz ER - TY - JOUR A1 - Ellermann, Christin A1 - McDowell, Michelle A1 - Schirren, Clara O. A1 - Lindemann, Ann-Kathrin A1 - Koch, Severine A1 - Lohmann, Mark A1 - Jenny, Mirjam Annina T1 - Identifying content to improve risk assessment communications within the Risk Profile: Literature reviews and focus groups with expert and non-expert stakeholders JF - PLoS ONE N2 - Objective To improve consumer decision making, the results of risk assessments on food, feed, consumer products or chemicals need to be communicated not only to experts but also to non-expert audiences. The present study draws on evidence from literature reviews and focus groups with diverse stakeholders to identify content to integrate into an existing risk assessment communication (Risk Profile). Methods A combination of rapid literature reviews and focus groups with experts (risk assessors (n = 15), risk managers (n = 8)), and non-experts (general public (n = 18)) were used to identify content and strategies for including information about risk assessment results in the “Risk Profile” from the German Federal Institute for Risk Assessment. Feedback from initial focus groups was used to develop communication prototypes that informed subsequent feedback rounds in an iterative process. A final prototype was validated in usability tests with experts. Results Focus group feedback and suggestions from risk assessors were largely in line with findings from the literature. Risk managers and lay persons offered similar suggestions on how to improve the existing communication of risk assessment results (e.g., including more explanatory detail, reporting probabilities for individual health impairments, and specifying risks for subgroups in additional sections). Risk managers found information about quality of evidence important to communicate, whereas people from the general public found this information less relevant. Participants from lower educational backgrounds had difficulties understanding the purpose of risk assessments. User tests found that the final prototype was appropriate and feasible to implement by risk assessors. Conclusion An iterative and evidence-based process was used to develop content to improve the communication of risk assessments to the general public while being feasible to use by risk assessors. Remaining challenges include how to communicate dose-response relationships and standardise quality of evidence ratings across disciplines. Y1 - 2022 U6 - https://doi.org/10.1371/journal.pone.0266800 SN - 1553-7358 VL - 17 PB - Public Library of Science (PLOS) CY - San Francisco, California, USA ET - 4 ER - TY - JOUR A1 - Yang, Jingdan A1 - Kim, Jae-Hyun A1 - Tuomainen, Outi A1 - Rattanasone, Nan Xu T1 - Bilingual Mandarin-English preschoolers’ spoken narrative skills and contributing factors BT - A remote online story-retell study JF - Frontiers in Psyhology N2 - This study examined the spoken narrative skills of a group of bilingual Mandarin–English speaking 3–6-year-olds (N = 25) in Australia, using a remote online story-retell task. Bilingual preschoolers are an understudied population, especially those who are speaking typologically distinct languages such as Mandarin and English which have fewer structural overlaps compared to language pairs that are typologically closer, reducing cross-linguistic positive transfer. We examined these preschoolers’ spoken narrative skills as measured by macrostructures (the global organization of a story) and microstructures (linguistic structures, e.g., total number of utterances, nouns, verbs, phrases, and modifiers) across and within each language, and how various factors such as age and language experiences contribute to individual variability. The results indicate that our bilingual preschoolers acquired spoken narrative skills similarly across their two languages, i.e., showing similar patterns of productivity for macrostructure and microstructure elements in both of their two languages. While chronological age was positively correlated with macrostructures in both languages (showing developmental effects), there were no significant correlations between measures of language experiences and the measures of spoken narrative skills (no effects for language input/output). The findings suggest that although these preschoolers acquire two typologically diverse languages in different learning environments, Mandarin at home with highly educated parents, and English at preschool, they displayed similar levels of oral narrative skills as far as these macro−/micro-structure measures are concerned. This study provides further evidence for the feasibility of remote online assessment of preschoolers’ narrative skills. KW - narrative skills KW - Mandarin-English bilinguals KW - preschoolers KW - macrostructure KW - microstructure Y1 - 2022 U6 - https://doi.org/10.3389/fpsyg.2022.797602 SN - 1664-1078 VL - 13 PB - Frontiers Media SA CY - Lausanne, Schweiz ER - TY - JOUR A1 - Orland, Andreas A1 - Padubrin, Max T1 - Is there a gender hiring gap in academic economics? Evidence from a network analysis JF - Royal Society Open Science N2 - We collect a network dataset of tenured economics faculty in Austria, Germany and Switzerland. We rank the 100 institutions included with a minimum violation ranking. This ranking is positively and significantly correlated with the Times Higher Education ranking of economics institutions. According to the network ranking, individuals on average go down about 23 ranks from their doctoral institution to their employing institution. While the share of females in our dataset is only 15%, we do not observe a significant gender hiring gap (a difference in rank changes between male and female faculty). We conduct a robustness check with the Handelsblatt and the Times Higher Education ranking. According to these rankings, individuals on average go down only about two ranks. We do not observe a significant gender hiring gap using these two rankings (although the dataset underlying this analysis is small and these estimates are likely to be noisy). Finally, we discuss the limitations of the network ranking in our context. Y1 - 2022 U6 - https://doi.org/10.1098/rsos.210717 SN - 2054-5703 VL - 9 SP - 1 EP - 9 PB - Royal Society of London CY - London ET - 2 ER - TY - JOUR A1 - Teichmann, Erik A1 - Lewandowski, Heather J. A1 - Alemani, Micol T1 - Investigating students’ views of experimental physics in German laboratory classes JF - Physical Review Physics Education Research N2 - There is a large variety of goals instructors have for laboratory courses, with different courses focusing on different subsets of goals. An often implicit, but crucial, goal is to develop students’ attitudes, views, and expectations about experimental physics to align with practicing experimental physicists. The assessment of laboratory courses upon this one dimension of learning has been intensively studied in U.S. institutions using the Colorado Learning Attitudes about Science Survey for Experimental Physics (E-CLASS). However, there is no such an instrument available to use in Germany, and the influence of laboratory courses on students views about the nature of experimental physics is still unexplored at German-speaking institutions. Motivated by the lack of an assessment tool to investigate this goal in laboratory courses at German-speaking institutions, we present a translated version of the E-CLASS adapted to the context at German-speaking institutions. We call the German version of the E-CLASS, the GE-CLASS. We describe the translation process and the creation of an automated web-based system for instructors to assess their laboratory courses. We also present first results using GE-CLASS obtained at the University of Potsdam. A first comparison between E-CLASS and GE-CLASS results shows clear differences between University of Potsdam and U.S. students’ views and beliefs about experimental physics. Y1 - 2022 U6 - https://doi.org/10.1103/PhysRevPhysEducRes.18.010135 SN - 1554-9178 VL - 18 SP - 010135-1 EP - 010135-17 PB - APS CY - College Park, Maryland, United States ET - 1 ER - TY - JOUR A1 - Ehlert, Antje A1 - Poltz, Nadine A1 - Quandte, Sabine A1 - Kohn-Henkel, Juliane A1 - Kucian, Karin A1 - Aster, Michael von A1 - Esser, Günter T1 - Taking a closer look: The relationship between pre-school domain general cognition and school mathematics achievement when controlling for intelligence JF - Journal of Intelligence N2 - Intelligence, as well as working memory and attention, affect the acquisition of mathematical competencies. This paper aimed to examine the influence of working memory and attention when taking different mathematical skills into account as a function of children’s intellectual ability. Overall, intelligence, working memory, attention and numerical skills were assessed twice in 1868 German pre-school children (t1, t2) and again at 2nd grade (t3). We defined three intellectual ability groups based on the results of intellectual assessment at t1 and t2. Group comparisons revealed significant differences between the three intellectual ability groups. Over time, children with low intellectual ability showed the lowest achievement in domain-general and numerical and mathematical skills compared to children of average intellectual ability. The highest achievement on the aforementioned variables was found for children of high intellectual ability. Additionally, path modelling revealed that, depending on the intellectual ability, different models of varying complexity could be generated. These models differed with regard to the relevance of the predictors (t2) and the future mathematical skills (t3). Causes and conclusions of these findings are discussed. KW - intellectual ability KW - intelligence KW - pre-school KW - mathematical development KW - school mathematics KW - longitudinal KW - numerical skills KW - working memory KW - attention Y1 - 2022 U6 - https://doi.org/10.3390/jintelligence10030070 SN - 2079-3200 VL - 10 SP - 1 EP - 23 PB - MDPI CY - Basel, Schweiz ET - 3 ER - TY - JOUR A1 - Möller, Klaus-Peter T1 - In der Ruhmeshalle der deutschen Literatur BT - das Porträt des Autors und die Medien JF - Fontanes Medien Y1 - 2022 SN - 978-3-11-073323-5 SN - 978-3-11-073810-0 SN - 978-3-11-073330-3 U6 - https://doi.org/10.1515/9783110733235-031 SP - 533 EP - 574 PB - de Gruyter CY - Berlin ER - TY - JOUR A1 - Sarabadani, Jalal A1 - Metzler, Ralf A1 - Ala-Nissila, Tapio T1 - Driven polymer translocation into a channel: Isoflux tension propagation theory and Langevin dynamics simulations JF - Physical Review Research N2 - Isoflux tension propagation (IFTP) theory and Langevin dynamics (LD) simulations are employed to study the dynamics of channel-driven polymer translocation in which a polymer translocates into a narrow channel and the monomers in the channel experience a driving force fc. In the high driving force limit, regardless of the channel width, IFTP theory predicts τ ∝ f βc for the translocation time, where β = −1 is the force scaling exponent. Moreover, LD data show that for a very narrow channel fitting only a single file of monomers, the entropic force due to the subchain inside the channel does not play a significant role in the translocation dynamics and the force exponent β = −1 regardless of the force magnitude. As the channel width increases the number of possible spatial configurations of the subchain inside the channel becomes significant and the resulting entropic force causes the force exponent to drop below unity. Y1 - 2022 U6 - https://doi.org/10.1103/PhysRevResearch.4.033003 SN - 2643-1564 VL - 4 SP - 033003-1 EP - 033003-14 PB - American Physical Society CY - College Park, Maryland, USA ET - 3 ER - TY - JOUR A1 - Sposini, Vittoria A1 - Krapf, Diego A1 - Marinari, Enzo A1 - Sunyer, Raimon A1 - Ritort, Felix A1 - Taheri, Fereydoon A1 - Selhuber-Unkel, Christine A1 - Benelli, Rebecca A1 - Weiss, Matthias A1 - Metzler, Ralf A1 - Oshanin, Gleb T1 - Towards a robust criterion of anomalous diffusion JF - Communications Physics N2 - Anomalous-diffusion, the departure of the spreading dynamics of diffusing particles from the traditional law of Brownian-motion, is a signature feature of a large number of complex soft-matter and biological systems. Anomalous-diffusion emerges due to a variety of physical mechanisms, e.g., trapping interactions or the viscoelasticity of the environment. However, sometimes systems dynamics are erroneously claimed to be anomalous, despite the fact that the true motion is Brownian—or vice versa. This ambiguity in establishing whether the dynamics as normal or anomalous can have far-reaching consequences, e.g., in predictions for reaction- or relaxation-laws. Demonstrating that a system exhibits normal- or anomalous-diffusion is highly desirable for a vast host of applications. Here, we present a criterion for anomalous-diffusion based on the method of power-spectral analysis of single trajectories. The robustness of this criterion is studied for trajectories of fractional-Brownian-motion, a ubiquitous stochastic process for the description of anomalous-diffusion, in the presence of two types of measurement errors. In particular, we find that our criterion is very robust for subdiffusion. Various tests on surrogate data in absence or presence of additional positional noise demonstrate the efficacy of this method in practical contexts. Finally, we provide a proof-of-concept based on diverse experiments exhibiting both normal and anomalous-diffusion. Y1 - 2022 U6 - https://doi.org/10.1038/s42005-022-01079-8 SN - 2399-3650 VL - 5 PB - Springer Nature CY - London ER - TY - JOUR A1 - Evans, Myfanwy E. A1 - Hyde, Stephen T. T1 - Symmetric Tangling of Honeycomb Networks JF - Symmetry N2 - Symmetric, elegantly entangled structures are a curious mathematical construction that has found their way into the heart of the chemistry lab and the toolbox of constructive geometry. Of particular interest are those structures—knots, links and weavings—which are composed locally of simple twisted strands and are globally symmetric. This paper considers the symmetric tangling of multiple 2-periodic honeycomb networks. We do this using a constructive methodology borrowing elements of graph theory, low-dimensional topology and geometry. The result is a wide-ranging enumeration of symmetric tangled honeycomb networks, providing a foundation for their exploration in both the chemistry lab and the geometers toolbox. KW - tangles KW - knots KW - networks KW - periodic entanglement KW - molecular weaving KW - graphs Y1 - 2022 U6 - https://doi.org/10.3390/sym14091805 SN - 2073-8994 VL - 14 SP - 1 EP - 13 PB - MDPI CY - Basel, Schweiz ET - 9 ER - TY - JOUR A1 - Stuchtey, Fidelis Christin A1 - Block, Andrea A1 - Osei, Francis A1 - Wippert, Pia-Maria T1 - Lipid Biomarkers in Depression: Does Antidepressant Therapy Have an Impact? JF - Healthcare : open access journal N2 - Studies have revealed mixed results on how antidepressant drugs affect lipid profiles of patients with major depression disorder (MDD). Even less is known about how patients respond to a switch of antidepressant medication with respect to their metabolic profile. For this, effects of a switch in antidepressants medication on lipid markers were studied in MDD patients. 15 participants (females = 86.67%; males = 13.33%; age: 49.45 ± 7.45 years) with MDD and a prescribed switch in their antidepressant medication were recruited at a psychosomatic rehabilitation clinic. Participants were characterized (with questionnaires and blood samples) at admission to the rehabilitation clinic (baseline, T0) and followed up with a blood sample two weeks (T1) later. HDL, LDL, total cholesterol, and triglycerides were determined (T0), and their change analyzed (Wilcoxon test) at follow up (T1). Decrements in HDL (p = 0.041), LDL (p < 0.001), and total cholesterol (p < 0.001) were observed two weeks after a switch in antidepressant medication. Triglycerides showed no difference (p = 0.699). Overall, LDL, HDL, and total cholesterol are affected by a change in antidepressant drugs in patients with MDD. These observations are of clinical relevance for medical practitioners in the planning and management of treatment strategies for MDD patients. KW - major depressive disorder KW - antidepressants KW - high density lipoprotein cholesterol KW - HDL KW - low density lipoprotein cholesterol KW - LDL KW - cholesterol KW - triglycerides KW - lipids Y1 - 2022 U6 - https://doi.org/10.3390/healthcare10020333 SN - 2227-9032 VL - 10 SP - 1 EP - 11 PB - MDPI CY - Basel, Schweiz ET - 2 ER - TY - THES A1 - Zhou, Shuo T1 - Biological evaluation and sulfation of polymer networks from glycerol glycidyl ether N2 - Cardiovascular diseases are the main cause of death worldwide, and their prevalence is expected to rise in the coming years. Polymer-based artificial replacements have been widely used for the treatment of cardiovascular diseases. Coagulation and thrombus formation on the interfaces between the materials and the human physiological environment are key issues leading to the failure of the medical device in clinical implantation. The surface properties of the materials have a strong influence on the protein adsorption and can direct the blood cell adhesion behavior on the interfaces. Furthermore, implant-associated infections will be induced by bacterial adhesion and subsequent biofilm formation at the implantation site. Thus, it is important to improve the hemocompatibility of an implant by altering the surface properties. One of the effective strategies is surface passivation to achieve protein/cell repelling ability to reduce the risk of thrombosis. This thesis consists of synthesis, functionalization, sterilization, and biological evaluation of bulk poly(glycerol glycidyl ether) (polyGGE), which is a highly crosslinked polyether-based polymer synthesized by cationic ring-opening polymerization. PolyGGE is hypothesized to be able to resist plasma protein adsorption and bacterial adhesion due to analogous chemical structure as polyethylene glycol and hyperbranched polyglycerol. Hydroxyl end groups of polyGGE provide possibilities to be functionalized with sulfates to mimic the anti-thrombogenic function of the endothelial glycocalyx. PolyGGE was synthesized by polymerization of the commercially available monomer glycerol glycidyl ether, which was characterized as a mixture of mono-, di- and tri-glycidyl ether. Cationic ring opening-polymerization of this monomer was carried out by ultraviolet (UV) initiation of the photo-initiator diphenyliodonium hexafluorophosphate. With the increased UV curing time, more epoxides in the side chains of the monomers participated in chemical crosslinking, resulting in an increase of Young’s modulus, while the value of elongation at break of polyGGE first increased due to the propagation of the polymer chains then decreased with the increase of crosslinking density. Eventually, the chain propagation can be effectively terminated by potassium hydroxide aqueous solution. PolyGGE exhibited different tensile properties in hydrated conditions at body temperature compared to the values in the dry state at room temperature. Both Young’s modulus and values of elongation at break were remarkably reduced when tested in water at 37 °C, which was above the glass transition temperature of polyGGE. At physiological conditions, entanglements of the ployGGE networks unfolded and the free volume of networks were replaced by water molecules as softener, which increased the mobility of the polymer chains, resulting in a lower Young’s modulus. Protein adsorption analysis was performed on polyGGE films with 30 min UV curing using an enzyme-linked immunosorbent assay. PolyGGE could effectively prevent the adsorption of human plasma fibrinogen, albumin, and fibronectin at the interface of human plasma and polyGGE films. The protein resistance of polyGGE was comparable to the negative controls: the hemocompatible polydimethylsiloxane (PDMS), showing its potential as a coating material for cardiovascular implants. Moreover, antimicrobial tests of bacterial activity using isothermal microcalorimetry and the microscopic image of direct bacteria culturing demonstrated that polyGGE could directly interfere biofilm