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Unser modernes Strafrechtsbild ist geprägt von dem Gedanken, dass das Strafrecht den Bürgern ein freies und friedliches Zusammenleben unter Gewährleistung aller verfassungsrechtlich garantierten Grundrechte sichert. Der Einsatz des Strafrechts bedarf der Legitimation und darf nicht aus moralischen Vorstellungen oder Gedanken abgeleitet werden. Strafbar kann es demnach nicht sein, wenn ein Rechtsgutsträger über ein ihm disponibles Rechtsgut frei verfügt. Oftmals stehen hierbei der strafrechtliche Lebensschutz und das Selbstbestimmungsrecht des Einzelnen in einem Spannungsverhältnis.
Die vorliegende Arbeit hat untersucht, wie sich dieses Spannungsverhältnis in der höchstrichterlichen Judikatur entwickelt hat und wie es nunmehr gelöst wird. Konkret stellt sich hierbei die Frage, wie es strafrechtlich bewertet wurde, wenn jemand einen Tötungserfolg mitverursacht hat, der zugleich auf einem freiverantwortlichen Willensentschluss des Opfers beruhte.
This thesis focuses on the synthesis of novel functional materials based on plasmonic nanoparticles. Three systems with targeted surface modification and functionalization have been designed and synthesized, involving modified perylenediimide doped silica-coated silver nanowires, polydopamine or TiO2 coated gold-palladium nanorods and thiolated poly(ethylene glycol) (PEG-SH)/dodecanethiol (DDT) modified silver nanospheres. Their possible applications as plasmonic resonators, chiral sensors as well as photo-catalysts have been studied. In addition, the interaction between silver nanospheres and 2,3,5,6-Tetrafluoro-7,7,8,8-tetracyanoquinodimethane (F4TCNQ) molecules has also been investigated in detail.
In the first part of the thesis, surface modification on Ag nanowires (NWs) with optimized silica coating through a modified Stöber method has been firstly conducted, employing sodium hydroxide (NaOH) to replace ammonia solution (NH4OH). The coated silver nanowires with a smooth silica shell have been investigated by single-particle dark-field scattering spectroscopy, transmission electron microscopy and electron-energy loss spectroscopy to characterize the morphologies and structural components. The silica-coated silver nanowires can be further functionalized with fluorescent molecules in the silica shell via a facile one-step coating method. The as-synthesized nanowire is further coupled with a gold nanosphere by spin-coating for the application of the sub-diffractional chiral sensor for the first time. The exciton-plasmon-photon interconversion in the system eases the signal detection in the perfectly matched 1D nanostructure and contributes to the high contrast of the subwavelength chiral sensing for the polarized light.
In the second part of the thesis, dumbbell-shaped Au-Pd nanorods coated with a layer of polydopamine (PDA) or titanium dioxide (TiO2) have been constructed. The PDA- and TiO2- coated Au-Pd nanorods show a strong photothermal conversion performance under NIR illumination. Moreover, the catalytic performance of the particles has been investigated using the reduction of 4-nitrophenol (4-NP) as the model reaction. Under light irradiation, the PDA-coated Au-Pd nanorods exhibit a superior catalytic activity by increasing the reaction rate constant of 3 times. The Arrhenius-like behavior of the reaction with similar activation energies in the presence and absence of light irradiation indicates the photoheating effect to be the dominant mechanism of the reaction acceleration. Thus, we attribute the enhanced performance of the catalysis to the strong photothermal effect that is driven by the optical excitation of the gold surface plasmon as well as the synergy with the PDA layer.
In the third part, the kinetic study on the adsorption of 2,3,5,6-Tetrafluoro-7,7,8,8-tetracyanoquino-dimethane (F4TCNQ) on the surface of Ag nanoparticles (Ag NPs) in chloroform has been reported in detail. Based on the results obtained from the UV-vis-NIR absorption spectroscopy, cryogenic transmission electron microscopy (cryo-TEM), scanning nano-beam electron diffraction (NBED) and electron energy loss spectroscopy (EELS), a two-step interaction kinetics has been proposed for the Ag NPs and F4TCNQ molecules. It includes the first step of electron transfer from Ag NPs to F4TCNQ indicated by the ionization of F4TCNQ, and the second step of the formation of Ag-F4TCNQ complex. The whole process has been followed via UV-vis-NIR absorption spectroscopy, which reveals distinct kinetics at two stages: the instantaneous ionization and the long-term complex formation. The kinetics and the influence of the molar ratio of Ag NPs/F4TCNQ molecules on the interaction between Ag NPs and F4TCNQ molecules in the organic solution are reported herein for the first time. Furthermore, the control experiment with silica-coated Ag NPs indicates that the charge transfer at the surface between Ag NPs and F4TCNQ molecules has been prohibited by a silica layer of 18 nm.