formation and growth of both Gram-negative and antibiotic-resistant Gram-positive bacteria, indicating the potential application of polyGGE for combating the risk of hospital-acquired infections and preventing drug-resistant superbug spreading. To investigate its cell compatibility, polyGGE films were extracted by different solvents (ethanol, chloroform, acetone) and cell culture medium. Indirect cytotoxicity tests showed extracted polyGGE films still had toxic effects on L929 fibroblast cells. High-performance liquid chromatography/electrospray ionization mass spectrometry revealed the occurrence of organochlorine-containing compounds released during the polymer-cell culture medium interaction. A constant level of those organochlorine-containing compounds was confirmed from GGE monomer by a specific peak of C-Cl stretching in infrared spectra of GGE. This is assumed to be the main reason causing the increased cell membrane permeability and decreased metabolic activity, leading to cell death. Attempts as changing solvents were made to remove toxic substances, however, the release of these small molecules seems to be sluggish. The densely crosslinked polyGGE networks can possibly contribute to the trapping of organochlorine-containing compounds. These results provide valuable information for exploring the potentially toxic substances, leaching from polyGGE networks, and propose a feasible strategy for minimizing the cytotoxicity via reducing their crosslinking density. Sulfamic acid/ N-Methyl-2-pyrrolidone (NMP) were selected as the reagents for the sulfation of polyGGE surfaces. Fourier transform attenuated total reflection infrared spectroscopy (ATR-FT-IR) was used to monitor the functionalization kinetics and the results confirmed the successful sulfate grafting on the surface of polyGGE with the covalent bond -C-O-S-. X-ray photoelectron spectroscopy was used to determine the element composition on the surface and the cross-section of the functionalized polyGGE and sulfation within 15 min guarantees the sulfation only takes place on the surface while not occurring in the bulk of the polymer. The concentration of grafted sulfates increased with the increasing reaction time. The hydrophilicity of the surface of polyGGE was highly increased due to the increase of negatively charged end groups. Three sterilization techniques including autoclaving, gamma irradiation, and ethylene oxide (EtO) sterilization were used for polyGGE sulfates. Results from ATR-FT-IR and Toluidine Blue O quantitative assay demonstrated the total loss of the sulfates after autoclave sterilization, which was also confirmed by the increased water contact angle. Little influence on the concentration of sulfates was found for gamma-irradiated and autoclaving sterilized polyGGE sulfates. To investigate the thermal influence on polyGGE sulfates, one strategy was to use poly(hydroxyethyl acrylate) sulfates (PHEAS) for modeling. The thermogravimetric analysis profile of PHEAS demonstrated that sulfates are not thermally stable independent of the substrate materials and decomposition of sulfates occurs at around 100 °C. Although gamma irradiation also showed little negative effect on the sulfate content, the color change in the polyGGE sulfates indicates chemical or physical change might occur in the polymer. EtO sterilization was validated as the most suitable sterilization technique to maintain the chemical structure of polyGGE sulfates. In conclusion, the conducted work proved that bulk polyGGE can be used as an antifouling coating material and shows its antimicrobial potential. Sulfates functionalization can be effectively realized using sulfamic acid/NMP. EtO sterilization is the most suitable sterilization technique for grafted sulfates. Besides, this thesis also offers a good strategy for the analysis of toxic leachable substances using suitable physicochemical characterization techniques. Future work will focus on minimizing/eliminating the release of toxic substances via reducing the crosslinking density. Another interesting aspect is to study whether grafted sulfates can meet the need for anti-thrombogenicity. N2 - Herz-Kreislauf-Erkrankungen sind weltweit die Haupttodesursache, und es wird erwartet, dass ihre Prävalenz in den kommenden Jahren zunehmen wird. Künstlicher Ersatz auf Polymerbasis wird in großem Umfang für die Behandlung von Herz-Kreislauf-Erkrankungen eingesetzt. Gerinnung und Thrombenbildung an den Grenzflächen zwischen den Materialien und der menschlichen physiologischen Umgebung sind ein Hauptproblem, das zum Versagen des Medizinprodukts bei der klinischen Implantation führt. Die Oberflächeneigenschaften der Materialien haben einen starken Einfluss auf die Proteinadsorption und können das Adhäsionsverhalten von Blutzellen an den Grenzflächen steuern. Darüber hinaus werden Implantat-assoziierte Infektionen durch bakterielle Adhäsion und anschließende Biofilmbildung an der Implantationsstelle ausgelöst. Daher ist es wichtig, die Hämokompatibilität eines Implantats durch Veränderung der Oberflächeneigenschaften zu verbessern. Eine der wirksamen Strategien ist die Oberflächenpassivierung, um die Fähigkeit zur Protein-/Zellabweisung zu erreichen und so das Thromboserisiko zu verringern. Diese Arbeit befasst sich mit der Synthese, Funktionalisierung, Sterilisation und biologischen Bewertung von Poly(glycerin glycidyl ether) (polyGGE), einem stark vernetzten Polymer auf Polyetherbasis, das durch kationische Ringöffnungspolymerisation hergestellt wird. Es wird angenommen, dass PolyGGE aufgrund seiner ähnlichen chemischen Struktur wie Polyethylenglykol und hyperverzweigtes Polyglycerin der Adsorption von Plasmaproteinen und der Anhaftung von Bakterien widerstehen kann. Die Hydroxyl-Endgruppen von PolyGGE können mit Sulfaten funktionalisiert werden, um die antithrombogene Funktion der endothelialen Glykokalyx zu imitieren. PolyGGE wurde durch Polymerisation des kommerziell erhältlichen Monomers Glycerin Glycidyl ether synthetisiert, das als Mischung aus Mono-, Di- und Triglycidylether charakterisiert wurde. Die kationische Ringöffnungspolymerisation dieses Monomers wurde mit Hilfe des Photoinitiators Diphenyliodoniumhexafluorophosphat durch Ultraviolett (UV) ausgelöst. Mit zunehmender UV-Härtungszeit nahmen mehr Epoxide in den Seitenketten der Monomere an der chemischen Vernetzung teil, was zu einem Anstieg des Elastizitätsmoduls führte, während der Wert der Bruchdehnung von polyGGE zunächst aufgrund der Ausbreitung der Polymerketten anstieg und dann mit zunehmender Vernetzungsdichte abnahm. Schließlich kann die Kettenausbreitung durch wässrige Kaliumhydroxidlösung wirksam gestoppt werden. PolyGGE wies im hydratisierten Zustand bei Körpertemperatur andere Zugeigenschaften auf als im trockenen Zustand bei Raumtemperatur. Sowohl der Elastizitätsmodul als auch die Werte der Bruchdehnung waren deutlich reduziert, wenn sie in Wasser bei 37 °C getestet wurden, was oberhalb der Glasübergangstemperatur von PolyGGE lag. Unter physiologischen Bedingungen entfalteten sich die Verflechtungen der PolyGGE-Netzwerke und das freie Volumen der Netzwerke wurde durch Wassermoleküle als Weichmacher ersetzt, was die Mobilität der Polymerketten erhöhte und zu einem niedrigeren Elastizitätsmodul führte. Die Proteinadsorptionsanalyse wurde an PolyGGE-Filmen mit 30-minütiger UV-Härtung unter Verwendung eines Enzymimmunoassays durchgeführt. PolyGGE konnte die Adsorption von Fibrinogen, Albumin und Fibronektin aus menschlichem Plasma an der Grenzfläche zwischen menschlichem Plasma und PolyGGE-Filmen wirksam verhindern. Die Proteinresistenz von PolyGGE war vergleichbar mit den Negativkontrollen: dem hämokompatiblen Polydimethylsiloxan, was sein Potenzial als Beschichtungsmaterial für kardiovaskuläre Implantate zeigt. Darüber hinaus zeigten antimikrobielle Tests der bakteriellen Aktivität mittels isothermischer Mikrokalorimetrie und das mikroskopische Bild der direkten Bakterienkultur, dass PolyGGE die Biofilmbildung und das Wachstum sowohl von gramnegativen als auch von antibiotikaresistenten grampositiven Bakterien direkt stören kann, was auf die potenzielle Anwendung von PolyGGE zur Bekämpfung des Risikos von Krankenhausinfektionen und zur Verhinderung der Ausbreitung arzneimittelresistenter Superbugs hinweist. Um die Zellkompatibilität zu untersuchen, wurden polyGGE-Folien mit verschiedenen Lösungsmitteln (Ethanol, Chloroform, Aceton) und Zellkulturmedium extrahiert. Indirekte Zytotoxizitätstests zeigten, dass die extrahierten polyGGE-Filme immer noch eine toxische Wirkung auf L929-Fibroblastenzellen hatten. Die Hochleistungsflüssigkeitschromatographie/Elektrospray-Ionisations-Massenspektrometrie zeigte das Auftreten von chlororganischen Derivaten, die während der Interaktion zwischen Polymer und Zellkulturmedium freigesetzt wurden. Ein konstantes Niveau dieser chlororganischen Derivate wurde vom GGE-Monomer durch einen spezifischen C-Cl-Streckungspeak im Infrarotspektrum von GGE bestätigt. Es wird angenommen, dass dies der Hauptgrund für die erhöhte Permeabilität der Zellmembran und die verringerte Stoffwechselaktivität ist, was zum Zelltod führt. Es wurden Versuche unternommen, die Lösungsmittel zu wechseln, um die toxischen Substanzen zu entfernen, aber die Freisetzung dieser kleinen Moleküle scheint nur langsam zu erfolgen. Die dicht vernetzten polyGGE-Netzwerke können möglicherweise zum Einschluss chloridhaltiger Verbindungen beitragen. Diese Ergebnisse liefern wertvolle Informationen für die Erforschung potenzieller toxischer Substanzen, die aus PolyGGE-Netzwerken ausgewaschen werden, und schlagen eine praktikable Strategie zur Minimierung der Zytotoxizität durch Verringerung der Vernetzungsdichte vor. Als Reagenzien für die Sulfatierung von PolyGGE-Oberflächen wurden Sulfaminsäure und N-Methyl-2-Pyrrolidon (NMP) gewählt. Die Fourier-Transformations-Infrarotspektroskopie mit abgeschwächter Totalreflexion (ATR-FT-IR) wurde zur Überwachung der Funktionalisierungskinetik eingesetzt, und die Ergebnisse bestätigten die erfolgreiche Sulfatpfropfung auf der Oberfläche von PolyGGE mit der kovalenten Bindung -C-O-S-. Mit Hilfe der Röntgen-Photoelektronenspektroskopie wurde die Elementzusammensetzung auf der Oberfläche und der Querschnitt des funktionalisierten PolyGGE bestimmt, und die Sulfatierung innerhalb von 15 Minuten garantiert, dass die Sulfatierung nur auf der Oberfläche stattfindet, während sie in der Masse des Polymers nicht vorkommt. Die Konzentration der gepfropften Sulfate nahm mit zunehmender Reaktionszeit zu. Die Hydrophilie der Oberfläche von polyGGE wurde durch die Zunahme negativ geladener Endgruppen stark erhöht. Für die PolyGGE-Sulfate wurden drei Sterilisationstechniken verwendet: Autoklavieren, Gammastrahlenbestrahlung und Ethylenoxid (EtO)-Sterilisation. Die Ergebnisse der quantitativen ATR-FT-IR und Toluidinblau O-Untersuchung zeigten den vollständigen Verlust der Sulfate nach der Sterilisation im Autoklaven, was auch durch den erhöhten Wasserkontaktwinkel bestätigt wurde. Bei den mit Gammastrahlen und im Autoklaven sterilisierten PolyGGE-Sulfaten wurde nur ein geringer Einfluss auf die Sulfatkonzentration festgestellt. Um den thermischen Einfluss auf PolyGGE-Sulfate zu untersuchen, bestand eine Strategie darin, ein Poly(hydroxyethylacrylat)-Sulfat (PHEAS) für die Modellierung zu verwenden. Das Profil der thermogravimetrischen Analyse von PHEAS zeigte, dass Sulfate unabhängig von den Substratmaterialien thermisch nicht stabil sind und die Zersetzung der Sulfate bei etwa 100 °C stattfindet. Obwohl die Gammasterilisation ebenfalls kaum negative Auswirkungen auf den Sulfatgehalt hat, deutet die Farbveränderung der PolyGGE-Sulfate darauf hin, dass chemische oder physikalische Veränderungen im Polymer auftreten könnten. Die EtO-Sterilisation erwies sich als die am besten geeignete Sterilisationstechnik, um die chemische Struktur der PolyGGE-Sulfate zu erhalten. Zusammenfassend lässt sich sagen, dass die durchgeführte Arbeit bewiesen hat, dass PolyGGE als Antifouling-Beschichtungsmaterial verwendet werden kann und sein antimikrobielles Potenzial zeigt. Die Funktionalisierung der Sulfate kann mit Sulfaminsäure/NMP effektiv durchgeführt werden. Die EtO-Sterilisation ist die am besten geeignete Sterilisationstechnik für gepfropfte Sulfate. Darüber hinaus bietet diese Arbeit auch eine gute Strategie für die Analyse toxischer auslaugbarer Substanzen mit Hilfe geeigneter physikalisch-chemischer Charakterisierungstechniken. Zukünftige Arbeiten werden sich darauf konzentrieren, die Freisetzung toxischer Substanzen durch Verringerung der Vernetzungsdichte zu minimieren bzw. zu eliminieren. Ein weiterer interessanter Aspekt ist die Untersuchung, ob gepfropfte Sulfate den Anforderungen an die Anti-Thrombogenität gerecht werden können. KW - Sulfation KW - Antifouling KW - antimicrobial KW - Polyether Y1 - 2022 ER - TY - THES A1 - Neuharth, Derek T1 - Evolution of divergent and strike-slip boundaries in response to surface processes T1 - Die Entwicklung divergenter und transversaler Plattengrenzen unter dem Einfluss von Erdoberflächenprozessen N2 - Plate tectonics describes the movement of rigid plates at the surface of the Earth as well as their complex deformation at three types of plate boundaries: 1) divergent boundaries such as rift zones and mid-ocean ridges, 2) strike-slip boundaries where plates grind past each other, such as the San Andreas Fault, and 3) convergent boundaries that form large mountain ranges like the Andes. The generally narrow deformation zones that bound the plates exhibit complex strain patterns that evolve through time. During this evolution, plate boundary deformation is driven by tectonic forces arising from Earth’s deep interior and from within the lithosphere, but also by surface processes, which erode topographic highs and deposit the resulting sediment into regions of low elevation. Through the combination of these factors, the surface of the Earth evolves in a highly dynamic way with several feedback mechanisms. At divergent boundaries, for example, tensional stresses thin the lithosphere, forcing uplift and subsequent erosion of rift flanks, which creates a sediment source. Meanwhile, the rift center subsides and becomes a topographic low where sediments accumulate. This mass transfer from foot- to hanging wall plays an important role during rifting, as it prolongs the activity of individual normal faults. When rifting continues, continents are eventually split apart, exhuming Earth’s mantle and creating new oceanic crust. Because of the complex interplay between deep tectonic forces that shape plate boundaries and mass redistribution at the Earth’s surface, it is vital to understand feedbacks between the two domains and how they shape our planet. In this study I aim to provide insight on two primary questions: 1) How do divergent and strike-slip plate boundaries evolve? 2) How is this evolution, on a large temporal scale and a smaller structural scale, affected by the alteration of the surface through erosion and deposition? This is done in three chapters that examine the evolution of divergent and strike-slip plate boundaries using numerical models. Chapter 2 takes a detailed look at the evolution of rift systems using two-dimensional models. Specifically, I extract faults from a range of rift models and correlate them through time to examine how fault networks evolve in space and time. By implementing a two-way coupling between the geodynamic code ASPECT and landscape evolution code FastScape, I investigate how the fault network and rift evolution are influenced by the system’s erosional efficiency, which represents many factors like lithology or climate. In Chapter 3, I examine rift evolution from a three-dimensional perspective. In this chapter I study linkage modes for offset rifts to determine when fast-rotating plate-boundary structures known as continental microplates form. Chapter 4 uses the two-way numerical coupling between tectonics and landscape evolution to investigate how a strike-slip boundary responds to large sediment loads, and whether this is sufficient to form an entirely new type of flexural strike-slip basin. N2 - Plattentektonik beschreibt die Bewegung starrer tektonischer Platten an der Erdoberfläche sowie deren komplexe Deformation an drei Arten von Plattengrenzen: 1) divergenten Grenzen wie Grabenbrüchen und mittelozeanische Rücken, 2) transversalen Grenzen, an denen Platten gegeneinander verschoben werden, wie die San-Andreas-Verwerfung, und 3) konvergenten Grenzen, die große Gebirgszüge wie die Anden bilden. Diese schmalen Deformationszonen, die Platten begrenzen, weisen meist komplexe Dehnungsmuster auf, die sich im Laufe der Zeit entwickeln. Während dieser Entwicklung wird die Verformung der Plattengrenzen durch tektonische Kräfte aus dem tiefen Erdinneren und der Lithosphäre, aber auch durch Oberflächenprozesse, welche topografische Erhebungen erodieren und die daraus resultierenden Sedimente in tiefer gelegenen Gebieten ablagern, angetrieben. Durch das Zusammenwirken und die Rückkopplung dieser Faktoren entwickelt sich die Erdoberfläche in einer extrem dynamischen Art und Weise. An divergenten Grenzen beispielsweise dünnen Zugspannungen die Lithosphäre aus, was zu einer Hebung und anschließenden Erosion der Flanken eines Grabenbruchs führt, wobei wiederum Sedimente freigesetzt werden. Währenddessen sinkt das Zentrum des Grabens ab und wird zu einer topografischen Senke, in der sich Sedimente ablagern. Diese Massenumverteilung vom Fuß zum Hang einer Verwerfung spielt eine wichtige Rolle, da er die Aktivität einzelner Verwerfungen verlängert. Durch anhaltende Divergenz werden Kontinente schließlich auseinandergerissen, wodurch der Erdmantel an die Erdoberfläche gefördert und neue ozeanische Kruste gebildet wird. Aufgrund des komplexen Zusammenspiels zwischen tektonischen Kräften aus dem tiefen Erdinneren und der Massenumverteilung an der Erdoberfläche ist es von entscheidender Bedeutung, die Rückkopplungen zwischen diesen beiden Bereichen zu verstehen. In dieser Studie möchte ich Einblicke zu zwei Hauptfragen geben: 1) Wie entwickeln sich divergierende Plattengrenzen? 2) Wie wird diese Entwicklung auf einer großen zeitlichen und einer kleinen strukturellen Skala durch die Veränderung der Oberfläche durch Erosion und Sedimentation beeinflusst? In drei Kapiteln untersuche ich die Entwicklung von divergenten und streichenden Plattengrenzen anhand numerischer Modelle. In Kapitel 2 wird die Entwicklung von Grabenbrüchen anhand zweidimensionaler Modelle im Detail erforscht. Dabei extrahiere ich Verwerfungen aus einer Reihe von Modellen und korreliere sie über die Zeit, um zu untersuchen, wie sich Verwerfungsnetzwerke räumlich und zeitlich entwickeln. Durch die bidirektionale Kopplung des Geodynamik-Codes ASPECT und des Erdoberflächen-Codes FastScape untersuche ich, wie diese Verwerfungsnetzwerk und der Grabenbruch im Allgemeinen durch die Erosionseffizienz des Systems, welche viele Faktoren wie Lithologie oder Klima abbildet, beeinflusst werden. In Kapitel 3 untersuche ich die Entwicklung eines Grabenbruchs aus einer dreidimensionalen Perspektive. In diesem Kapitel analysiere ich wie sich gegeneinander versetzte Grabenbrüche verbinden und wann sich dabei schnell rotierende kontinentale Mikroplatten bilden. In Kapitel 4 nutze ich die entwickelte bidirektionale Kopplung zwischen Geodynamik und Erdoberflächenprozessen, um zu verstehen, wie transversale Plattengrenzen auf Sedimentlasten reagieren und ob die ausreicht, um einen völlig neue Art von Sedimentbecken in dieser Umgebung zu formen. KW - geodynamics KW - numerical modelling KW - rift KW - strike-slip KW - surface processes KW - microplate KW - FastScape KW - ASPECT KW - ASPECT KW - FastScape KW - Geodynamik KW - Mikroplatte KW - numerische Modellierung KW - Rift KW - Blattverschiebung KW - Oberflächenprozesse Y1 - 2022 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-549403 ER - TY - THES A1 - Gunold, Sascha T1 - Abzug unter Beobachtung T1 - Withdrawal under observation BT - Kooperation und Konkurrenz von Bundeswehr und Bundesnachrichtendienst beim Abzug der sowjetischen/russischen Truppen aus Deutschland bis 1994 BT - competition and cooperation of German Armed Forces and Federal Foreign Intelligence Service during withdrawal of Soviet/Russian forces from Germany until 1994 N2 - Mehr als vier Jahrzehnte lang beobachteten die Streitkräfte und Militärnachrichtendienste der NATO-Staaten die sowjetischen Truppen in der DDR. Hierfür übernahm in der Bundesrepublik Deutschland der Bundesnachrichtendienst (BND) die militärische Auslandsaufklärung unter Anwendung nachrichtendienstlicher Mittel und Methoden. Die Bundeswehr betrieb dagegen taktische Fernmelde- und elektronische Aufklärung und hörte vor allem den Funkverkehr der „Gruppe der sowjetischen Streitkräfte in Deutschland“ (GSSD) ab. Mit der Aufstellung einer zentralen Dienststelle für das militärische Nachrichtenwesen, dem Amt für Nachrichtenwesen der Bundeswehr, bündelte und erweiterte zugleich das Bundesministerium für Verteidigung in den 1980er Jahren seine analytischen Kapazitäten. Das Monopol des BND in der militärischen Auslandsaufklärung wurde von der Bundeswehr dadurch zunehmend infrage gestellt. Nach der deutschen Wiedervereinigung am 3. Oktober 1990 befanden sich immer noch mehr als 300.000 sowjetische Soldaten auf deutschem Territorium. Die 1989 in Westgruppe der Truppen (WGT) umbenannte GSSD sollte – so der Zwei-plus-Vier-Vertrag – bis 1994 vollständig abziehen. Der Vertrag verbot auch den drei Westmächten, in den neuen Bundesländern militärisch tätig zu sein. Die für die Militäraufklärung bis dahin unverzichtbaren Militärverbindungsmissionen der Westmächte mussten ihre Dienste einstellen. Doch was geschah mit diesem „alliierten Erbe“? Wer übernahm auf deutscher Seite die Aufklärung der sowjetischen Truppen und wer kontrollierte den Truppenabzug?  