The galactic interstellar medium is magnetized and turbulent. The magnetic field and turbulence play important roles in many astrophysical mechanisms, including cosmic ray transport, star formation, etc. Therefore, measurements of magnetic field and turbulence information are crucial for the proper interpretation of astronomical observations. Nonetheless, the magnetic field observation is quite challenging, especially, there is not universal magnetic tracer for diffuse medium. Moreover, the modelling of turbulence can be oversimplified due to the lack of observational tools to diagnose the plasma properties of the turbulence in the galactic interstellar medium. The studies presented in this thesis have addressed these challenges by bridging the theoretical studies of magnetic field and turbulence with numerical simulations and observations.
The following research are presented in this thesis. The first observational evidence of the novel magnetic tracer, ground state alignment (GSA), is discovered, revealing the three-dimensional magnetic field as well as 2 orders of magnitude higher precision comparing to previous observational study in the stellar atmosphere of the post-AGB 89 Herculis. Moreover, the application of GSA in the sub-millimeter fine-structure lines is comprehensively studied for different elements and with magnetohydrodynamic simulations. Furthermore, the influence of GSA effect on the spectroscopy is analyzed and it is found that measurable variation will be produced on the spectral line intensity and the line ratio without accounting for the optical pumping process or magnetic field.
Additionally, a novel method to measure plasma modes in the interstellar medium, Signatures from Polarization Analysis (SPA), is proposed and applied to real observations. Magneto-sonic modes are discovered in different types of interstellar medium. An explanation is provided for the long-standing mystery, the origin of γ-ray enhanced emission “Cygnus Cocoon”, based on the comparison between the outcome of SPA and multi-waveband observational data. These novel methods have strong potentials for broader observational applications and will play crucial roles in future multi-wavelength astronomy.
Vom Gast zum Gastwirt?
(2021)
Die Arbeitsmigration zählt zu den prägenden gesellschaftlichen Wandlungsprozessen der deutschen Nachkriegsgeschichte. 14 Millionen »Gastarbeiter« kamen zwischen 1955 und 1973 in die Bundesrepublik, etwa 3 Millionen von ihnen kehrten nicht in ihre Heimatländer zurück. Vor allem Türkeistämmige blieben nach dem Anwerbestopp häufiger in Deutschland als die Arbeitskräfte aus anderen Ländern. Wie keine andere Stadt steht Berlin bis heute für die Einwanderung aus der Türkei.
Stefan Zeppenfeld untersucht den Wandel der türkischen Arbeitswelten von ihren Anfängen in den 1960er Jahren bis zur Wiedervereinigung. Ausgehend von der »Gastarbeit« im industriellen Großbetrieb spürt er in seiner Studie am Beispiel West-Berlins dem Übergang in andere Branchen nach. Er zeigt, wie der öffentliche Dienst auch für Migrantinnen und Migranten attraktive Aufstiegsmöglichkeiten eröffnete, zeichnet den schwierigen Weg in die gewerbliche Selbstständigkeit nach und legt illegale Beschäftigungsformen als alternative Verdienstmöglichkeit offen.
Damit bettet der Autor die Geschichte der türkischen Arbeitsmigration in die deutsche Zeitgeschichte ein.
Die gerechte, sichere und nachhaltige Rohstoffverteilung weltweit stellt eine der bedeutendsten Menschheitsaufgaben des 21. Jahrhunderts dar und entscheidet mit ihren Auswirkungen auf Leben, Umwelt und technischen Fortschritt über das Schicksal der kontinuierlich wachsenden Weltbevölkerung. Das Werk untersucht das gegenwärtige Rohstoffvölkerrecht, bestehend aus dem Grundsatz der ständigen Souveränität über natürliche Ressourcen, dem WTO-Recht, multilateralen Abkommen sowie Rohstoffkartellen wie der OPEC und kommt zu dem Ergebnis, dass sich der aktuelle Regelungsbestand auf – in der Regel unverbindliche – organisatorische Maßnahmen und Konsultationen beschränkt. Das internationale Wirtschaftsrecht verfolgt einen passiven Ansatz, der der großen Relevanz dieses völkerrechtlichen Teilgebiets nicht gerecht wird. Vor diesem Hintergrund werden sechs verschiedene juristische Lösungsstrategien erarbeitet und im Anschluss auf ihre politische Realisierbarkeit überprüft. Dabei wird insbesondere auf die Stellung der Entwicklungsländer eingegangen, die trotz ihres Rohstoffreichtums bisher nicht von diesem profitieren.
Hintergrund. Personen, die mit der chronischen Erkrankung HIV leben (PWH), müssen ihr Leben lang die sog. antiretrovirale Therapie (ART) einnehmen, um einen Ausbruch der Erkrankung in das Vollbild AIDS (Akquiriertes Immun-Defizienz-Syndrom) zu vermeiden. Gleichzeitig ist die ART und HIV selbst assoziiert mit dem Auftreten zusätzlicher Erkrankungen (Komorbiditäten) kardiovaskulärer oder psychologischer Natur. Die Prävalenz von Komorbiditäten und schlechter Lebensqualität ist im Vergleich zu HIV-negativen Personen deutlich höher.
Methoden. Es wurden zwei Metaanalysen zu sportlicher Betätigung, PWH und (1) kardiovaskulären und (2) psychologischen Parametern sowie eine Querschnittsstudie (HIBES-Studie, HIV-Begleiterkrankungen und Sport) durchgeführt. Für die Auswertung der metaanalytischen Daten wurde der Review Manager 5.3, für die Auswertung der Daten der HIBES-Studie das Analyseprogramm „R“ verwendet. In den Metaanalysen wurden, neben den Hauptanalysen verschiedener Parameter, erstmals spezifische Subgruppenanalysen durchgeführt. Die HIBES-Studie untersuchte Unterschiede zwischen kumulativen (2-3 verschiedenen Sportarten pro Woche) und einfachen (eine Sportart pro Woche) Freizeitsport und analysiert die Zusammenhänge von Parametern des Freizeitsports (Trainingshäufigkeit, -Minuten und –Intensität), Komorbiditäten und der Lebensqualität.
Ergebnisse. Ausdauer- und Krafttraining haben einen mittel-starken bis starken positiven Effekt auf die maximale Sauerstoffaufnahme (SMD= 0.66, p< .00001), den 6-Minuten-Walk-Test (6MWT) (SMD= 0.59, p= .02), die maximale Watt Zahl (SMD= 0.80, p= .009). Kein Effekt wurde bei der maximalen Herzfrequenz und dem systolischen sowie diastolischen Blutdruck gefunden. Subgruppenanalysen zu ≥3 Einheiten/Woche, ≥150 Min./Woche ergaben hohe Effektstärken in der maximalen Watt Zahl und 6MWT. Ausdauer- und Krafttraining zusammen mit Yoga haben einen starken Effekt auf Symptome der Depression (SMD= -0.84, p= .02) und Angststörungen (SMD= -1.23, p= .04). Die Subanalyse der Depression zu professioneller Supervision und sportlicher Betätigung wiesen einen sehr starken Effekt (SMD= -1.40, p= .03). Die HIBES-Studie wies ein sehr differenziertes Bild im Sportverhalten von PWH in Deutschland auf. 49% der Teilnehmer übten mehr als eine Sportart pro Woche aus. Es wurden keine Unterschiede zwischen kumuliertem (CTE) und einfachem Sport (STE) in der Lebensqualität gefunden. Die Freizeitsportparameter (Häufigkeiten/Woche, Minuten/Woche, Intensität/Woche) waren in der CTE-Gruppe deutlich höher als in der STE-Gruppe. Trainingsminuten und die -Intensität zeigten beim Vorhandensein einer Komorbidität einen großen Zusammenhang mit der Lebensqualität. Die Minuten und die Intensität des durchgeführten Sportes zeigten einen prädiktiven Zusammenhang mit der Lebensqualität.