Die Studie untersucht die Rolle von Bundeswehr und BND beim Abzug der WGT zwischen 1990 und 1994 und fragt dabei nach Kooperation und Konkurrenz zwischen Streitkräften und Nachrichtendiensten. Welche militärischen und nachrichtendienstlichen Mittel und Fähigkeiten stellte die Bundesregierung zur Bewältigung des Truppenabzugs zur Verfügung, nachdem die westlichen Militärverbindungsmissionen aufgelöst wurden? Wie veränderten sich die Anforderungen an die militärische Auslandsaufklärung des BND? Inwieweit setzten sich Konkurrenz und Kooperation von Bundeswehr und BNDbeim Truppenabzug fort? Welche Rolle spielten dabei die einstigen Westmächte? Die Arbeit versteht sich nicht nur als Beitrag zur Militärgeschichte, sondern auch zur deutschen Nachrichtendienstgeschichte. N2 - The study examines the cooperation and competition between the Federal Defence Forces of Germany (Bundeswehr) and the German Foreign Intelligence Service (Bundesnachichtendienst, BND) during the withdrawal of Soviet Group of Western Forces from Germany 1990-1994. It is a common approach of military and intelligence history also reflecting the decommissioning of Military Liaison Missions of USA, United Kingdom and France (USMLM, BRIXMIS, MMFL). KW - Bundeswehr KW - Bundesnachrichtendienst KW - Gruppe der Sowjetischen Streitkräfte in Deutschland KW - Westgruppe der Truppen KW - Alliierte Militärverbindungsmissionen KW - Nachrichtendienstgeschichte KW - Militärgeschichte KW - Kalter Krieg KW - Wiedervereinigung KW - Bundeswehrkommando Ost KW - Nuklearwaffen KW - Atomwaffen KW - Spionage KW - Truppenabzug KW - allied military liaison missions KW - nuclear weapons KW - Federal Foreign Intelligence Service KW - Federal Armed Forces of Germany KW - Bundeswehrkommando Ost KW - group of Soviet forces in Germany KW - Cold War KW - military history KW - Intelligence history KW - espionage, Intelligence KW - withdrawal of troops KW - western group of forces KW - German reunification Y1 - 2022 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-571977 ER - TY - THES A1 - Michalik-Onichimowska, Aleksandra T1 - Real-time monitoring of (photo)chemical reactions in micro flow reactors and levitated droplets by IR-MALDI ion mobility and mass spectrometry N2 - Eine nachhaltigere chemische Industrie erfordert eine Minimierung der Lösungsmittel und Chemikalien. Daher werden Optimierung und Entwicklung chemischer Prozesse vor einer Produktion in großem Maßstab in kleinen Chargen durchgeführt. Der entscheidende Schritt bei diesem Ansatz ist die Skalierbarkeit von kleinen Reaktionssystemen auf große, kosteneffiziente Reaktoren. Die Vergrößerung des Volumens des Reaktionsmediums geht immer mit der Vergrößerung der Oberfläche einher, die mit dem begrenzenden Gefäß in Kontakt steht. Da das Volumen kubisch, während die Oberfläche quadratisch mit zunehmendem Radius skaliert, nimmt ihr Verhältnis nicht linear zu. Viele an der Grenzfläche zwischen Oberfläche und Flüssigkeit auftretende Phänomene können die Reaktionsgeschwindigkeiten und Ausbeuten beeinflussen, was zu falschen Prognosen aufgrund der kleinskaligen Optimierung führt. Die Anwendung von schwebenden Tropfen als behälterlose Reaktionsgefäße bietet eine vielversprechende Möglichkeit, die oben genannten Probleme zu vermeiden. In der vorgestellten Arbeit wurde eine effiziente Kopplung von akustisch schwebenden Tropfen und IM Spektrometer für die Echtzeitüberwachung chemischer Reaktionen entwickelt, bei denen akustisch schwebende Tropfen als Reaktionsgefäße fungieren. Das Design des Systems umfasst die berührungslose Probenahme und Ionisierung, die durch Laserdesorption und -ionisation bei 2,94 µm realisiert wird. Der Umfang der Arbeit umfasst grundlegende Studien zum Verständnis der Laserbestrahlung von Tropfen im akustischen Feld. Das Verständnis dieses Phänomens ist entscheidend, um den Effekt der zeitlichen und räumlichen Auflösung der erzeugten Ionenwolke zu verstehen, die die Auflösung des Systems beeinflusst. Der Aufbau umfasst eine akustische Falle, Laserbestrahlung und elektrostatische Linsen, die bei hoher Spannung unter Umgebungsdruck arbeiten. Ein effektiver Ionentransfer im Grenzflächenbereich zwischen dem schwebenden Tropfen und dem IMS muss daher elektrostatische und akustische Felder vollständig berücksichtigen. Für die Probenahme und Ionisation wurden zwei unterschiedliche Laserpulslängen untersucht, nämlich im ns- und µs-Bereich. Die Bestrahlung über µs-Laserpulse bietet gegenüber ns-Pulse mehrere Vorteile: i) das Tropfenvolumen wird nicht stark beeinflusst, was es ermöglichet, nur ein kleines Volumen des Tropfens abzutasten; ii) die geringere Fluenz führt zu weniger ausgeprägten Schwingungen des im akustischen Feld eingeschlossenen Tropfens und der Tropfen wird nicht aus dem akustischen Feld rückgeschlagen, was zum Verlust der Probe führen würde; iii) die milde Laserbestrahlung führt zu einer besseren räumlichen und zeitlichen Begrenzung der Ionenwolken, was zu einer besseren Auflösung der detektierten Ionenpakete führt. Schließlich ermöglicht dieses Wissen die Anwendung der Ionenoptik, die erforderlich ist, um den Ionenfluss zwischen dem im akustischen Feld suspendierten Tropfen und dem IM Spektrometer zu induzieren. Die Ionenoptik aus 2 elektrostatischen Linsen in der Nähe des Tropfens ermöglicht es, die Ionenwolke effektiv zu fokussieren und direkt zum IM Spektrometer-Eingang zu führen. Diese neuartige Kopplung hat sich beim Nachweis einiger basischer Moleküle als erfolgreich erwiesen. Um die Anwendbarkeit des Systems zu belegen, wurde die Reaktion zwischen N-Boc Cysteine Methylester und Allylalkohol in einem Chargenreaktor durchgeführt und online überwacht. Für eine Kalibrierung wurde der Reaktionsfortschritt parallel mittels 1H-NMR verfolgt. Der beobachtete Reaktionsumsatz von mehr als 50% innerhalb der ersten 20 Minuten demonstrierte die Eignung der Reaktion, um die Einsatzpotentiale des entwickelten Systems zu bewerten. N2 - One aspect of achieving a more sustainable chemical industry is the minimization of the usage of solvents and chemicals. Thus, optimization and development of chemical processes for large-scale production is favourably performed in small batches. The critical step in this approach is upscaling the batches from the small reaction systems to the large reactors mandatory for cost efficient production in an industrial environment. Scaling up the bulk volume always goes along with increasing the surface where the reaction medium is in contact with the confining vessel. Since volume scales proportional with the cubic dimension while the surface scales quadratic, their ratio is size-dependent. The influence of reaction vessel walls can change the reaction performance. A number of phenomena occurring at the surface-liquid interface can affect reaction rates and yields, resulting in possible difficulties in predicting and extrapolating from small size production scale to large industrial processes. The application of levitated droplets as a containerless reaction vessels provides a promising possibility to avoid the above-mentioned issues. In the presented work, an efficient coupling of acoustically levitated droplets to an ion mobility (IM) spectrometer, operating at ambient conditions, was designed for real-time monitoring of chemical reactions. The design of the system comprises noncontact sampling and ionization of the droplet realised by laser desorption/ionization at 2,94 µm. The scope of the work includes fundamental studies covering understanding of laser irradiation of droplets enclosed in an acoustical field. Understanding of this phenomenon is crucial to comprehending the effects of temporal and spatial resolution of the generated ion plume that influence the resolution of the system. The set-up includes an acoustic trap, laser irradiation and ion manipulation electrostatic lenses operating at high voltage at ambient pressure. The complexity of the design needs to fully be considered for an effective ion transfer at the interface region between the levitated droplet and IM spectrometer. For sampling and ionization, two distinct laser pulse lengths were evaluated, ns and µs. Irradiation via µs laser pulses provides several advantages: i) the droplet volume is not extensively impinged, as in case of ns laser pulses, allowing the sampling of only the small volume of the droplet; ii) the lower fluence results in less pronounced oscillations of the droplet confined in the acoustic field. The droplet will not be dissipated out of the acoustic field leading to loss of the sample; iii) the mild laser irradiation results in better spatial and temporal ion plume confinement, leading to better resolution of the detected ion packets. Finally, this knowledge allows the application of ion optics necessary to induce ion flow between the droplet suspended in the acoustic field and the IM spectrometer. The ion optics, composed of 2 electrostatic lenses placed in the near vicinity of the droplet, allow effective focusing of the ion plume and its redirection directly to the IM spectrometer entrance. This novel coupling has proved to be successful for detection of some simple molecules ionizable at the 2.94 µm wavelength. To further demonstrate the applicability of the system, a proof-of-principle reaction was selected, fulfilling the requirements of the system, and was subjected to comprehensive investigation of its performance. Herein, the reaction between N-Boc cysteine methyl ester and allyl alcohol has been performed in a batch reactor and on-line monitored via 1H NMR to establish reaction propagation. With the additional assessment, it was confirmed that the thiol-ene coupling can be performed within first 20 minutes of the irradiation with a reaction yield above 50%, proving that the reaction can be applied as a study case to assess the possibilities of the developed system. T2 - Echtzeit-Überwachung von (Photo)chemischen Reaktionen in Mikroströmungsreaktoren und schwebenden Tropfen durch IR-MALDI Ionenmoblität- und Massenspektrometrie KW - ion mobility spectrometry KW - mass spectrometry KW - acoustically levitated droplets KW - photochemical reactions KW - akustisch schwebende Tropfen KW - Ionenmobilitätspektrometrie KW - Massenspektrometrie KW - Photochemische Reaktionen Y1 - 2022 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-557298 ER - TY - THES A1 - Fischer, Jens Walter T1 - Random dynamics in collective behavior - consensus, clustering & extinction of populations T1 - Stochastische Dynamiken in kollektivem Verhalten: Konsens, Gruppenbildung, Aussterben von Populationen N2 - The echo chamber model describes the development of groups in heterogeneous social networks. By heterogeneous social network we mean a set of individuals, each of whom represents exactly one opinion. The existing relationships between individuals can then be represented by a graph. The echo chamber model is a time-discrete model which, like a board game, is played in rounds. In each round, an existing relationship is randomly and uniformly selected from the network and the two connected individuals interact. If the opinions of the individuals involved are sufficiently similar, they continue to move closer together in their opinions, whereas in the case of opinions that are too far apart, they break off their relationship and one of the individuals seeks a new relationship. In this paper we examine the building blocks of this model. We start from the observation that changes in the structure of relationships in the network can be described by a system of interacting particles in a more abstract space. These reflections lead to the definition of a new abstract graph that encompasses all possible relational configurations of the social network. This provides us with the geometric understanding necessary to analyse the dynamic components of the echo chamber model in Part III. As a first step, in Part 7, we leave aside the opinions of the inidividuals and assume that the position of the edges changes with each move as described above, in order to obtain a basic understanding of the underlying dynamics. Using Markov chain theory, we find upper bounds on the speed of convergence of an associated Markov chain to its unique stationary distribution and show that there are mutually identifiable networks that are not apparent in the dynamics under analysis, in the sense that the stationary distribution of the associated Markov chain gives equal weight to these networks. In the reversible cases, we focus in particular on the explicit form of the stationary distribution as well as on the lower bounds of the Cheeger constant to describe the convergence speed. The final result of Section 8, based on absorbing Markov chains, shows that in a reduced version of the echo chamber model, a hierarchical structure of the number of conflicting relations can be identified. We can use this structure to determine an upper bound on the expected absorption time, using a quasi-stationary distribution. This hierarchy of structure also provides a bridge to classical theories of pure death processes. We conclude by showing how future research can exploit this link and by discussing the importance of the results as building blocks for a full theoretical understanding of the echo chamber model. Finally, Part IV presents a published paper on the birth-death process with partial catastrophe. The paper is based on the explicit calculation of the first moment of a catastrophe. This first part is entirely based on an analytical approach to second degree recurrences with linear coefficients. The convergence to 0 of the resulting sequence as well as the speed of convergence are proved. On the other hand, the determination of the upper bounds of the expected value of the population size as well as its variance and the difference between the determined upper bound and the actual value of the expected value. For these results we use almost exclusively the theory of ordinary nonlinear differential equations. N2 - Beziehungen und damit Interaktion sowie Diskussion, aber auch Konflikt und Opposition bilden die Grundbausteine einer jeden Gesellschaft. Häufig wird Kommunikation als der übergreigende Begriff zur Beschreibung interner Strukturen einer Gesellschaft identifiziert. Dabei muss es sich aber nicht um eine Gesellschaft im Sinne von Nationen handeln, sondern kann auch schlicht eine Gruppe von Menschen umfassen, die miteinander strukturiert interagieren, beispielsweise, eine Gruppe von Angestellten, die an einem gemeinsamen Projekt arbeiten, oder die Mitglieder eines sozialen Netzwerks. In dieser Arbeit befassen wir uns mit der mathematischen Beschreibung solcher Prozesse innerhalb von Gruppen und Gesellschaften und legen dabei unseren Fokus auf die Bildung eines Konsens durch Interaktion aber auch die Konsequenzen von Konflikt und das potentielle Aussterben einer Population. Dabei werden zwei Modelle im Fokus des Interesses stehen: Das Echokammer Model sowie eine Erweiterung des Geburts-Todes Prozesses, die die Möglichkeit eines radikalen Abfalls der Populationsgr öße miteinschließt. Wir beginnen mit einer Einführung in Part I und teilen die verbleibende Arbeit in drei Teile auf, wobei sich die ersten beiden technischen Abschnitte, Part II und III, mit einer ausführlichen Analyse der Bausteine des Echokammer Models befassen und im dritten Abschnitt, in Part IV, der erweiterte Geburts- Todes Prozess untersucht wird. Dieser wird im Folgenden als Geburts-Todes Prozess mit teilweiser Katastrophe bezeichnet werden. Das Echokammer Model beschreibt die Entwicklung von Gruppen in zunächst heterogenen sozialen Netzwerken. Unter einem heterogenen sozialen Netzwerk verstehen wir dabei eine Menge von Individuen, von denen jedes exakt eine Meinungen vertritt. Meinungen werden vereinfacht durch Werte in [0, 1] modelliert. Bestehende Beziehungen unter den Individuen können dann durch einen Graphen dargestellt werden. Es handelt sich bei dem Echokammer Modell um ein zeit-diskretes Modell, das entsprechend, ähnlich einem Brettspiel, in Zügen abläuft. In jedem Zug wird zufällig gleichverteilt eine bestehende Beziehung aus dem Netzwerk ausgewählt und die beiden verbundenen Individuen interagieren. Dabei kann es zu zwei verschiedenen Interaktionen kommen. Sind die Meinungen der betroffenen Individuen hinreichend ähnlich, so nähern sie sich weiter in ihren Meinungen an, während sie im Fall von Meinungen, die zu weit von einander liegen, ihre Beziehung auflösen und sich eines der Individuen eine neue Beziehung sucht. 