Konklusion: Sportliche Betätigung verbessert die maximale Sauerstoffaufnahme und Symptome der Depression und Angststörungen. Die Aussagekraft der Subanalysen ist aufgrund der geringen Studienzahl, vorsichtig zu interpretieren. Erhöhte Trainingsparameter finden sich eher bei PWH, die mehr als eine Sportart pro Woche treiben. Daher kann kumulierter Sport als mediierender Faktor zur Steigerung der Lebensqualität interpretiert werden; zumindest bei PWH mit einer psychologischen Komorbidität.
Contributions to the theoretical analysis of the algorithms with adversarial and dependent data
(2021)
In this work I present the concentration inequalities of Bernstein's type for the norms of Banach-valued random sums under a general functional weak-dependency assumption (the so-called $\cC-$mixing). The latter is then used to prove, in the asymptotic framework, excess risk upper bounds of the regularised Hilbert valued statistical learning rules under the τ-mixing assumption on the underlying training sample. These results (of the batch statistical setting) are then supplemented with the regret analysis over the classes of Sobolev balls of the type of kernel ridge regression algorithm in the setting of online nonparametric regression with arbitrary data sequences. Here, in particular, a question of robustness of the kernel-based forecaster is investigated. Afterwards, in the framework of sequential learning, the multi-armed bandit problem under $\cC-$mixing assumption on the arm's outputs is considered and the complete regret analysis of a version of Improved UCB algorithm is given. Lastly, probabilistic inequalities of the first part are extended to the case of deviations (both of Azuma-Hoeffding's and of Burkholder's type) to the partial sums of real-valued weakly dependent random fields (under the type of projective dependence condition).
Shape-Memory effects of thermoplatic multiblock copolymers with overlapping thermal transitions
(2021)
The scapula plays a significant role in efficient shoulder movement. Thus, alterations from typical scapular motion during upper limb movements are thought to be associated with shoulder pathologies. However, a clear understanding of the relationship is not yet obtained.. Scapular alterations may only represent physiological variability as their occurrence can appear equally as frequent in individuals with and without shoulder disorders. Evaluation of scapular motion during increased load might be a beneficial approach to detect clinically relevant alterations. However, functional motion adaptations in response to maximum effort upper extremity loading has not been established yet. Therefore, the overall purpose of this research project was to give further insight in physiological adaptations of scapular kinematics and their underlying scapular muscle activity in response to high demanding shoulder movements in healthy asymptomatic individuals. Prior to the investigation of the effect of various load situation, the reproducibility of scapular kinematics and scapular muscle activity were evaluated under maximum effort arm movements. Healthy asymptomatic adults performed unloaded and maximal loaded concentric and eccentric isokinetic shoulder flexion and extension movements in the scapular plane while scapular kinematics and scapular muscle activity were simultaneously assessed. A 3D motion capture system (infra-red cameras & reflective markers) was utilized to track scapular and humerus motion in relation to the thorax. 3D scapular position angles were given for arm raising and lowering between humerus positions of 20° and 120° flexion. To further characterize the scapular pattern, the scapular motion extent and scapulohumeral rhythm (ratio of scapular and humerus motion extent) were determined. Muscle activity of the upper and lower trapezius and the serratus anterior were assessed with surface electromyography. Amplitudes were calculated for the whole ROM and four equidistant movement phases. Reliability was characterized by overall moderate to good reproducibility across the load conditions. Irrespective of applied load, scapular kinematics followed a motion pattern of continuous upward rotation, posterior tilt and external rotation during arm elevation and a continuous downward rotation, anterior tilt and internal rotation during arm lowering. However, kinematics were altered between maximal loaded and unloaded conditions showing increased upward rotation, reduced posterior tilt and external rotation. Further, the scapulohumeral rhythm was decreased and scapular motion extent increased under maximal loaded movements. Muscle activity during maximum effort were of greater magnitude and differed in their pattern in comparison to the continuous increase and decrease of activity during unloaded shoulder flexion and extension. Relationships between scapular kinematics and their underlying scapular muscle activity could only be identified for a few isolated combinations, whereas the majority showed no associations. Scapular kinematics and scapular muscle activity pattern alter according to the applied load. Alterations between the load conditions comply in magnitude and partially in direction with differences seen between symptomatic and asymptomatic individuals. Even though long-term effects of identified adaptations in response to maximum load are so far unclear, deviations from typical scapular motion or muscle activation should not per se be seen as indicators of shoulder impairment. However, evaluation of alterations in scapular motion and activation in response to maximum effort may have the potential to identify individuals that are unable to cope with increased upper limb demands. Findings further challenge the understanding of scapular motion and stabilization by the trapezius and serratus anterior muscles, as clear relationships between the underlying scapular muscle activity and scapular kinematics were neither observed during unloaded nor maximal loaded shoulder movements.
Die vorliegende Dissertationsschrift gibt einen Einblick in die Einflüsse universitärer und schulischer Lerngelegenheiten des Schulpraktikums (Praxissemester) im Rahmen des lehramtsbezogenen Masterstudiums auf den Erwerb professioneller Kompetenzen. Darüber hinaus werden Einflüsse zuvor angebotener Kurse der Fachwissenschaften, Fachdidaktiken und Bildungswissenschaften aufgezeigt. Grundlage bilden Querschnitts- und Längsschnittserhebungen an der Universität Potsdam. Im Speziellen werden wesentliche Einflüsse des schulischen Einstiegs ins Praktikum, der universitären Vorbereitungskurse, der schulischen und universitären Unterrichtsbesprechungen, der mentoriellen Unterstützung an der Schule sowie der Abschlussgespräche durch die Ausbildungslehrkraft und die Schulleitung aufgezeigt. Die Ergebnisse werden anhand der Theorie diskutiert sowie im Blick auf die Qualifizierung von Ausbildungslehrkräften und die Nützlichkeit von Lerngelegenheiten diskutiert.
Das Spannungsfeld zwischen dem Ausbau erneuerbarer Energien einerseits und Akzeptanzproblemen andererseits adressiert der Landesgesetzgeber Mecklenburg-Vorpommerns mit einem Beteiligungsgesetz zur verpflichtenden wirtschaftlichen Teilhabemöglichkeit. Dabei stellt sich die Frage nach der Vereinbarkeit mit geltendem Recht, insbesondere ob der Landesgesetzgeber gesetzgebungsbefugt ist. Darüber hinaus zeigt der Autor den Rahmen für eine Regelung auf und positioniert sich zu möglichen Grundrechtseingriffen durch eine solche Regelung. Die Aktualität der Untersuchung zeigt die gegen das Gesetz anhängige Verfassungsbeschwerde ebenso wie die dynamische Gesetzgebung – so statuiert § 36g Abs. 5 EEG nunmehr eine Länderöffnungsklausel.
Der Diplomat und die Päpste
(2021)
Nach dem Ersten Weltkrieg wurde Diego von Bergen zum ersten deutschen Botschafter beim Heiligen Stuhl ernannt und vertrat die Weimarer Republik und Hitler-Deutschland bis 1943 am Vatikan. Bis weit in die Nachkriegszeit hinein galt er als der „nationalsozialistischen Mystik nicht empfänglich“.Da in der historischen Forschung inzwischen Konsens darüber herrscht, dass das Auswärtige Amt die Gewaltpolitik des NS-Regimes überall und zu jeder Zeit mitgetragen hat, liefert die Studie eine überfällige Neubewertung von Hitlers dienstältestem Botschafter. Sie schärft nicht nur das Bild des Amts als Akteur der Außenpolitik des Dritten Reichs, sondern lotet Handlungsspielräume des Botschafters aus und verortet ihn als Gegenspieler des Papstes. Zudem gelingt es methodisch innovativ, die personalpolitische Entwicklung des Amts und der Botschaft epochenübergreifend mitzuberücksichtigen.
Philosophie der Personalität
(2021)
Die Philosophie der Person tritt mit dem Anspruch an, unser Selbstverständnis als Individuen artikulieren zu wollen. Wird die gängige Lesart von Personen als rationalen, selbstbewussten Individuen diesem Anspruch wirklich gerecht? In Auseinandersetzung mit unterschiedlichen Ansätzen der Gegenwart arbeitet Moritz von Kalckreuth neben der rationalen auch die leibliche, emotionale und soziokulturelle Dimension von Personalität heraus und fragt nach der Möglichkeit, sie alle in einem „Syntheseversuch“ zusammenzuführen. Im Anschluss an Helmuth Plessners Philosophische Anthropologie, Nicolai Hartmanns Neue Ontologie und Max Schelers Phänomenologie lassen sich verschiedene Lesarten von Geist gewinnen, die sich für eine solche Verknüpfung der einzelnen Dimensionen von Personalität besonders eignen.