8 In dieser Arbeit untersuchen wir theoretisch die Bausteine dieses Modells. Dabei legen wir die Beobachtung zu Grunde, dass die Veränderungen der Beziehungsstruktur im Netzwerk durch einen System von interagierenden Partikeln auf einem abstrakteren Raum beschrieben werden kann. Dies erlaubt es insbesondere graphentheoretische überlegungen in die Analyse einfließen zu lassen. Diese überlegungen werden ausührlich in Part II diskutiert und führen zur Definition eines neuen, abstrahierten Graphens, der alle möglichen Beziehungskonfigurationen des sozialen Netzwerks umfasst. Dies erlaubt es uns einen ähnlichkeitsbegriff für Beziehungskonfigurationen auf Basis der benachbarten Knoten in besagtem Graphen zu definieren. Dies liefert uns das notwendige geometrische Verständnis um in Part III die dynamischen Komponenten des Echokammer models zu analysieren. Insbesondere fokusieren wir uns dabei auf die Dynamik der Kanten, für die bisher in der Literatur noch keine Ergebnisse existieren. Wir lassen zunächst in Abschnitt 7 die Meinungen der Individuen beiseite und nehmen an, dass die Position der Kanten sich in jedem Zug wie zuvor beschrieben ändert, um eine grundlegendes Verständnis der unterliegenden Dynamik zu erhalten. Unter der Verwendung der Theorie von Markovketten finden wir obere Schranken an die Konvergenzgeschwindigkeit einer assoziierten Markovkette gegen ihre eindeutige stationäre Verteilung und zeigen, dass es Netzwerke gibt, die miteinander identifizierbar und unter der analysierten Dynamik daheingehend ununterscheinbar sind, dass die stationäre Verteilung der assozierten Markovkette diesen Netzwerken dasselbe Gewicht zuordnet. Anschließend beweisen wir eine Reihe von quantitativen Resultaten, die sich insbesondere in Fällen, in denen die assozierte Markovkette reversibel ist, als berechenbar herausstellen. Insbesondere die explizite Form der stationären Verteilung sowie untere Schranken an die Cheeger Konstante zur Beschreibung der Konvergenzgeschwindigkeit stehen dabei im Fokus und werden ausführlich diskutiert. Nach dieser vertieften Analyse des reduzierten Modells, fügen wir die Meinungen unserer Betrachtung wieder hinzu. Das abschließende Result in Abschnitt 8, basierend auf absorbierenden Markovketten, liefert dann, dass in einer reduzierte Version des Echokammer Modells, in dem sich Individuen ähnlicher Meinung nicht annähern, eine hierarchische Struktur der Anzahl der konfliktreichen Beziehung identifiziert werden kann. Dies können wir ausnutzen, um eine obere Schranke an die erwartete Absorptionszeit, unter Zuhilfenahme einer quasi-stationären Verteilung, zu bestimmen. Diese hierarchische Struktur bildet außerdem eine Brücke zu klassischen Theorien von Geburts-Todes und, insbesondere, reinen Todes-Prozessen, für die eine reiche Literatur existiert. Wir zeigen abschließend auf, wie künftige Forschung diese Verbindung ausnutzen kann und diskutieren die Wichtigkeit der Ergbenisse als Bausteine eines vollständigen theoretischen Verständnisses des Echokammer Modells. Part IV stellt abschließend einen veröffentlichten Artikel vor, der sich dem Geburts- Todes Prozess mit teilweiser Katastrophe widmet. Besagter Artikel steht dabei auf zwei Säulen. Zum Einen der expliziten Berechnung des ersten Zeitpunkts einer Katastrophe, wenn die Population zu Beginn der Beobachtung von instabiler Größe ist. KW - Markov chains KW - graph theory KW - complex systems KW - interacting particle systems KW - Markovketten KW - komplexe Systeme KW - Graphentheorie KW - Systeme interagierender Partikel Y1 - 2022 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-553725 ER - TY - THES A1 - Ziege, Ricardo T1 - Growth dynamics and mechanical properties of E. coli biofilms T1 - Wachstumsdynamik und mechanische Eigenschaften von E. coli Biofilmen N2 - Biofilms are complex living materials that form as bacteria get embedded in a matrix of self-produced protein and polysaccharide fibres. The formation of a network of extracellular biopolymer fibres contributes to the cohesion of the biofilm by promoting cell-cell attachment and by mediating biofilm-substrate interactions. This sessile mode of bacteria growth has been well studied by microbiologists to prevent the detrimental effects of biofilms in medical and industrial settings. Indeed, biofilms are associated with increased antibiotic resistance in bacterial infections, and they can also cause clogging of pipelines or promote bio-corrosion. However, biofilms also gained interest from biophysics due to their ability to form complex morphological patterns during growth. Recently, the emerging field of engineered living materials investigates biofilm mechanical properties at multiple length scales and leverages the tools of synthetic biology to tune the functions of their constitutive biopolymers. This doctoral thesis aims at clarifying how the morphogenesis of Escherichia coli (E. coli) biofilms is influenced by their growth dynamics and mechanical properties. To address this question, I used methods from cell mechanics and materials science. I first studied how biological activity in biofilms gives rise to non-uniform growth patterns. In a second study, I investigated how E. coli biofilm morphogenesis and its mechanical properties adapt to an environmental stimulus, namely the water content of their substrate. Finally, I estimated how the mechanical properties of E. coli biofilms are altered when the bacteria express different extracellular biopolymers. On nutritive hydrogels, micron-sized E. coli cells can build centimetre-large biofilms. During this process, bacterial proliferation and matrix production introduce mechanical stresses in the biofilm, which release through the formation of macroscopic wrinkles and delaminated buckles. To relate these biological and mechanical phenomena, I used time-lapse fluorescence imaging to track cell and matrix surface densities through the early and late stages of E. coli biofilm growth. Colocalization of high cell and matrix densities at the periphery precede the onset of mechanical instabilities at this annular region. Early growth is detected at this outer annulus, which was analysed by adding fluorescent microspheres to the bacterial inoculum. But only when high rates of matrix production are present in the biofilm centre, does overall biofilm spreading initiate along the solid-air interface. By tracking larger fluorescent particles for a long time, I could distinguish several kinematic stages of E. coli biofilm expansion and observed a transition from non-linear to linear velocity profiles, which precedes the emergence of wrinkles at the biofilm periphery. Decomposing particle velocities to their radial and circumferential components revealed a last kinematic stage, where biofilm movement is mostly directed towards the radial delaminated buckles, which verticalize. The resulting compressive strains computed in these regions were observed to substantially deform the underlying agar substrates. The co-localization of higher cell and matrix densities towards an annular region and the succession of several kinematic stages are thus expected to promote the emergence of mechanical instabilities at the biofilm periphery. These experimental findings are predicted to advance future modelling approaches of biofilm morphogenesis. E. coli biofilm morphogenesis is further anticipated to depend on external stimuli from the environment. To clarify how the water could be used to tune biofilm material properties, we quantified E. coli biofilm growth, wrinkling dynamics and rigidity as a function of the water content of the nutritive substrates. Time-lapse microscopy and computational image analysis revealed that substrates with high water content promote biofilm spreading kinetics, while substrates with low water content promote biofilm wrinkling. The wrinkles observed on biofilm cross-sections appeared more bent on substrates with high water content, while they tended to be more vertical on substrates with low water content. Both wet and dry biomass, accumulated over 4 days of culture, were larger in biofilms cultured on substrates with high water content, despite extra porosity within the matrix layer. Finally, the micro-indentation analysis revealed that substrates with low water content supported the formation of stiffer biofilms. This study shows that E. coli biofilms respond to the water content of their substrate, which might be used for tuning their material properties in view of further applications. Biofilm material properties further depend on the composition and structure of the matrix of extracellular proteins and polysaccharides. In particular, E. coli biofilms were suggested to present tissue-like elasticity due to a dense fibre network consisting of amyloid curli and phosphoethanolamine-modified cellulose. To understand the contribution of these components to the emergent mechanical properties of E. coli biofilms, we performed micro-indentation on biofilms grown from bacteria of several strains. Besides showing higher dry masses, larger spreading diameters and slightly reduced water contents, biofilms expressing both main matrix components also presented high rigidities in the range of several hundred kPa, similar to biofilms containing only curli fibres. In contrast, a lack of amyloid curli fibres provides much higher adhesive energies and more viscoelastic fluid-like material behaviour. Therefore, the combination of amyloid curli and phosphoethanolamine-modified cellulose fibres implies the formation of a composite material whereby the amyloid curli fibres provide rigidity to E. coli biofilms, whereas the phosphoethanolamine-modified cellulose rather acts as a glue. These findings motivate further studies involving purified versions of these protein and polysaccharide components to better understand how their interactions benefit biofilm functions. All three studies depict different aspects of biofilm morphogenesis, which are interrelated. The first work reveals the correlation between non-uniform biological activities and the emergence of mechanical instabilities in the biofilm. The second work acknowledges the adaptive nature of E. coli biofilm morphogenesis and its mechanical properties to an environmental stimulus, namely water. Finally, the last study reveals the complementary role of the individual matrix components in the formation of a stable biofilm material, which not only forms complex morphologies but also functions as a protective shield for the bacteria it contains. Our experimental findings on E. coli biofilm morphogenesis and their mechanical properties can have further implications for fundamental and applied biofilm research fields. N2 - Biofilme sind komplexe lebende Materialien, die sich bilden, wenn Bakterien in eine Matrix aus selbstproduzierten Protein- und Polysaccharidfasern eingebettet werden. Die Bildung eines Netzwerks aus extrazellulären Biopolymerfasern trägt zum Zusammenhalt des Biofilms bei, indem sie die Zell-Zell-Anhaftung fördert und die Wechselwirkungen zwischen Biofilm und Substrat vermittelt. Diese sessile Form des Bakterienwachstums wurde von Mikrobiologen eingehend untersucht, um die schädlichen Auswirkungen von Biofilmen in der Medizin und Industrie zu verhindern. Biofilme werden nämlich mit einer erhöhten Antibiotikaresistenz bei bakteriellen Infektionen in Verbindung gebracht, und sie können auch zur Verstopfung von Rohrleitungen führen oder Biokorrosion fördern. Biofilme sind jedoch auch für die Biophysik von Interesse, da sie während ihres Wachstums komplexe morphologische Muster bilden können. In jüngster Zeit werden auf dem aufstrebenden Gebiet der künstlich hergestellten lebenden Materialien die mechanischen Eigenschaften von Biofilmen auf verschiedenen Längenskalen untersucht und die Werkzeuge der synthetischen Biologie genutzt, um die Funktionen ihrer konstitutiven Biopolymere zu beeinflussen. In dieser Doktorarbeit soll geklärt werden, wie die Morphogenese von Escherichia coli (E. coli)-Biofilmen durch deren Wachstumsdynamik und mechanische Eigenschaften beeinflusst wird. Um dieser Frage nachzugehen, habe ich Methoden aus der Zellmechanik und der Materialwissenschaft verwendet. Zunächst habe ich untersucht, wie die biologische Aktivität in Biofilmen zu ungleichmäßigen Wachstumsmustern führt. In einer zweiten Studie untersuchte ich, wie sich die Morphogenese von E. coli-Biofilmen und ihre mechanischen Eigenschaften an einen Umweltstimulus, nämlich den Wassergehalt des Substrats, anpassen. Schließlich habe ich abgeschätzt, wie sich die mechanischen Eigenschaften von E. coli-Biofilmen verändern, wenn die Bakterien verschiedene extrazelluläre Biopolymere exprimieren. Auf nährstoffhaltigen Hydrogelen können mikrometergroße E. coli-Zellen zentimetergroße Biofilme bilden. Während dieses Prozesses führen die bakterielle Vermehrung und die Matrixproduktion zu mechanischen Spannungen im Biofilm, die sich durch die Bildung von makroskopischen Falten und delaminierten Knicken entladen. Um diese biologischen und mechanischen Phänomene miteinander in Beziehung zu setzen, habe ich mit Hilfe von Zeitraffer-Fluoreszenzaufnahmen die Zell- und Matrixoberflächendichte in den frühen und späten Phasen des E. coli-Biofilmwachstums verfolgt. Die Kolokalisierung hoher Zell- und Matrixdichten an der Peripherie geht dem Auftreten mechanischer Instabilitäten in diesem ringförmigen Bereich voraus. An diesem äußeren Ring wird ein frühes Wachstum festgestellt, das durch Zugabe von fluoreszierenden Mikrokugeln zum bakteriellen Inokulum analysiert wurde. Aber nur wenn im Zentrum des Biofilms hohe Raten der Matrixproduktion vorhanden sind, beginnt die Ausbreitung des gesamten Biofilms entlang der Feststoff-Luft-Grenzfläche. Indem ich größere fluoreszierende Partikel über einen längeren Zeitraum verfolgte, konnte ich mehrere kinematische Stadien der E. coli-Biofilmexpansion unterscheiden und einen Übergang von nichtlinearen zu linearen Geschwindigkeitsprofilen beobachten, der dem Auftreten von Falten an der Biofilmperipherie vorausgeht. Die Zerlegung der Partikelgeschwindigkeiten in ihre radialen und umlaufenden Komponenten ergab ein letztes kinematisches Stadium, in dem die Bewegung des Biofilms hauptsächlich auf die radialen delaminierten Knicke gerichtet ist, die sich vertikalisieren. Die in diesen Regionen berechneten Druckspannungen verformen die darunter liegenden Agarsubstrate erheblich. Die gleichzeitige Ansammlung höherer Zell- und Matrixdichten in einer ringförmigen Region und die Abfolge mehrerer kinematischer Stadien dürften somit das Entstehen mechanischer Instabilitäten an der Biofilm-Peripherie fördern. Diese experimentellen Ergebnisse werden voraussichtlich zukünftige Modellierungsansätze der Biofilmmorphogenese voranbringen. Die Morphogenese des E. coli-Biofilms wird voraussichtlich auch von externen Stimuli aus der Umwelt abhängen. Um zu klären, wie das Wasser zur Einstellung der Materialeigenschaften von Biofilmen genutzt werden könnte, haben wir das Wachstum, die Faltenbildung und die Steifigkeit von E. coli-Biofilmen in Abhängigkeit vom Wassergehalt der Nährsubstrate quantifiziert. Zeitraffermikroskopie und computergestützte Bildanalyse zeigten, dass Substrate mit hohem Wassergehalt die Ausbreitungskinetik des Biofilms fördern, während Substrate mit niedrigem Wassergehalt die Faltenbildung des Biofilms begünstigen. Die auf Biofilm-Querschnitten beobachteten Falten erschienen auf Substraten mit hohem Wassergehalt stärker gebogen, während sie auf Substraten mit niedrigem Wassergehalt eher vertikal verliefen. Sowohl die feuchte als auch die trockene Biomasse, die während der 4-tägigen Kultur akkumuliert wurde, war in Biofilmen, die auf Substraten mit hohem Wassergehalt gezüchtet wurden, größer, trotz der zusätzlichen Porosität innerhalb der Matrixschicht. Schließlich ergab die Mikroindentationsanalyse, dass Substrate mit niedrigem Wassergehalt die Bildung von steiferen Biofilmen begünstigten. Diese Studie zeigt, dass E. coli-Biofilme auf den Wassergehalt ihres Substrats reagieren, was für die Abstimmung ihrer Materialeigenschaften im Hinblick auf weitere Anwendungen genutzt werden könnte. Die Materialeigenschaften von Biofilmen hängen außerdem von der Zusammensetzung und Struktur der Matrix aus extrazellulären Proteinen und Polysacchariden ab. Insbesondere wurde vermutet, dass E. coli-Biofilme aufgrund eines dichten Fasernetzwerks aus Amyloid-Curli und Phosphoethanolamin-modifizierter Cellulose eine gewebeähnliche Elastizität aufweisen. Um den Beitrag dieser Komponenten zu den entstehenden mechanischen Eigenschaften von E. coli-Biofilmen zu verstehen, führten wir an Biofilmen, die aus Bakterien verschiedener Stämme gewachsen waren, Mikroeindrücke durch. Biofilme, die beide Hauptmatrixkomponenten enthalten, wiesen nicht nur eine höhere Trockenmasse, einen größeren Ausbreitungsdurchmesser und einen leicht verringerten Wassergehalt auf, sondern auch eine hohe Steifigkeit im Bereich von mehreren hundert kPa, ähnlich wie Biofilme, die nur Curli-Fasern enthalten. Das Fehlen von Amyloid-Curli-Fasern führt dagegen zu deutlich höheren Adhäsionsenergien und einem viskoelastischeren, flüssigkeitsähnlichen Materialverhalten. Die Kombination von Amyloid-Curli-Fasern und Phosphoethanolamin-modifizierten Cellulosefasern impliziert daher die Bildung eines Verbundmaterials, bei dem die Amyloid-Curli-Fasern den E. coli-Biofilmen Steifigkeit verleihen, während die Phosphoethanolamin-modifizierte Cellulose eher als Klebstoff wirkt. Diese Ergebnisse motivieren zu weiteren Studien mit gereinigten Versionen dieser Protein- und Polysaccharidkomponenten, um besser zu verstehen, wie ihre Interaktionen die Funktionen des Biofilms unterstützen. Alle drei Studien zeigen verschiedene Aspekte der Biofilm-Morphogenese, die miteinander verbunden sind. Die erste Arbeit zeigt den Zusammenhang zwischen ungleichmäßigen biologischen Aktivitäten und dem Auftreten mechanischer Instabilitäten im Biofilm auf. Die zweite Arbeit bestätigt die Anpassungsfähigkeit der Morphogenese des E. coli-Biofilms und seiner mechanischen Eigenschaften an einen Umweltreiz, nämlich Wasser. Die letzte Studie schließlich zeigt die komplementäre Rolle der einzelnen Matrixkomponenten bei der Bildung eines stabilen Biofilmmaterials, das nicht nur komplexe Morphologien bildet, sondern auch als Schutzschild für die darin enthaltenen Bakterien fungiert. Unsere experimentellen Erkenntnisse über die Morphogenese von E. coli-Biofilmen und ihre mechanischen Eigenschaften können weitere Auswirkungen auf grundlegende und angewandte Biofilm-Forschungsbereiche haben. KW - biofilm KW - E. coli KW - living materials KW - mechanobiology KW - E. coli KW - Biofilm KW - lebende Materialien KW - Mechanobiologie Y1 - 2022 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-559869 ER - TY - JOUR A1 - Püschel, Gerhard A1 - Klauder, Julia A1 - Henkel-Oberländer, Janin T1 - Macrophages, low-grade inflammation, insulin resistance and hyperinsulinemia BT - A mutual ambiguous relationship in the development of metabolic diseases JF - Journal of Clinical Medicine : open access journal N2 - Metabolic derangement with poor glycemic control accompanying overweight and obesity is associated with chronic low-grade inflammation and hyperinsulinemia. Macrophages, which present a very heterogeneous population of cells, play a key role in the maintenance of normal tissue homeostasis, but functional alterations in the resident macrophage pool as well as newly recruited monocyte-derived macrophages are important drivers in the development of low-grade inflammation. While metabolic dysfunction, insulin resistance and tissue damage may trigger or advance pro-inflammatory responses in macrophages, the inflammation itself contributes to the development of insulin resistance and the resulting hyperinsulinemia. Macrophages express insulin receptors whose downstream signaling networks share a number of knots with the signaling pathways of pattern recognition and cytokine receptors, which shape macrophage polarity. The shared knots allow insulin to enhance or attenuate both pro-inflammatory and anti-inflammatory macrophage responses. This supposedly physiological function may be impaired by hyperinsulinemia or insulin resistance in macrophages. This review discusses the mutual ambiguous relationship of low-grade inflammation, insulin resistance, hyperinsulinemia and the insulin-dependent modulation of macrophage activity with a focus on adipose tissue and liver. KW - NAFLD/MAFLD KW - type 2 diabetes KW - obesity KW - vicious cycle KW - TLR signaling KW - M1/M2 differentiation KW - Akt pathway Y1 - 2022 U6 - https://doi.org/10.3390/jcm11154358 SN - 2077-0383 VL - 11 IS - 15 SP - 1 EP - 30 PB - MDPI CY - Basel, Schweiz ER - TY - THES A1 - Steding, Svenja T1 - Geochemical and Hydraulic Modeling of Cavernous Structures in Potash Seams T1 - Geochemische und hydraulische Modellierung kavernöser Strukturen in Kaliflözen N2 - Salt deposits offer a variety of usage types. These include the mining of rock salt and potash salt as important raw materials, the storage of energy in man-made underground caverns, and the disposal of hazardous substances in former mines. The most serious risk with any of these usage types comes from the contact with groundwater or surface water. It causes an uncontrolled dissolution of salt rock, which in the worst case can result in the flooding or collapse of underground facilities. Especially along potash seams, cavernous structures can spread quickly, because potash salts show a much higher solubility than rock salt. However, as their chemical behavior is quite complex, previous models do not account for these highly soluble interlayers. Therefore, the objective of the present thesis is to describe the evolution of cavernous structures along potash seams in space and time in order to improve hazard mitigation during the utilization of salt deposits. The formation of cavernous structures represents an interplay of chemical and hydraulic processes. Hence, the first step is to systematically investigate the dissolution and precipitation reactions that occur when water and potash salt come into contact. For this purpose, a geochemical reaction model is used. The results show that the minerals are only partially dissolved, resulting in a porous sponge like structure. With the saturation of the solution increasing, various secondary minerals are formed, whose number and type depend on the original rock composition. Field data confirm a correlation between the degree of saturation and the distance from the center of the cavern, where solution is entering. Subsequently, the reaction model is coupled with a flow and transport code and supplemented by a novel approach called ‘interchange’. The latter enables the exchange of solution and rock between areas of different porosity and mineralogy, and thus ultimately the growth of the cavernous structure. By means of several scenario analyses, cavern shape, growth rate and mineralogy are systematically investigated, taking also heterogeneous potash seams into account. The results show that basically four different cases can be distinguished, with mixed forms being a frequent occurrence in nature. The classification scheme is based on the dimensionless numbers Péclet and Damköhler, and allows for a first assessment of the hazard potential. In future, the model can be applied to any field case, using measurement data for calibration. The presented research work provides a reactive transport model that is able to spatially and temporally characterize the propagation of cavernous structures along potash seams for the first time. Furthermore, it allows to determine thickness and composition of transition zones between cavern center and unaffected salt rock. The latter is particularly important in potash mining, so that natural cavernous structures can be located at an early stage and the risk of mine flooding can thus be reduced. The models may also contribute to an improved hazard prevention in the construction of storage caverns and the disposal of hazardous waste in salt deposits. Predictions regarding the characteristics and evolution of cavernous structures enable a better assessment of potential hazards, such as integrity or stability loss, as well as of suitable mitigation measures. N2 - Salzlagerstätten bieten eine Vielzahl an Nutzungsmöglichkeiten. Diese umfassen den Abbau von Steinsalz und Kalisalz als wichtige Rohstoffe, die Speicherung von Energie in künstlich erzeugten Hohlräumen, sowie die Entsorgung gefährlicher Substanzen in stillgelegten Bergwerken. Die größte Gefahr bei jeder dieser Nutzungsarten ist der Kontakt mit Grund- oder Oberflächenwasser. Er bewirkt eine unkontrollierte Lösung des Salzgesteins, was im schlimmsten Fall zur Flutung oder zum Einsturz unterirdischer Infrastrukturen führt. Insbesondere entlang von Kaliflözen können sich kavernöse Strukturen schnell ausbreiten, da Kalisalze eine wesentlich höhere Löslichkeit besitzen als Steinsalz. Ihr chemisches Verhalten ist jedoch komplex, weshalb bisherige Modelle diese hochlöslichen Zwischenschichten vernachlässigen. Ziel der vorliegenden Doktorarbeit ist es daher, die Ausbreitung kavernöser Strukturen entlang von Kaliflözen räumlich und zeitlich zu beschreiben und damit die Möglichkeiten zur Gefahrenprävention bei der Nutzung von Salzlagerstätten zu verbessern. Die Bildung kavernöser Strukturen ist ein Zusammenspiel chemischer und hydraulischer Prozesse. Zunächst wird daher mithilfe eines geochemischen Reaktionsmodells systematisch untersucht, welche Lösungs- und Fällungsreaktionen beim Kontakt von Wasser und Kalisalz auftreten. Die Ergebnisse zeigen, dass nur ein Teil der Minerale gelöst wird, wodurch sich eine poröse, schwammartige Struktur bildet. Mit zunehmender Aufsättigung der Lösung treten verschiedene Sekundärminerale auf, deren Anzahl und Art vom Ausgangsgestein abhängen. Felddaten belegen dabei eine Korrelation zwischen Sättigungsgrad und Abstand vom Kavernenzentrum, wo die Lösung ein- und austritt. Anschließend wird das Reaktionsmodell mit einem Strömungs- und Transportcode gekoppelt und um einen neuartigen Ansatz namens "interchange" ergänzt. Dieser ermöglicht den Austausch von Lösung und Gestein zwischen Bereichen unterschiedlicher Porosität und Mineralogie, und damit letztlich das Wachstum der kavernösen Struktur. In mehreren Szenarienanalysen werden Kavernenform, Ausbreitungsgeschwindigkeit und Mineralogie systematisch untersucht und dabei auch heterogene Kaliflöze betrachtet. Die Ergebnisse zeigen, dass grundsätzlich vier Fälle zu unterscheiden sind, wobei in der Natur häufig Mischformen auftreten. Die Klassifizierung erfolgt auf Basis der dimensionslosen Kennzahlen Péclet und Damköhler und ermöglicht eine erste Abschätzung des Gefahrenpotentials. In Zukunft kann das Modell auf beliebige Feldbeispiele angewandt und mithilfe von Messdaten kalibriert werden. Die vorliegende Arbeit liefert ein reaktives Transportmodell, mit dem die Ausbreitung kavernöser Strukturen entlang von Kaliflözen erstmals räumlich und zeitlich beschrieben werden kann. Auch Mächtigkeit und Zusammensetzung der Übergangszone zwischen Kavernenzentrum und unberührtem Salzgestein können damit bestimmt werden. Letzteres ist insbesondere im Kalibergbau von Bedeutung, um natürliche kavernöse Strukturen rechtzeitig zu lokalisieren und damit das Risiko für eine Flutung von Bergwerken zu verringern. Auch bei der Herstellung von Speicherkavernen und der Einlagerung gefährlicher Substanzen im Salzgestein können die Modelle zu einer besseren Gefahrenprävention beitragen. Sie ermöglichen Prognosen über Beschaffenheit und Ausbreitungsverhalten kavernöser Strukturen, wodurch sowohl potentielle Gefahren, wie der Verlust von Dichtigkeit oder Stabilität, als auch geeignete Gegenmaßnahmen besser abschätzbar werden. KW - reactive transport KW - reaktiver Transport KW - salt rock KW - Salzgestein KW - water rock interactions KW - Wasser-Gesteins-Wechselwirkungen KW - density-driven flow KW - dichtegetriebene Strömung KW - PHREEQC Y1 - 2022 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-548182 ER - TY - THES A1 - Richter, Maximilian Jacob Enzo Amandus T1 - Continental rift dynamics across the scales T1 - Dynamiken kontinentaler Grabenbrüche über die Skalen BT - numerical modelling of localisation processes BT - numerische Modellierung von Lokalisations-Prozessen N2 - Localisation of deformation is a ubiquitous feature in continental rift dynamics and observed across drastically different time and length scales. This thesis comprises one experimental and two numerical modelling studies investigating strain localisation in (1) a ductile shear zone induced by a material heterogeneity and (2) in an active continental rift setting. The studies are related by the fact that the weakening mechanisms on the crystallographic and grain size scale enable bulk rock weakening, which fundamentally enables the formation of shear zones, continental rifts and hence plate tectonics. Aiming to investigate the controlling mechanisms on initiation and evolution of a shear zone, the torsion experiments of the experimental study were conducted in a Patterson type apparatus with strong Carrara marble cylinders with a weak, planar Solnhofen limestone inclusion. Using state-of-the-art numerical modelling software, the torsion experiments were simulated to answer questions regarding localisation procedure like stress distribution or the impact of rheological weakening. 2D numerical models were also employed to integrate geophysical and geological data to explain characteristic tectonic evolution of the Southern and Central Kenya Rift. Key elements of the numerical tools are a randomized initial strain distribution and the usage of strain softening. During the torsion experiments, deformation begins to localise at the limestone inclusion tips in a process zone, which propagates into the marble matrix with increasing deformation until a ductile shear zone is established. Minor indicators for coexisting brittle deformation are found close to the inclusion tip and presumed to slightly facilitate strain localisation besides the dominant ductile deformation processes. The 2D numerical model of the torsion experiment successfully predicts local stress concentration and strain rate amplification ahead of the inclusion in first order agreement with the experimental results. A simple linear parametrization of strain weaking enables high accuracy reproduction of phenomenological aspects of the observed weakening. The torsion experiments suggest that loading conditions do not affect strain localisation during high temperature deformation of multiphase material with high viscosity contrasts. A numerical simulation can provide a way of analysing the process zone evolution virtually and extend the examinable frame. Furthermore, the nested structure and anastomosing shape of an ultramylonite band was mimicked with an additional second softening step. Rheological weakening is necessary to establish a shear zone in a strong matrix around a weak inclusion and for ultramylonite formation. Such strain weakening laws are also incorporated into the numerical models of the Southern and Central Kenya Rift that capture the characteristic tectonic evolution. A three-stage early rift evolution is suggested that starts with (1) the accommodation of strain by a single border fault and flexure of the hanging-wall crust, after which (2) faulting in the hanging-wall and the basin centre increases before (3) the early-stage asymmetry is lost and basinward localisation of deformation occurs. Along-strike variability of rifts can be produced by modifying the initial random noise distribution. In summary, the three studies address selected aspects of the broad range of mechanisms and processes that fundamentally enable the deformation of rock and govern the localisation patterns across the scales. In addition to the aforementioned results, the first and second manuscripts combined, demonstrate a procedure to find new or improve on existing numerical formulations for specific rheologies and their dynamic weakening. These formulations are essential in addressing rock deformation from the grain to the global scale. As within the third study of this thesis, where geodynamic controls on the evolution of a rift were examined and acquired by the integration of geological and geophysical data into a numerical model. N2 - Die Lokalisierung von Deformation ist ein allgegenwärtiges Merkmal in der Dynamik von Grabenbrüchen bzw. Riftzonen und wird über verschiedene Zeit- und Längenskalen beobachtet. Diese Arbeit umfasst eine experimentelle und zwei numerische Studien zur Untersuchung der Lokalisierung von Deformation in (1) einer durch eine Materialheterogenität induzierten duktilen Scherzone und (2) in einem aktiven Kontinentalgraben. Die Studien verbindet, dass die Schwächungsmechanismen auf der kristallographischen Skala und der Korngrößenskala eine Enthärtung eines Gesteinkörpers ermöglicht, was im Wesentlichen die Bildung von Scherzonen, Grabenbrüchen und damit Plattentektonik ermöglicht. Um die Kontrollmechanismen für die Initiierung und Entwicklung einer Scherzone zu untersuchen, wurden die Torsionsexperimente der experimentellen Studie in einem Patterson-Gerät an starken Carrara-Marmorzylinder mit einer schwachen, planaren Solnhofen-Kalksteineinschluss durchgeführt. Mit modernster numerischer Modellierungssoftware wurden die Torsionsexperimente simuliert, um weitere Fragen zum Lokalisierungsablauf wie die Verteilung der Spannung oder den Einfluss rheologischer Schwächung zu beantworten. Numerische 2D-Modelle wurden auch verwendet, um geophysikalische und geologische Daten zu kombinieren, um die charakteristische tektonische Entwicklung des südlichen und zentralen Kenia-Rifts zu erklären. Schlüsselelemente der verwendeten numerischen Werkzeuge sind eine randomisierte Anfangsverteilung des Strain und der Einsatz von Strain basierter Enthärtung. Während der Torsionsversuche lokalisiert die Deformation zunächst an den Kalksteineinschlussspitzen in einer Prozesszone, die sich mit zunehmender Deformation in die Marmormatrix ausbreitet bis sich eine duktile Scherzone einstellt. Neben den dominierenden duktilen Verformungsprozessen werden geringfügige Indikatoren für eine koexistierende spröde Verformung nahe der Einschlussspitzen gefunden und es wird angenommen, dass diese die Lokalisierung der Deformation geringfügig erleichtern. In erster Ordnung sagt das numerische 2D-Modell des Torsionsexperiments erfolgreich lokale Spannungskonzentration und Strainratenverstärkung vor der Inklusion in Übereinstimmung mit den experimentellen Ergebnissen vorher. Eine einfache lineare Parametrisierung der Enthärtung durch Strain ermöglicht eine genaue Reproduktion phänomenologischer Aspekte der beobachteten Schwächung. Die Torsionsexperimente legen nahe, dass die Randbedingungen die Lokalisierung des Strain während der Hochtemperaturverformung von Mehrphasenmaterial mit hohen Viskositätskontrasten nicht beeinflussen. Die numerische Simulation ermöglicht es, die Entwicklung der Prozesszone virtuell zu analysieren und den Untersuchungsrahmen zu erweitern. Darüber hinaus wurde die verschachtelte Struktur und anastomosierende Form eines Ultramylonitbandes mit einem zusätzlichen zweiten Enthärtungsschritt nachgeahmt. Die rheologische Schwächung ist notwendig, um eine Scherzone in einer starken Matrix um einen schwachen Einschluss herum und für die Ultramylonitbildung zu etablieren. Solche Schwächungsgesetze, die auf Strain basieren, fließen auch in die numerischen Modelle des südlichen und zentralen Kenia-Rifts ein, die die charakteristische tektonische Entwicklung erfassen. Es wird eine dreistufige frühe Riftentwicklung vorgeschlagen, die mit (1) der Anpassung von Spannungen durch eine einzelne Grenzstörung und Biegung der hangenden Kruste beginnt, wonach (2) die Verwerfung im Hangenden und im Beckenzentrum zunimmt, bevor (3) die Asymmetrie des Frühstadiums verloren geht und es zu einer beckenseitigen Deformationslokalisierung kommt. Die Variabilität von Rissen entlang des Rifts kann durch Modifizieren der anfänglichen zufälligen Rauschverteilung erzeugt werden. Zusammenfassend befassen sich die drei Studien mit ausgewählten Aspekten der breiten Palette von Mechanismen und Prozessen, die die Deformation von Gestein grundlegend ermöglichen und die Lokalisierungsmuster über die Skalen bestimmen. Zusätzlich zu den oben genannten Ergebnissen demonstrieren das erste und zweite Manuskript in Kombination ein Verfahren, um neue oder bestehende numerische Formulierungen für spezifische Rheologien und deren dynamische Schwächung zu finden oder zu verbessern. Diese Formulierungen sind essenziell, um Gesteinsverformung von der Korngrößen bis zur globalen Skala zu untersuchen. Wie in der dritten Studie dieser Dissertation, in der geodynamische Kontrollen auf die Entwicklung eines Grabenbruchs durch die Integration geologischer und geophysikalischer Daten in ein numerisches Modell untersucht und erfasst wurden. KW - Strain Localisation KW - Continental Rifts KW - Torsion Experiments KW - Geodynamic Modelling KW - 2D Numerical Modelling KW - Lokalisierung von Deformation KW - Grabenbrüche KW - Geodynamische Modellierung KW - Torsionsexperimente KW - Numerische 2D Modellierung Y1 - 2022 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-550606 ER - TY - THES A1 - Tattarini, Giulia T1 - A job is good, but is a good job healthier? BT - Longitudinal analyses on the health consequences of unemployment and precarious employment in Europe N2 - What are the consequences of unemployment and precarious employment for individuals' health in Europe? What are the moderating factors that may offset (or increase) the health consequences of labor-market risks? How do the effects of these risks vary across different contexts, which differ in their institutional and cultural settings? Does gender, regarded as a social structure, play a role, and how? To answer these questions is the aim of my cumulative thesis. This study aims to advance our knowledge about the health consequences that unemployment and precariousness cause over the life course. In particular, I investigate how several moderating factors, such as gender, the family, and the broader cultural and institutional context, may offset or increase the impact of employment instability and insecurity on individual health. In my first paper, 'The buffering role of the family in the relationship between job loss and self-perceived health: Longitudinal results from Europe, 2004-2011', I and my co-authors measure the causal effect of job loss on health and the role of the family and welfare states (regimes) as moderating factors. Using EU-SILC longitudinal data (2004-2011), we estimate the probability of experiencing 'bad health' following a transition to unemployment by applying linear probability models and undertake separate analyses for men and women. Firstly, we measure whether changes in the independent variable 'job loss' lead to changes in the dependent variable 'self-rated health' for men and women separately. Then, by adding into the model different interaction terms, we measure the moderating effect of the family, both in terms of emotional and economic support, and how much it varies across different welfare regimes. As an identification strategy, we first implement static fixed-effect panel models, which control for time-varying observables and indirect health selection—i.e., constant unobserved heterogeneity. Secondly, to control for reverse causality and path dependency, we implement dynamic fixed-effect panel models, adding a lagged dependent variable to the model. We explore the role of the family by focusing on close ties within households: we consider the presence of a stable partner and his/her working status as a source of social and economic support. According to previous literature, having a partner should reduce the stress from adverse events, thanks to the symbolic and emotional dimensions that such a relationship entails, regardless of any economic benefits. Our results, however, suggest that benefits linked to the presence of a (female) partner also come from the financial stability that (s)he can provide in terms of a second income. Furthermore, we find partners' employment to be at least as important as the mere presence of the partner in reducing the negative effect of job loss on the individual's health by maintaining the household's standard of living and decreasing economic strain on the family. Our results are in line with previous research, which has highlighted that some people cope better than others with adverse life circumstances, and the support provided by the family is a crucial resource in that regard. We also reported an important interaction between the family and the welfare state in moderating the health consequences of unemployment, showing how the compensation effect of the family varies across welfare regimes. The family plays a decisive role in cushioning the adverse consequences of labor market risks in Southern and Eastern welfare states, characterized by less developed social protection systems and –especially the Southern – high level of familialism. The first paper also found important gender differences concerning job loss, family and welfare effects. Of particular interest is the evidence suggesting that health selection works differently for men and women, playing a more prominent role for women than for men in explaining the relationship between job loss and self-perceived health. The second paper, 'Gender roles and selection mechanisms across contexts: A comparative analysis of the relationship between unemployment, self-perceived health, and gender.' investigates more in-depth the gender differential in health driven by unemployment. Being a highly contested issue in literature, we aim to study whether men are more penalized than women or the other way around and the mechanisms that may explain the gender difference. To do that, we rely on two theoretical arguments: the availability of alternative roles and social selection. The first argument builds on the idea that men and women may compensate for the detrimental health consequences of unemployment through the commitment to 'alternative roles,' which can provide for the resources needed to fulfill people's socially constructed needs. Notably, the availability of alternative options depends on the different positions that men and women have in society. Further, we merge the availability of the 'alternative roles' argument with the health selection argument. We assume that health selection