Cellulose is the most abundant biopolymer on Earth and cell wall (CW) synthesis is one of the major carbon consumers in the plant cell. Structure and several interaction partners of plasma membrane (PM)-bound cellulose synthase (CESA) complexes, CSCs, have been studied extensively, but much less is understood about the signals that activate and translocate CESAs to the PM and how exactly cellulose synthesis is being regulated during the diel cycle. The literature describes CSC regulation possibilities through interactions with accessory proteins upon stress conditions (e.g. CC1), post-translational modifications that regulate CSC speed and their possible anchoring in the PM (e.g. with phosphorylation and S-acylation, respectively). In this thesis, 13CO2 labeling and imaging techniques were employed in the same Arabidopsis seedling growth system to elucidate how and when new carbon is incorporated into cell wall (CW) sugars and UDP-glucose, and to follow CSC behavior during the diel cycle. Additionally, an ubiquitination analysis was performed to investigate a possible mechanism to affect CSC trafficking to and/or from the PM. Carbon is being incorporated into CW glucose at a 3-fold higher rate during the light period in comparison to the night in wild-type seedlings. Furthermore, CSC density at the PM, as an indication of active cellulose synthesizing machinery, is increasing in the light and falling during the night, showing that CW biosynthesis is more active in the light. Therefore, CW synthesis might be regulated by the carbon status of the cell. This regulation is broken in the starchless pgm mutant where light and dark carbon incorporation rates into CW glucose are similar, possibly due to the high soluble sugar content in pgm during the first part of the night. Strikingly, pgm CSC abundance at the PM is constantly low during the whole diel cycle, indicating little or no cellulose synthesis, but can be restored with exogenous sucrose or a longer photoperiod. Ubiquitination was explored as a possible regulating mechanism for translocation of primary CW CSCs from the PM and several potential ubiquitination sites have been identified.. The approach in this thesis enabled to study cellulose/CW synthesis from different angles but in the same growth system, allowing direct comparison of those methodologies, which could help understand the relationship between the amount of available carbon in a plant cell and the cells capacity to synthesize cellulose/CW. Understanding which factors contribute to cellulose synthesis regulation and addressing those fundamental questions can provide essential knowledge to manage the need for increased crop production.
The energy required to drive photochemical reactions is derived from charge separation across the thylakoid membrane. As the consequence of difference in proton concentration between chloroplasts stroma and thylakoid lumen, a proton motive force (pmf) is generated. The pmf is composed out of the proton gradient (ΔpH) and membrane potential (ΔΨ), and together they drive the ATP synthesis. In nature, the amount of energy fueling photosynthesis varies due to frequent changes in the light intensity. Thylakoid ion transport can adapt the energy flow through a photosynthetic apparatus to the light availability by adjusting the pmf composition. Dissipation of ΔΨ reduces the charge recombination at the photosystem II, allowing for an increase in ΔpH component to trigger a feedback downregulation of photosynthesis. K+ Exchange Antiporter 3 (KEA3) driven K+/H+ antiport reduces the ΔpH fraction of pmf, thereby dampening a non-photochemical quenching (NPQ). As a result, it increases the photosynthesis efficiency during the transition to lower light intensity. This thesis aimed to find the answers for questions concerning KEA3 activity regulation and its role in plant development. Presented data shows that in plants lacking chloroplast ATP synthase assembly factor CGL160 with decreased ATP synthase activity, KEA3 has a pivotal role in photosynthesis regulation and plant growth during steady-state conditions. Lack of KEA3 in cgl160 mutant results in a strong growth impairment, as photosynthesis is limited due to increased pH-dependent NPQ and decreased electron flow through cytochrome b6f complex. Overexpression of KEA3 in cgl160 mutant increases charge recombination at photosystem II, promoting photosynthesis. Thus, during periods of low ATP synthase activity, plants benefit from KEA3 activity. The KEA3 undergoes dimerization via its regulatory C-terminus (RCT). The RCT responds to changes in light intensity as the plants expressing KEA3 without this domain show reduced photo-protective mechanism in light intensity transients. However, those plants fix more carbon during the photosynthesis induction phase as a trade-off for a long-term photoprotection, showing KEA3 regulatory role in plant development. The KEA3 RCT is facing thylakoid stroma, thus its regulation depends on light-induced changes in the stromal environment. KEA3 activity regulation overlaps with the stromal pH changes occurring during light fluctuations. The ATP and ADP has shown to have an affinity towards heterologously expressed KEA3 RCT. Such interaction causes conformational changes in RCT structure. The fold change of RCT-ligand interaction depends on the environmental pH value. With a combination of bioinformatics and in vitro approach, the ATP binding site at RCT was located. Introduction of binding site point mutation in planta KEA3 RCT resulted in antiporter activity deregulation during transition to low light. Together, the data presented in this thesis allowed us to assess more broadly a KEA3 role in photosynthesis adjustment and propose the models of KEA3 activity regulation throughout transition in light intensity.