could be contingent on people's social position as defined by gender and, thus, explain the gender differential in the relationship between unemployment and health. Ill people might be less reluctant to fall or remain (i.e., self-select) in unemployment if they have alternative roles. In Western societies, women generally have more alternative roles than men and thus more discretion in their labor market attachment. Therefore, health selection should be stronger for them, explaining why unemployment is less menace for women than for their male counterparts. Finally, relying on the idea of different gender regimes, we extended these arguments to comparison across contexts. For example, in contexts where being a caregiver is assumed to be women's traditional and primary roles and the primary breadwinner role is reserved to men, unemployment is less stigmatized, and taking up alternative roles is more socially accepted for women than for men (Hp.1). Accordingly, social (self)selection should be stronger for women than for men in traditional contexts, where, in the case of ill-health, the separation from work is eased by the availability of alternative roles (Hp.2). By focusing on contexts that are representative of different gender regimes, we implement a multiple-step comparative approach. Firstly, by using EU-SILC longitudinal data (2004-2015), our analysis tests gender roles and selection mechanisms for Sweden and Italy, representing radically different gender regimes, thus providing institutional and cultural variation. Then, we limit institutional heterogeneity by focusing on Germany and comparing East- and West-Germany and older and younger cohorts—for West-Germany (SOEP data 1995-2017). Next, to assess the differential impact of unemployment for men and women, we compared (unemployed and employed) men with (unemployed and employed) women. To do so, we calculate predicted probabilities and average marginal effect from two distinct random-effects probit models. Our first step is estimating random-effects models that assess the association between unemployment and self-perceived health, controlling for observable characteristics. In the second step, our fully adjusted model controls for both direct and indirect selection. We do this using dynamic correlated random-effects (CRE) models. Further, based on the fully adjusted model, we test our hypotheses on alternative roles (Hp.1) by comparing several contexts – models are estimated separately for each context. For this hypothesis, we pool men and women and include an interaction term between unemployment and gender, which has the advantage to allow for directly testing whether gender differences in the effect of unemployment exist and are statistically significant. Finally, we test the role of selection mechanisms (Hp.2), using the KHB method to compare coefficients across nested nonlinear models. Specifically, we test the role of selection for the relationship between unemployment and health by comparing the partially-adjusted and fully-adjusted models. To allow selection mechanisms to operate differently between genders, we estimate separate models for men and women. We found support to our first hypotheses—the context where people are embedded structures the relationship between unemployment, health, and gender. We found no gendered effect of unemployment on health in the egalitarian context of Sweden. Conversely, in the traditional context of Italy, we observed substantive and statistically significant gender differences in the effect of unemployment on bad health, with women suffering less than men. We found the same pattern for comparing East and West Germany and younger and older cohorts in West Germany. On the contrary, our results did not support our theoretical argument on social selection. We found that in Sweden, women are more selected out of employment than men. In contrast, in Italy, health selection does not seem to be the primary mechanism behind the gender differential—Italian men and women seem to be selected out of employment to the same extent. Namely, we do not find any evidence that health selection is stronger for women in more traditional countries (Hp2), despite the fact that the institutional and the cultural context would offer them a more comprehensive range of 'alternative roles' relative to men. Moreover, our second hypothesis is also rejected in the second and third comparisons, where the cross-country heterogeneity is reduced to maximize cultural differences within the same institutional context. Further research that addresses selection into inactivity is needed to evaluate the interplay between selection and social roles across gender regimes. While the health consequences of unemployment have been on the research agenda for a pretty long time, the interest in precarious employment—defined as the linking of the vulnerable worker to work that is characterized by uncertainty and insecurity concerning pay, the stability of the work arrangement, limited access to social benefits, and statutory protections—has emerged only later. Since the 80s, scholars from different disciplines have raised concerns about the social consequences of de-standardization of employment relationships. However, while work has become undoubtedly more precarious, very little is known about its causal effect on individual health and the role of gender as a moderator. These questions are at the core of my third paper : 'Bad job, bad health? A longitudinal analysis of the interaction between precariousness, gender and self-perceived health in Germany'. Herein, I investigate the multidimensional nature of precarious employment and its causal effect on health, particularly focusing on gender differences. With this paper, I aim at overcoming three major shortcomings of earlier studies: The first one regards the cross-sectional nature of data that prevents the authors from ruling out unobserved heterogeneity as a mechanism for the association between precarious employment and health. Indeed, several unmeasured individual characteristics—such as cognitive abilities—may confound the relationship between precarious work and health, leading to biased results. Secondly, only a few studies have directly addressed the role of gender in shaping the relationship. Moreover, available results on the gender differential are mixed and inconsistent: some found precarious employment being more detrimental for women's health, while others found no gender differences or stronger negative association for men. Finally, previous attempts to an empirical translation of the employment precariousness (EP) concept have not always been coherent with their theoretical framework. EP is usually assumed to be a multidimensional and continuous phenomenon; it is characterized by different dimensions of insecurity that may overlap in the same job and lead to different "degrees of precariousness." However, researchers have predominantly focused on one-dimensional indicators—e.g., temporary employment, subjective job insecurity—to measure EP and study the association with health. Besides the fact that this approach partially grasps the phenomenon's complexity, the major problem is the inconsistency of evidence that it has produced. Indeed, this line of inquiry generally reveals an ambiguous picture, with some studies finding substantial adverse effects of temporary over permanent employment, while others report only minor differences. To measure the (causal) effect of precarious work on self-rated health and its variation by gender, I focus on Germany and use four waves from SOEP data (2003, 2007, 2011, and 2015). Germany is a suitable context for my study. Indeed, since the 1980s, the labor market and welfare system have been restructured in many ways to increase the German economy's competitiveness in the global market. As a result, the (standard) employment relationship has been de-standardized: non-standard and atypical employment arrangements—i.e., part-time work, fixed-term contracts, mini-jobs, and work agencies—have increased over time while wages have lowered, even among workers with standard work. In addition, the power of unions has also fallen over the last three decades, leaving a large share of workers without collective protection. Because of this process of de-standardization, the link between wage employment and strong social rights has eroded, making workers more powerless and more vulnerable to labor market risks than in the past. EP refers to this uneven distribution of power in the employment relationship, which can be detrimental to workers' health. Indeed, by affecting individuals' access to power and other resources, EP puts precarious workers at risk of experiencing health shocks and influences their ability to gain and accumulate health advantages (Hp.1). Further, the focus on Germany allows me to investigate my second research question on the gender differential. Germany is usually regarded as a traditionalist gender regime: a context characterized by a configuration of roles. Here, being a caregiver is assumed to be women's primary role, whereas the primary breadwinner role is reserved for men. Although many signs of progress have been made over the last decades towards a greater equalization of opportunities and more egalitarianism, the breadwinner model has barely changed towards a modified version. Thus, women usually take on the double role of workers (the so-called secondary earner) and caregivers, and men still devote most of their time to paid work activities. Moreover, the overall upward trend towards more egalitarian gender ideologies has leveled off over the last decades, moving notably towards more traditional gender ideologies. In this setting, two alternative hypotheses are possible. Firstly, I assume that the negative relationship between EP and health is stronger for women than for men. This is because women are systematically more disadvantaged than men in the public and private spheres of life, having less access to formal and informal sources of power. These gender-related power asymmetries may interact with EP-related power asymmetries resulting in a stronger effect of EP on women's health than on men's health (Hp.2). An alternative way of looking at the gender differential is to consider the interaction that precariousness might have with men's and women's gender identities. According to this view, the negative relationship between EP and health is weaker for women than for men (Hp.2a). In a society with a gendered division of labor and a strong link between masculine identities and stable and well-rewarded job—i.e., a job that confers the role of primary family provider—a male worker with precarious employment might violate the traditional male gender role. Men in precarious jobs may perceive themselves (and by others) as possessing a socially undesirable characteristic, which conflicts with the stereotypical idea of themselves as the male breadwinner. Engaging in behaviors that contradict stereotypical gender identity may decrease self-esteem and foster feelings of inferiority, helplessness, and jealousy, leading to poor health. I develop a new indicator of EP that empirically translates a definition of EP as a multidimensional and continuous phenomenon. I assume that EP is a latent construct composed of seven dimensions of insecurity chosen according to the theory and previous empirical research: Income insecurity, social insecurity, legal insecurity, employment insecurity, working-time insecurity, representation insecurity, worker's vulnerability. The seven dimensions are proxied by eight indicators available in the four waves of the SOEP dataset. The EP composite indicator is obtained by performing a multiple correspondence analysis (MCA) on the eight indicators. This approach aims to construct a summary scale in which all dimensions contribute jointly to the measured experience of precariousness and its health impact. Further, the relationship between EP and 'general self-perceived health' is estimated by applying ordered probit random-effects estimators and calculating average marginal effect (further AME). Then, to control for unobserved heterogeneity, I implement correlated random-effects models that add to the model the within-individual means of the time-varying independent variables. To test the significance of the gender differential, I add an interaction term between EP and gender in the fully adjusted model in the pooled sample. My correlated random-effects models showed EP's negative and substantial 'effect' on self-perceived health for both men and women. Although nonsignificant, the evidence seems in line with previous cross-sectional literature. It supports the hypothesis that employment precariousness could be detrimental to workers' health. Further, my results showed the crucial role of unobserved heterogeneity in shaping the health consequences of precarious employment. This is particularly important as evidence accumulates, yet it is still mostly descriptive. Moreover, my results revealed a substantial difference among men and women in the relationship between EP and health: when EP increases, the risk of experiencing poor health increases much more for men than for women. This evidence falsifies previous theory according to whom the gender differential is contingent on the structurally disadvantaged position of women in western societies. In contrast, they seem to confirm the idea that men in precarious work could experience role conflict to a larger extent than women, as their self-standard is supposed to be the stereotypical breadwinner worker with a good and well-rewarded job. Finally, results from the multiple correspondence analysis contribute to the methodological debate on precariousness, showing that a multidimensional and continuous indicator can express a latent variable of EP. All in all, complementarities are revealed in the results of unemployment and employment precariousness, which have two implications: Policy-makers need to be aware that the total costs of unemployment and precariousness go far beyond the economic and material realm penetrating other fundamental life domains such as individual health. Moreover, they need to balance the trade-off between protecting adequately unemployed people and fostering high-quality employment in reaction to the highlighted market pressures. In this sense, the further development of a (universalistic) welfare state certainly helps mitigate the adverse health effects of unemployment and, therefore, the future costs of both individuals' health and welfare spending. In addition, the presence of a working partner is crucial for reducing the health consequences of employment instability. Therefore, policies aiming to increase female labor market participation should be promoted, especially in those contexts where the welfare state is less developed. Moreover, my results support the significance of taking account of a gender perspective in health research. The findings of the three articles show that job loss, unemployment, and precarious employment, in general, have adverse effects on men's health but less or absent consequences for women's health. Indeed, this suggests the importance of labor and health policies that consider and further distinguish the specific needs of the male and female labor force in Europe. Nevertheless, a further implication emerges: the health consequences of employment instability and de-standardization need to be investigated in light of the gender arrangements and the transforming gender relationships in specific cultural and institutional contexts. My results indeed seem to suggest that women's health advantage may be a transitory phenomenon, contingent on the predominant gendered institutional and cultural context. As the structural difference between men's and women's position in society is eroded, egalitarianism becomes the dominant normative status, so will probably be the gender difference in the health consequences of job loss and precariousness. Therefore, while gender equality in opportunities and roles is a desirable aspect for contemporary societies and a political goal that cannot be postponed further, this thesis raises a further and maybe more crucial question: What kind of equality should be pursued to provide men and women with both good life quality and equal chances in the public and private spheres? In this sense, I believe that social and labor policies aiming to reduce gender inequality in society should focus on improving women's integration into the labor market, implementing policies targeting men, and facilitating their involvement in the private sphere of life. Equal redistribution of social roles could activate a crucial transformation of gender roles and the cultural models that sustain and still legitimate gender inequality in Western societies. KW - unemployment KW - employment precariousness KW - self-rated health KW - gender KW - family KW - welfare and gender regimes Y1 - 2022 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-536723 ER - TY - JOUR A1 - Agne, Stefanie A1 - Preick, Michaela A1 - Straube, Nicolas A1 - Hofreiter, Michael T1 - Simultaneous Barcode Sequencing of Diverse Museum Collection Specimens Using a Mixed RNA Bait Set JF - Frontiers in Ecology and Evolution N2 - A growing number of publications presenting results from sequencing natural history collection specimens reflect the importance of DNA sequence information from such samples. Ancient DNA extraction and library preparation methods in combination with target gene capture are a way of unlocking archival DNA, including from formalin-fixed wet-collection material. Here we report on an experiment, in which we used an RNA bait set containing baits from a wide taxonomic range of species for DNA hybridisation capture of nuclear and mitochondrial targets for analysing natural history collection specimens. The bait set used consists of 2,492 mitochondrial and 530 nuclear RNA baits and comprises specific barcode loci of diverse animal groups including both invertebrates and vertebrates. The baits allowed to capture DNA sequence information of target barcode loci from 84% of the 37 samples tested, with nuclear markers being captured more frequently and consensus sequences of these being more complete compared to mitochondrial markers. Samples from dry material had a higher rate of success than wet-collection specimens, although target sequence information could be captured from 50% of formalin-fixed samples. Our study illustrates how efforts to obtain barcode sequence information from natural history collection specimens may be combined and are a way of implementing barcoding inventories of scientific collection material. KW - target capture KW - type specimens KW - molecular species identification KW - museum specimens KW - cross-species capture Y1 - 2022 U6 - https://doi.org/10.3389/fevo.2022.909846 SN - 2296-701X VL - 10 PB - Frontiers Media S.A. CY - Lausanne, Schweiz ER - TY - THES A1 - Gäbert, Chris T1 - Light-responsive polymer systems aiming towards programmable friction T1 - Lichtschaltbare Polymersysteme mit dem Ziel programmierbarer Reibung BT - the application driven development of 9-anthracene ester-terminated silicone oils and spiropyran graft copolymers as novel functional materials BT - die anwendungsorientierte Entwicklung von 9-Anthracenester-terminierten Silikonölen und Spiropyran-Pfropfcopolymeren als neuartige Funktionsmaterialien N2 - The development of novel programmable materials aiming to control friction in real-time holds potential to facilitate innovative lubrication solutions for reducing wear and energy losses. This work describes the integration of light-responsiveness into two lubricating materials, silicon oils and polymer brush surfaces. The first part focusses on the assessment on 9-anthracene ester-terminated polydimethylsiloxanes (PDMS-A) and, in particular, on the variability of rheological properties and the implications that arise with UV-light as external trigger. The applied rheometer setup contains an UV-transparent quartz-plate, which enables radiation and simultaneous measurement of the dynamic moduli. UV-A radiation (354 nm) triggers the cycloaddition reaction between the terminal functionalities of linear PDMS, resulting in chain extension. The newly-formed anthracene dimers cleave by UV-C radiation (254 nm) or at elevated temperatures (T > 130 °C). The sequential UV-A radiation and thermal reprogramming over three cycles demonstrate high conversions and reproducible programming of rheological properties. In contrast, the photochemical back reaction by UV-C is incomplete and can only partially restore the initial rheological properties. The dynamic moduli increase with each cycle in photochemical programming, presumably resulting from a chain segment re-arrangement as a result of the repeated partial photocleavage and subsequent chain length-dependent dimerization. In addition, long periods of radiation cause photooxidative degradation, which damages photo-responsive functions and consequently reduces the programming range. The absence of oxygen, however, reduces undesired side reactions. Anthracene-functionalized PDMS and native PDMS mix depending on the anthracene ester content and chain length, respectively, and allow fine-tuning of programmable rheological properties. The work shows the influence of mixing conditions during the photoprogramming step on the rheological properties, indicating that material property gradients induced by light attenuation along the beam have to be considered. Accordingly, thin lubricant films are suggested as potential application for light-programmable silicon fluids. The second part compares strategies for the grafting of spiropyran (SP) containing copolymer brushes from Si wafers and evaluates the light-responsiveness of the surfaces. Pre-experiments on the kinetics of the thermally initiated RAFT copolymerization of 2-hydroxyethyl acrylate (HEA) and spiropyran acrylate (SPA) in solution show, first, a strong retardation by SP and, second, the dependence of SPA polymerization on light. Surprisingly, the copolymerization of SPA is inhibited in the dark. These findings contribute to improve the synthesis of polar, spiropyran-containing copolymers. The comparison between initiator systems for the grafting-from approach indicates PET-RAFT superior to thermally initiated RAFT, suggesting a more efficient initiation of surface-bound CTA by light. Surface-initiated polymerization via PET-RAFT with an initiator system of EosinY (EoY) and ascorbic acid (AscA) facilitates copolymer synthesis from HEA and 5-25 mol% SPA. The resulting polymer film with a thickness of a few nanometers was detected by atomic force microscopy (AFM) and ellipsometry. Water contact angle (CA) measurements demonstrate photo-switchable surface polarity, which is attributed to the photoisomerization between non-polar spiropyran and zwitterionic merocyanine isomer. Furthermore, the obtained spiropyran brushes show potential for further studies on light-programmable properties. In this context, it would be interesting to investigate whether swollen spiropyran-containing polymers change their configuration and thus their film thickness under the influence of light. In addition, further experiments using an AFM or microtribometer should evaluate whether light-programmable solvation enables a change in frictional properties between polymer brush surfaces. N2 - Die Entwicklung neuartiger programmierbarer Materialien zur Anpassung von Reibung in Echtzeit birgt Potenzial, innovative Schmierungslösungen zu ermöglichen, um Verschleiß und Energieverluste zu reduzieren. Die vorliegende Arbeit beschreibt die Integration von Lichtlichtschaltbarkeit in zwei schmierende Materialien, Silikonöle und Oberflächen mit Polymerbürsten. Der erste Teil konzentriert sich auf die Bewertung von 9-Anthracenester-terminierten Polydimethylsiloxanen (PDMS-As) und insbesondere auf die Veränderbarkeit der rheologischen Eigenschaften sowie Implikationen, die sich bei der Verwendung von UV-Licht als externe Trigger ergeben. Der verwendete Rheometeraufbau enthält eine UV-transparente Quarzplatte, welche somit die Bestrahlung bei gleichzeitiger Messung der dynamischen Moduli ermöglicht. UV-A-Strahlung (354 nm) löst die Cycloadditionsreaktion zwischen den endständigen Funktionalitäten des linearen PDMS aus und führt so zu einer Kettenverlängerung. Die dabei gebildeten Anthracen-Dimere werden durch UV-C-Strahlung (254 nm) oder bei erhöhten Temperaturen (T > 130 °C) gespalten. Die sequentielle UV-A-Bestrahlung und thermische Reprogrammierung in drei Schaltzyklen führen zu hohen Umsätzen und zeigen reproduzierbar einstellbare Materialeigenschaften. Im Gegensatz dazu ist die photochemische Rückreaktion durch UV-C unvollständig und kann die ursprünglichen rheologischen Eigenschaften nur teilweise wiederherstellen. Die dynamischen Module nehmen mit jedem Zyklus der photochemischen Programmierung zu, was vermutlich auf eine Neuanordnung der Kettensegmente infolge der wiederholten partiellen Photospaltung und der anschließenden kettenlängenabhängigen Dimerisierung zurückzuführen ist. Darüber hinaus kommt es bei langer Bestrahlungsdauer zu einem photooxidativen Abbau, der die photoschaltbaren Funktionen des Silikons beeinträchtigt und folglich den Programmierbereich verringert. Der Ausschluss von Sauerstoff reduziert jedoch unerwünschte Nebenreaktionen. Anthracenfunktionalisiertes PDMS und unfunktionalisiertes PDMS mischen sich in Abhängigkeit vom Anthracenestergehalt beziehungsweise der Kettenlänge und ermöglichen die Feinabstimmung programmierbarer rheologischer Eigenschaften. Die Arbeit zeigt den Einfluss der Mischungsbedingungen während des Photoprogrammierungsschritts auf die rheologischen Eigenschaften, was darauf hindeutet, dass Materialeigenschaftsgradienten, die durch Lichtabschwächung entlang des Lichtstrahls entstehen, berücksichtigt werden müssen. Entsprechend werden dünne Schmiermittelfilme als mögliche Anwendung für lichtprogrammierbare Silikonöle vorgeschlagen. Der zweite Teil vergleicht ‚grafting-from‘-Methoden zur Synthese Spiropyran(SP)-haltiger Copolyme auf Si-Wafern und bewertet die Lichtschaltbarkeit der Oberflächeneigenschaften. Vorversuche zur Kinetik der thermisch initiierten RAFT-Copolymerisation von 2-Hydroxyethylacrylat (HEA) und Spiropyranacrylat (SPA) in Lösung zeigen erstens, eine starke Retardierung durch SP, und zweitens, die Lichtabhängigkeit der SPA-Polymerisation. Überraschenderweise ist die Copolymerisation von SPA im Dunkeln gehemmt. Diese Ergebnisse tragen dazu bei, die Synthese von polaren, spiropyranhaltigen Copolymeren zu verbessern. Der Vergleich zwischen Initiatorsystemen für den ‚grafting-from‘-Ansatz zeigt, dass PET-RAFT der thermisch initiierten RAFT überlegen ist, was auf eine effizientere Initiierung von oberflächengebundenem CTA durch Licht hindeutet. Die oberflächeninitierte Polymerisation via PET-RAFT mit einem Initiatorsystem aus EosinY (EoY) und Ascorbinsäure (AscA) ermöglicht die Copolymersynthese aus HEA und 5-25 mol% SPA. Der entstandene Polymerfilm mit einer Dicke von einigen Nanometern wurde mittels Rasterkraftmikroskopie (AFM) und Ellipsometrie nachgewiesen. Die Messungen des Wasserkontaktwinkels (CA) zeigt eine photoschaltbare Oberflächenpolarität, welche der Photoisomerisierung zwischen unpolaren Spiropyran und zwitterionischen Merocyanin-Isomer zugeschrieben wird. Darüber hinaus zeigen die erhaltenen Spiropyranbürsten Potenzial für weitere Untersuchungen zu lichtprogrammierbaren Eigenschaften. In diesem Zusammenhang wäre es interessant weiterführend zu untersuchen, ob gequollene spiropyranhaltige Polymere unter Lichteinfluss tatsächlich ihre Konfiguration und damit ihre Filmdicke ändern. Darüber hinaus wäre es sinnvoll, mit Hilfe eines AFM oder Mikrotribometers zu evaluieren, ob diese lichtprogrammierbare Solvatisierung eine Veränderung der Reibungseigenschaften zwischen Polymerbürstenoberflächen ermöglicht. KW - programmable friction KW - lubricant KW - light-programmable viscosity KW - spiropyran copolymer KW - grafting-from Y1 - 2022 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-553380 ER - TY - JOUR A1 - Pawlak, Julia A1 - Noetzel, Dominique Christian A1 - Drago, Claudia A1 - Weithoff, Guntram T1 - Assessing the toxicity of polystyrene beads and silica particles on the microconsumer Brachionus calyciflorus at different timescales JF - Frontiers in Environmental Science N2 - Environmental pollution by microplastics has become a severe problem in terrestrial and aquatic ecosystems and, according to actual prognoses, problems will further increase in the future. Therefore, assessing and quantifying the risk for the biota is crucial. Standardized short-term toxicological procedures as well as methods quantifying potential toxic effects over the whole life span of an animal are required. We studied the effect of the microplastic polystyrene on the survival and reproduction of a common freshwater invertebrate, the rotifer Brachionus calyciflorus, at different timescales. We used pristine polystyrene spheres of 1, 3, and 6 µm diameter and fed them to the animals together with food algae in different ratios ranging from 0 to 50% nonfood particles. As a particle control, we used silica to distinguish between a pure particle effect and a plastic effect. After 24 h, no toxic effect was found, neither with polystyrene nor with silica. After 96 h, a toxic effect was detectable for both particle types. The size of the particles played a negligible role. Studying the long-term effect by using life table experiments, we found a reduced reproduction when the animals were fed with 3 µm spheres together with similar-sized food algae. We conclude that the fitness reduction is mainly driven by the dilution of food by the nonfood particles rather than by a direct toxic effect. KW - microplastics KW - rotifer KW - freshwater KW - natural particle KW - toxicity KW - environmental pollution Y1 - 2022 U6 - https://doi.org/10.3389/fenvs.2022.955425 SN - 2296-665X SP - 1 EP - 11 PB - Frontiers CY - Lausanne, Schweiz ER - TY - JOUR A1 - Fischer, Melanie A1 - Brettin, Jana A1 - Roessner, Sigrid A1 - Walz, Ariane A1 - Fort, Monique A1 - Korup, Oliver T1 - Rare flood scenarios for a rapidly growing high-mountain city: Pokhara, Nepal JF - Natural Hazards and Earth System Sciences N2 - Pokhara (ca. 850 m a.s.l.), Nepal's second-largest city, lies at the foot of the Higher Himalayas and has more than tripled its population in the past 3 decades. Construction materials are in high demand in rapidly expanding built-up areas, and several informal settlements cater to unregulated sand and gravel mining in the Pokhara Valley's main river, the Seti Khola. This river is fed by the Sabche glacier below Annapurna III (7555 m a.s.l.), some 35 km upstream of the city, and traverses one of the steepest topographic gradients in the Himalayas. In May 2012 a sudden flood caused >70 fatalities and intense damage along this river and rekindled concerns about flood risk management. We estimate the flow dynamics and inundation depths of flood scenarios using the hydrodynamic model HEC-RAS (Hydrologic Engineering Center’s River Analysis System). We simulate the potential impacts of peak discharges from 1000 to 10 000 m3 s−1 on land cover based on high-resolution Maxar satellite imagery and OpenStreetMap data (buildings and road network). We also trace the dynamics of two informal settlements near Kaseri and Yamdi with high potential flood impact from RapidEye, PlanetScope, and Google Earth imagery of the past 2 decades. Our hydrodynamic simulations highlight several sites of potential hydraulic ponding that would largely affect these informal settlements and sites of sand and gravel mining. These built-up areas grew between 3- and 20-fold, thus likely raising local flood exposure well beyond changes in flood hazard. Besides these drastic local changes, about 1 % of Pokhara's built-up urban area and essential rural road network is in the highest-hazard zones highlighted by our flood simulations. Our results stress the need to adapt early-warning strategies for locally differing hydrological and geomorphic conditions in this rapidly growing urban watershed. Y1 - 2022 U6 - https://doi.org/10.5194/nhess-22-3105-2022 SN - 1684-9981 VL - 22 SP - 3105 EP - 3123 PB - Copernicus Publications CY - Katlenburg-Lindau ET - 9 ER - TY - JOUR A1 - Cajar, Anke A1 - Engbert, Ralf A1 - Laubrock, Jochen T1 - Potsdam Eye-Movement Corpus for Scene Memorization and Search With Color and Spatial-Frequency Filtering JF - Frontiers in psychology / Frontiers Research Foundation KW - eye movements KW - corpus dataset KW - scene viewing KW - object search KW - scene memorization KW - spatial frequencies KW - color KW - central and peripheral vision Y1 - 2022 U6 - https://doi.org/10.3389/fpsyg.2022.850482 SN - 1664-1078 VL - 13 SP - 1 EP - 7 PB - Frontiers Research Foundation CY - Lausanne, Schweiz ER - TY - JOUR A1 - Stone, Kate A1 - Vasishth, Shravan A1 - Malsburg, Titus von der T1 - Does entropy modulate the prediction of German long-distance verb particles? JF - PLOS ONE N2 - In this paper we examine the effect of uncertainty on readers’ predictions about meaning. In particular, we were interested in how uncertainty might influence the likelihood of committing to a specific sentence meaning. We conducted two event-related potential (ERP) experiments using particle verbs such as turn down and manipulated uncertainty by constraining the context such that readers could be either highly certain about the identity of a distant verb particle, such as turn the bed […] down, or less certain due to competing particles, such as turn the music […] up/down. The study was conducted in German, where verb particles appear clause-finally and may be separated from the verb by a large amount of material. We hypothesised that this separation would encourage readers to predict the particle, and that high certainty would make prediction of a specific particle more likely than lower certainty. If a specific particle was predicted, this would reflect a strong commitment to sentence meaning that should incur a higher processing cost if the prediction is wrong. If a specific particle was less likely to be predicted, commitment should be weaker and the processing cost of a wrong prediction lower. If true, this could suggest that uncertainty discourages predictions via an unacceptable cost-benefit ratio. However, given the clear predictions made by the literature, it was surprisingly unclear whether the uncertainty manipulation affected the two ERP components studied, the N400 and the PNP. Bayes factor analyses showed that evidence for our a priori hypothesised effect sizes was inconclusive, although there was decisive evidence against a priori hypothesised effect sizes larger than 1μV for the N400 and larger than 3μV for the PNP. We attribute the inconclusive finding to the properties of verb-particle dependencies that differ from the verb-noun dependencies in which the N400 and PNP are often studied. Y1 - 2022 U6 - https://doi.org/10.1371/journal.pone.0267813 SN - 1932-6203 SP - 1 EP - 25 PB - PLOS ONE CY - San Francisco, California, US ER - TY - GEN A1 - Stone, Kate A1 - Nicenboim, Bruno A1 - Vasishth, Shravan A1 - Rösler, Frank T1 - Understanding the effects of constraint and predictability in ERP T2 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe N2 - Intuitively, strongly constraining contexts should lead to stronger probabilistic representations of sentences in memory. Encountering unexpected words could therefore be expected to trigger costlier shifts in these representations than expected words. However, psycholinguistic measures commonly used to study probabilistic processing, such as the N400 event-related potential (ERP) component, are sensitive to word predictability but not to contextual constraint. Some research suggests that constraint-related processing cost may be measurable via an ERP positivity following the N400, known as the anterior post-N400 positivity (PNP). The PNP is argued to reflect update of a sentence representation and to be distinct from the posterior P600, which reflects conflict detection and reanalysis. However, constraint-related PNP findings are inconsistent. We sought to conceptually replicate Federmeier et al. (2007) and Kuperberg et al. (2020), who observed that the PNP, but not the N400 or the P600, was affected by constraint at unexpected but plausible words. Using a pre-registered design and statistical approach maximising power, we demonstrated a dissociated effect of predictability and constraint: strong evidence for predictability but not constraint in the N400 window, and strong evidence for constraint but not predictability in the later window. However, the constraint effect was consistent with a P600 and not a PNP, suggesting increased conflict between a strong representation and unexpected input rather than greater update of the representation. We conclude that either a simple strong/weak constraint design is not always sufficient to elicit the PNP, or that previous PNP constraint findings could be an artifact of smaller sample size. T3 - Zweitveröffentlichungen der Universität Potsdam : Humanwissenschaftliche Reihe - 829 KW - N400 KW - anterior PNP KW - posterior P600 KW - probabilistic processing KW - constraint KW - predictability KW - entropy Y1 - 2023 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-587594 SN - 1866-8364 IS - 829 ER - TY - THES A1 - Mazzanti, Stefano T1 - Novel photocatalytic processes mediated by carbon nitride photocatalysis T1 - Neuartige photokatalytische Prozesse vermittelt durch Kohlenstoffnitrid-Photokatalyse N2 - The key to reduce the energy required for specific transformations in a selective manner is the employment of a catalyst, a very small molecular platform that decides which type of energy to use. The field of photocatalysis exploits light energy to shape one type of molecules into others, more valuable and useful. However, many challenges arise in this field, for example, catalysts employed usually are based on metal derivatives, which abundance is limited, they cannot be recycled and are expensive. Therefore, carbon nitrides materials are used in this work to expand horizons in the field of photocatalysis. Carbon nitrides are organic materials, which can act as recyclable, cheap, non-toxic, heterogeneous photocatalysts. In this thesis, they have been exploited for the development of new catalytic methods, and shaped to develop new types of processes. Indeed, they enabled the creation of a new photocatalytic synthetic strategy, the dichloromethylation of enones by dichloromethyl radical generated in situ from chloroform, a novel route for the making of building blocks to be used for the productions of active pharmaceutical compounds. Then, the ductility of these materials allowed to shape carbon nitride into coating for lab vials, EPR capillaries, and a cell of a flow reactor showing the great potential of such flexible technology in photocatalysis. Afterwards, their ability to store charges has been exploited in the reduction of organic substrates under dark conditions, gaining new insights regarding multisite proton coupled electron transfer processes. Furthermore, the combination of carbon nitrides with flavins allowed the development of composite materials with improved photocatalytic activity in the CO2 photoreduction. Concluding, carbon nitrides are a versatile class of photoactive materials, which may help to unveil further scientific discoveries and to develop a more sustainable future. N2 - Der Schlüssel zur selektiven Reduzierung des Energieverbrauchs für bestimmte Reaktionen ist der Einsatz eines Katalysators, der entscheidet, welche Art von Energie verwendet werden soll. Bei der Photokatalyse wird Lichtenergie verwendet, um eine Art von Molekülen in andere umzuwandeln, die wertvoller und nützlicher sind. Im Gebiet der Photokatalyse gibt es jedoch viele Herausforderungen. Beispielsweise besitzen die verwendeten Katalysatoren üblicherweise eine Basis aus seltenen Erden, deren Verfügbarkeit begrenzt ist, die teuer sind und die nicht recycelt werden können. Daher werden in dieser Arbeit Kohlenstoffnitridmaterialien verwendet, um den Horizont der Photokatalyse zu erweitern. Kohlenstoffnitride sind organische Materialien, die als recycelbare, billige, ungiftige, heterogene Photokatalysatoren fungieren