George Santayana
(2021)
Leonhard Frank (1882-1961) hat bereits ein an Erfahrungen reiches Leben hinter sich, als er 1950 nach Deutschland zurückkehrt. Das langjährige Exil lässt der Schriftsteller nicht zuletzt aufgrund mangelnder Veröffentlichungs- und Verdienstmöglichkeiten sowie einer rigiden Immigrationsgesetzgebung in den USA hinter sich. Vor allem jedoch zieht es ihn in seine Heimat als das Land seiner Sprache zurück. Und nur hier weiß er sein Publikum, dessen Resonanz er als existenziell empfindet.
In dieser Studie werden die Bemühungen nachvollzogen, die ein während der Weimarer Republik renommierter und ökonomisch erfolgreicher Autor nach dem erzwungenen Exil während der Zeit des Nationalsozialismus unternimmt, um als linker Schriftsteller seine Position innerhalb der besonderen literarischen und kulturpolitischen Bedingungen in der BRD und der DDR im Jahrzehnt der 1950er Jahre zu finden. Ausgehend von umfangreichen Archivmaterialien werden die Lebens- und Arbeitsumstände Franks in seinem letzten Lebensjahrzehnt in die jeweiligen biographischen, sozialen, politischen und kulturellen Kontexte gesetzt.
Besondere Aufmerksamkeit erfährt dabei die Besonderheit, dass Frank als Bürger der Bundesrepublik fortdauernde Beziehungen zu Institutionen und Personen in der DDR unterhielt. Aus dieser Konstellation resultiert eingedenk der politisch-historischen Prozesse, in die sie sich einbettete, ein Spannungsfeld, dessen Spezifika transparent gemacht werden.
Diese historische Studie erforscht die Entwicklung jüdischer Bildung für Kinder und Jugendliche in Deutschland seit der Schoah mit einem Fokus auf die Institutionen- und Akteursebene und unter Einbindung von Exkursen in Bildungsmedien. In einem chronologischen Dreischritt werden dabei die Bildungsarbeit jüdischer Displaced Persons-Lager der unmittelbaren Nachkriegszeit, der neugegründeten jüdischen Organisationen und Gemeinden in der Bundesrepublik, sowie die jüngeren Entwicklungen seit der deutschen Wiedervereinigung behandelt.
Schlaglichter fallen dabei u. a. auf die Bildungs- und Kulturarbeit jüdischer Hilfsorganisationen in den DP-Lagern, auf Curricula und Schulbücher der DPs, auf die Bedingungen des Wiedereinrichtens jüdischen Religionsunterrichts in den neugegründeten jüdischen Gemeinden, auf die Ferienlager der Zentralwohlfahrtsstelle der Juden (ZWST) oder auf jüdische Kultur- und Schulbuchkommissionen des Zentralrats der Juden im Verbund mit den Rabbinerkonferenzen.
Intentionality in Sellars
(2021)
This book argues that Sellars’ theory of intentionality can be understood as an advancement of a transcendental philosophical approach. It shows how Sellars develops his theory of intentionality through his engagement with the theoretical philosophy of Immanuel Kant.
The book delivers a provocative reinterpretation of one of the most problematic and controversial concepts of Sellars' philosophy: the picturing-relation. Sellars' theory of intentionality addresses the question of how to reconcile two aspects that seem opposed: the non-relational theory of intellectual and linguistic content and a causal-transcendental theory of representation inspired by the philosophy of the early Wittgenstein. The author explains how both parts cohere in a transcendental account of finite knowledge. He claims that this can only be achieved by reading Sellars as committed to a transcendental methodology inspired by Kant. In a final step, he brings his interpretation to bear on the contemporary metaphilosophical debate on pragmatism and expressivism.