können. In dieser Arbeit wurden sie für die Entwicklung neuer katalytischer Methoden und in neuen Prozesstypen eingesetzt. Es konnte gezeigt werden, dass Kohlenstoffnitride für die Dichlormethylierung von Enonen, durch in-situ aus Chloroform erzeugte Dichlormethylradikale, benutzt werden können. Dies stellt eine neue photokatalytische Synthesestrategie dar und kann zur Herstellung von Bausteinen für pharmazeutische Wirkstoffe verwendet werden. Die Eigenschaften von Kohlenstoffnitriden ermöglichten es, Laborfläschchen, EPR-Kapillaren und die Zelle eines Durchflussreaktors damit zu beschichten, was ein großes Potenzial in der Photokatalyse darstellt. Im Weiteren wurde die Fähigkeit der Kohlenstoffnitride, Ladungen zu speichern, bei der Reduktion organischer Substrate unter lichtfreien Bedingungen genutzt, um neue Erkenntnisse über protonengekoppelte Elektronentransferprozesse an mehreren katalytischen Zentren zu gewinnen. Zusätzlich konnte gezeigt werden, dass aus Kohlenstoffnitriden und Flavinen Verbundwerkstoffen mit verbesserter photokatalytischer Aktivität bei der CO2-Photoreduktion hergestellt werden können. Zusammenfassend lässt sich sagen, dass Kohlenstoffnitride eine vielversprechende Klasse photoaktiver Materialien sind, die dazu beitragen können eine nachhaltigere Zukunft zu gestalten. KW - heterogeneous photocatalysis KW - carbon nitrides KW - organic synthesis KW - heterogene Photokatalyse KW - Kohlenstoffnitriden KW - organische Synthese Y1 - 2022 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-542099 ER - TY - JOUR A1 - Haase, Jennifer A1 - Hanel, Paul H. P. T1 - Priming creativity: Doing math reduces creativity and happiness whereas playing short online games enhance them JF - Frontiers in Education N2 - Creative thinking is an indispensable cognitive skill that is becoming increasingly important. In the present research, we tested the impact of games on creativity and emotions in a between-subject online experiment with four conditions (N = 658). (1) participants played a simple puzzle game that allowed many solutions (priming divergent thinking); (2) participants played a short game that required one fitting solution (priming convergent thinking); (3) participants performed mental arithmetic; (4) passive control condition. Results show that divergent and convergent creativity were higher after playing games and lower after mental arithmetic. Positive emotions did not function as a mediator, even though they were also heightened after playing the games and lower after mental arithmetic. However, contrary to previous research, we found no direct effect of emotions, creative self-efficacy, and growth- vs. fixed on creative performance. We discuss practical implications for digital learning and application settings. KW - creativity KW - priming KW - enhancement KW - math KW - games KW - happiness Y1 - 2022 U6 - https://doi.org/10.3389/feduc.2022.976459 SN - 2504-284X PB - Frontiers CY - Lausanne, Schweiz ER - TY - JOUR A1 - Schlör, Anja A1 - Hirschberg, Stefan A1 - Ben Amor, Ghada A1 - Meister, Toni Luise A1 - Arora, Prerna A1 - Pöhlmann, Stefan A1 - Hoffmann, Markus A1 - Pfänder, Stephanie A1 - Eddin, Omar Kamal A1 - Kamhieh-Milz, Julian A1 - Hanack, Katja T1 - SARS-CoV-2 neutralizing camelid heavy-chain-only antibodies as powerful tools for diagnostic and therapeutic applications JF - Frontiers in Immunology N2 - Introduction: The ongoing COVID-19 pandemic situation caused by SARS-CoV-2 and variants of concern such as B.1.617.2 (Delta) and recently, B.1.1.529 (Omicron) is posing multiple challenges to humanity. The rapid evolution of the virus requires adaptation of diagnostic and therapeutic applications. Objectives: In this study, we describe camelid heavy-chain-only antibodies (hcAb) as useful tools for novel in vitro diagnostic assays and for therapeutic applications due to their neutralizing capacity. Methods: Five antibody candidates were selected out of a naïve camelid library by phage display and expressed as full length IgG2 antibodies. The antibodies were characterized by Western blot, enzyme-linked immunosorbent assays, surface plasmon resonance with regard to their specificity to the recombinant SARS-CoV-2 Spike protein and to SARS-CoV-2 virus-like particles. Neutralization assays were performed with authentic SARS-CoV-2 and pseudotyped viruses (wildtype and Omicron). Results: All antibodies efficiently detect recombinant SARS-CoV-2 Spike protein and SARS-CoV-2 virus-like particles in different ELISA setups. The best combination was shown with hcAb B10 as catcher antibody and HRP-conjugated hcAb A7.2 as the detection antibody. Further, four out of five antibodies potently neutralized authentic wildtype SARS-CoV-2 and particles pseudotyped with the SARS-CoV-2 Spike proteins of the wildtype and Omicron variant, sublineage BA.1 at concentrations between 0.1 and 0.35 ng/mL (ND50). Conclusion: Collectively, we report novel camelid hcAbs suitable for diagnostics and potential therapy. KW - camelid heavy-chain-only antibodies KW - single domain antibodies KW - nanobodies KW - SARS-CoV-2 KW - neutralization KW - Omicron Y1 - 2022 U6 - https://doi.org/10.3389/fimmu.2022.930975 SN - 1664-3224 SP - 1 EP - 14 PB - Frontiers Media SA CY - Lausanne, Schweiz ER - TY - JOUR A1 - Czarnecka, Malgorzata A1 - Weichelt, Ulrike A1 - Rödiger, Stefan A1 - Hanack, Katja T1 - Novel Anti Double-Stranded Nucleic Acids Full-Length Recombinant Camelid Heavy-Chain Antibody for the Detection of miRNA JF - International Journal of Molecular Sciences N2 - The discovery that certain diseases have specific miRNA signatures which correspond to disease progression opens a new biomarker category. The detection of these small non-coding RNAs is performed routinely using body fluids or tissues with real-time PCR, next-generation sequencing, or amplification-based miRNA assays. Antibody-based detection systems allow an easy onset handling compared to PCR or sequencing and can be considered as alternative methods to support miRNA diagnostic in the future. In this study, we describe the generation of a camelid heavy-chain-only antibody specifically recognizing miRNAs to establish an antibody-based detection method. The generation of nucleic acid-specific binders is a challenge. We selected camelid binders via phage display, expressed them as VHH as well as full-length antibodies, and characterized the binding to several miRNAs from a signature specific for dilated cardiomyopathy. The described workflow can be used to create miRNA-specific binders and establish antibody-based detection methods to provide an additional way to analyze disease-specific miRNA signatures. KW - antibody KW - camelid antibody KW - heavy-chain-only antibody KW - miRNA KW - nucleic acids KW - novel biomarkers Y1 - 2022 U6 - https://doi.org/10.3390/ijms23116275 SN - 1422-0067 VL - 23 SP - 1 EP - 18 PB - MDPI CY - Basel, Schweiz ET - 11 ER - TY - JOUR A1 - Kiemel, Katrin A1 - Gurke, Marie A1 - Paraskevopoulou, Sofia A1 - Havenstein, Katja A1 - Weithoff, Guntram A1 - Tiedemann, Ralph T1 - Variation in heat shock protein 40 kDa relates to divergence in thermotolerance among cryptic rotifer species JF - Scientific Reports N2 - Genetic divergence and the frequency of hybridization are central for defining species delimitations, especially among cryptic species where morphological differences are merely absent. Rotifers are known for their high cryptic diversity and therefore are ideal model organisms to investigate such patterns. Here, we used the recently resolved Brachionus calyciflorus species complex to investigate whether previously observed between species differences in thermotolerance and gene expression are also reflected in their genomic footprint. We identified a Heat Shock Protein gene (HSP 40 kDa) which exhibits cross species pronounced sequence variation. This gene exhibits species-specific fixed sites, alleles, and sites putatively under positive selection. These sites are located in protein binding regions involved in chaperoning and may therefore reflect adaptive diversification. By comparing three genetic markers (ITS, COI, HSP 40 kDa), we revealed hybridization events between the cryptic species. The low frequency of introgressive haplotypes/alleles suggest a tight, but not fully impermeable boundary between the cryptic species. Y1 - 2022 U6 - https://doi.org/10.1038/s41598-022-27137-3 SN - 2045-2322 VL - 12 PB - Springer Nature CY - London ER - TY - JOUR A1 - Sagu Tchewonpi, Sorel A1 - Huschek, Gerd A1 - Waldbach Braga, Tess A1 - Rackiewicz, Michal A1 - Homann, Thomas A1 - Rawel, Harshadrai Manilal T1 - Design of Experiment (DoE) for Optimization of HPLC Conditions for the Simultaneous Fractionation of Seven α-Amylase/Trypsin Inhibitors from Wheat (Triticum aestivum L.) JF - Processes : open access journal N2 - Wheat alpha-amylase/trypsin inhibitors remain a subject of interest considering the latest findings showing their implication in wheat-related non-celiac sensitivity (NCWS). Understanding their functions in such a disorder is still unclear and for further study, the need for pure ATI molecules is one of the limiting problems. In this work, a simplified approach based on the successive fractionation of ATI extracts by reverse phase and ion exchange chromatography was developed. ATIs were first extracted from wheat flour using a combination of Tris buffer and chloroform/methanol methods. The separation of the extracts on a C18 column generated two main fractions of interest F1 and F2. The response surface methodology with the Doehlert design allowed optimizing the operating parameters of the strong anion exchange chromatography. Finally, the seven major wheat ATIs namely P01083, P17314, P16850, P01085, P16851, P16159, and P83207 were recovered with purity levels (according to the targeted LC-MS/MS analysis) of 98.2 ± 0.7; 98.1 ± 0.8; 97.9 ± 0.5; 95.1 ± 0.8; 98.3 ± 0.4; 96.9 ± 0.5, and 96.2 ± 0.4%, respectively. MALDI-TOF-MS analysis revealed single peaks in each of the pure fractions and the mass analysis yielded deviations of 0.4, 1.9, 0.1, 0.2, 0.2, 0.9, and 0.1% between the theoretical and the determined masses of P01083, P17314, P16850, P01085, P16851, P16159, and P83207, respectively. Overall, the study allowed establishing an efficient purification process of the most important wheat ATIs. This paves the way for further in-depth investigation of the ATIs to gain more knowledge related to their involvement in NCWS disease and to allow the absolute quantification in wheat samples. KW - wheat KW - α-amylase/trypsin inhibitors KW - fractionation KW - purification KW - reversed-phase chromatography KW - ion-exchange chromatography KW - design of experiment KW - LC–MS/MS KW - MALDI-TOF-MS Y1 - 2022 U6 - https://doi.org/10.3390/pr10020259 SN - 2227-9717 VL - 10 SP - 1 EP - 18 PB - MDPI CY - Basel, Schweiz ET - 2 ER - TY - JOUR A1 - Ramirez-Campillo, Rodrigo A1 - Pérez-Castilla, Alejandro A1 - Thapa, Rohit Kumar A1 - Afonso, José A1 - Clemente, Filipe Manuel Batista A1 - Colado, Juan C. A1 - Eduardo, Saéz de Villarreal A1 - Chaabene, Helmi T1 - Effects of Plyometric Jump Training on Measures of Physical Fitness and Sport-Specific Performance of Water Sports Athletes BT - A Systematic Review with Meta-analysis JF - Sports Medicine - Open N2 - Background A growing body of literature is available regarding the effects of plyometric jump training (PJT) on measures of physical fitness (PF) and sport-specific performance (SSP) in-water sports athletes (WSA, i.e. those competing in sports that are practiced on [e.g. rowing] or in [e.g. swimming; water polo] water). Indeed, incoherent findings have been observed across individual studies making it difficult to provide the scientific community and coaches with consistent evidence. As such, a comprehensive systematic literature search should be conducted to clarify the existent evidence, identify the major gaps in the literature, and offer recommendations for future studies. Aim To examine the effects of PJT compared with active/specific-active controls on the PF (one-repetition maximum back squat strength, squat jump height, countermovement jump height, horizontal jump distance, body mass, fat mass, thigh girth) and SSP (in-water vertical jump, in-water agility, time trial) outcomes in WSA, through a systematic review with meta-analysis of randomized and non-randomized controlled studies. Methods The electronic databases PubMed, Scopus, and Web of Science were searched up to January 2022. According to the PICOS approach, the eligibility criteria were: (population) healthy WSA; (intervention) PJT interventions involving unilateral and/or bilateral jumps, and a minimal duration of ≥ 3 weeks; (comparator) active (i.e. standard sports training) or specific-active (i.e. alternative training intervention) control group(s); (outcome) at least one measure of PF (e.g. jump height) and/or SSP (e.g. time trial) before and after training; and (study design) multi-groups randomized and non-randomized controlled trials. The Physiotherapy Evidence Database (PEDro) scale was used to assess the methodological quality of the included studies. The DerSimonian and Laird random-effects model was used to compute the meta-analyses, reporting effect sizes (ES, i.e. Hedges’ g) with 95% confidence intervals (95% CIs). Statistical significance was set at p ≤ 0.05. Certainty or confidence in the body of evidence for each outcome was assessed using Grading of Recommendations Assessment, Development, and Evaluation (GRADE), considering its five dimensions: risk of bias in studies, indirectness, inconsistency, imprecision, and risk of publication bias. Results A total of 11,028 studies were identified with 26 considered eligible for inclusion. The median PEDro score across the included studies was 5.5 (moderate-to-high methodological quality). The included studies involved a total of 618 WSA of both sexes (330 participants in the intervention groups [31 groups] and 288 participants in the control groups [26 groups]), aged between 10 and 26 years, and from different sports disciplines such as swimming, triathlon, rowing, artistic swimming, and water polo. The duration of the training programmes in the intervention and control groups ranged from 4 to 36 weeks. The results of the meta-analysis indicated no effects of PJT compared to control conditions (including specific-active controls) for in-water vertical jump or agility (ES =  − 0.15 to 0.03; p = 0.477 to 0.899), or for body mass, fat mass, and thigh girth (ES = 0.06 to 0.15; p = 0.452 to 0.841). In terms of measures of PF, moderate-to-large effects were noted in favour of the PJT groups compared to the control groups (including specific-active control groups) for one-repetition maximum back squat strength, horizontal jump distance, squat jump height, and countermovement jump height (ES = 0.67 to 1.47; p = 0.041 to < 0.001), in addition to a small effect noted in favour of the PJT for SSP time-trial speed (ES = 0.42; p = 0.005). Certainty of evidence across the included studies varied from very low-to-moderate. Conclusions PJT is more effective to improve measures of PF and SSP in WSA compared to control conditions involving traditional sport-specific training as well as alternative training interventions (e.g. resistance training). It is worth noting that the present findings are derived from 26 studies of moderate-to-high methodological quality, low-to-moderate impact of heterogeneity, and very low-to-moderate certainty of evidence based on GRADE. Trial registration The protocol for this systematic review with meta-analysis was published in the Open Science platform (OSF) on January 23, 2022, under the registration doi https://doi.org/10.17605/OSF.IO/NWHS3 (internet archive link: https://archive.org/details/osf-registrations-nwhs3-v1). KW - Plyometric exercise KW - Musculoskeletal and neural physiological phenomena KW - Human physical conditioning KW - Movement KW - Muscle strength KW - Resistance training Y1 - 2022 U6 - https://doi.org/10.1186/s40798-022-00502-2 SN - 2198-9761 VL - 8 SP - 1 EP - 27 PB - Springer CY - Berlin ER - TY - JOUR A1 - Neumann, Daniel A1 - Tiberius, Victor A1 - Biendarra, Florin T1 - Adopting wearables to customize health insurance contributions BT - a ranking-type Delphi JF - BMC medical informatics and decision making N2 - Background Wearables, as small portable computer systems worn on the body, can track user fitness and health data, which can be used to customize health insurance contributions individually. In particular, insured individuals with a healthy lifestyle can receive a reduction of their contributions to be paid. However, this potential is hardly used in practice. Objective This study aims to identify which barrier factors impede the usage of wearables for assessing individual risk scores for health insurances, despite its technological feasibility, and to rank these barriers according to their relevance. Methods To reach these goals, we conduct a ranking-type Delphi study with the following three stages. First, we collected possible barrier factors from a panel of 16 experts and consolidated them to a list of 11 barrier categories. Second, the panel was asked to rank them regarding their relevance. Third, to enhance the panel consensus, the ranking was revealed to the experts, who were then asked to re-rank the barriers. Results The results suggest that regulation is the most important barrier. Other relevant barriers are false or inaccurate measurements and application errors caused by the users. Additionally, insurers could lack the required technological competence to use the wearable data appropriately. Conclusion A wider use of wearables and health apps could be achieved through regulatory modifications, especially regarding privacy issues. Even after assuring stricter regulations, users’ privacy concerns could partly remain, if the data exchange between wearables manufacturers, health app providers, and health insurers does not become more transparent. KW - Delphi study KW - Health insurance KW - Wearable electronic device KW - Wearable technology KW - Internet of Things KW - Barriers Y1 - 2022 U6 - https://doi.org/10.1186/s12911-022-01851-4 SN - 1472-6947 VL - 22 SP - 1 EP - 7 PB - Springer Nature CY - London ER - TY - JOUR A1 - Kwarikunda, Diana A1 - Schiefele, Ulrich A1 - Muwonge, Charles Magoba A1 - Ssenyonga, Joseph T1 - Profiles of learners based on their cognitive and metacognitive learning strategy use: occurrence and relations with gender, intrinsic motivation, and perceived autonomy support JF - Humanities and Social Sciences Communications N2 - For life-long learning, an effective learning strategy repertoire is particularly important during acquisition of knowledge in lower secondary school—an educational level characterized with transition into more autonomous learning environments with increased complex academic demands. Using latent profile analysis, we explored the occurrence of different secondary school learner profiles depending on their various combinations of cognitive and metacognitive learning strategy use, as well as their differences in perceived autonomy support, intrinsic motivation, and gender. Data were collected from 576 ninth grade students in Uganda using self-report questionnaires. Four learner profiles were identified: competent strategy user, struggling user, surface-level learner, and deep-level learner profiles. Gender differences were noted in students’ use of elaboration and organization strategies to learn Physics, in favor of girls. In terms of profile memberships, significant differences in gender, intrinsic motivation and perceived autonomy support were also noted. Girls were 2.4–2.7 times more likely than boys to be members of the competent strategy user and surface-level learner profiles. Additionally, higher levels of intrinsic motivation predicted an increased likelihood membership into the deep-level learner profile, while higher levels of perceived teacher autonomy predicted an increased likelihood membership into the competent strategy user profile as compared to other profiles. Further, implications of the findings were discussed. Y1 - 2022 U6 - https://doi.org/10.1057/s41599-022-01322-1 SN - 2055-1045 VL - 9 PB - Springer Nature ER -