Intentionality in Sellars will be of interest to scholars of Sellars and Kant, as well as researchers working in philosophy of mind, epistemology, and the history of nineteenth- and twentieth-century philosophy.
Der Charakter Preußens als composite monarchy prägte seine Geschichte, wobei die politischen und territorialen Verwerfungen zu Beginn des 19. Jahrhunderts besondere Herausforderungen zur Integration der 1815 hinzugewonnenen Landesteile mit sich brachten – schließlich liefen sie parallel zu den gesellschaftlichen und ökonomischen Wandlungsprozessen jener ,Sattelzeit‘.
Die Potsdamer Dissertation widmet sich erstmals mit vergleichendem Blick der wirtschaftlichen Integration zweier Gebiete, denen unter den preußischen Neuerwerbungen von 1815 seitens der bisherigen Forschung weniger Aufmerksamkeit geschenkt wurde: das zuvor schwedische Vorpommern sowie diejenigen von Sachsen abgetretenen Territorien, die der dann entstehenden Provinz Brandenburg zugeordnet wurden, einschließlich der Niederlausitz. Quellenbasiert und methodisch fundiert arbeitet die Studie heraus, inwiefern es gelang, diese neuen Landesteile wirtschaftlich in den preußischen Gesamtstaat zu integrieren und so einen einheitlichen Wirtschaftsraum zu konstituieren. In welchem Maße staatliche und nicht-staatliche Akteure aus den Provinzen an dem Integrationsprozess beteiligt waren, ist dabei von besonderem Interesse. Lagen Hemmnisse etwa eher in Strukturen oder eher in dem Verhalten maßgeblicher Personen und Institutionen begründet? Warum stellte sich ein administratives oder legislatives Vorgehen in einem Gebiet als erfolgreich heraus, während es andernorts mehr Widerstände hervorrief? Welche Bedeutung kam außerdem der allgemeinen wirtschaftlichen Verfassung und deren Entwicklung während der beginnenden Industrialisierung für die Integrationsfähigkeit eines Gebietes zu? Durch den Vergleich der Territorien lassen sich die Motive der Beteiligten sowie Bedingungen und Einflussfaktoren für die wirtschaftliche Integration identifizieren.
Die Erzählungen der Energiewende: Erzählungen beherrschen die Interpretation des politischen Geschehens mehr als formal und methodisch strenge Argumentationsketten. Dies gilt insbesondere für Demokratien. In Demokratien gilt es zu überzeugen und auch zu überreden, um Macht zu erhalten, Macht zu sichern oder Akzeptanz für bestimmte politische Vorhaben zu generieren. Diese simple Feststellung lässt zwei Schlüsse für eine transformativ ausgerichtete Politikwissenschaft zu. Erstens können transformative Narrative produziert werden, die das Auftreten von ökologisch, sozial, ökonomisch und kulturell nachhaltigem wahrscheinlicher machen, Zweitens können die Narrative von nachhaltiger wie nicht-nachhaltiger Transformation analysiert werden. Beiden Aufgaben widmet sich die Dissertationsschrift. Dabei werden für den transformativen Teil ethnografisch erhobene Daten zu fünf transformativen Narrativen verdichtet, die Vorwärts- und Vorbildcharakter haben. In den fünf Aufsätzen wurde auf Diversität zwischen den beschriebenen Protagonisten geachtet, sodass eine breite Leser*innenschaft angesprochen wird. Im analytischen Part wird in einem Aufsatz über diese Vorgehen reflektiert und die Form beschrieben durch die transformative Narrative Wirksamkeit entfalten. Dabei gilt immer, dass die Wissenschaft keine Narrative selbst setzt, sondern mittels nachvollziehbarer Methoden Daten zum Sprechen bringt. Dies ist unter review-Bedingungen gelungen. Neben eines Einsatz von Narrativen in Fragen der Gestaltung der neu entstandenen und weiter entstehenden Energielandschaften behandelt diese Dissertationsschrift a, diskursstrangorientierte als auch institutionsorientierte Erzählungen über die Energiewende. Dabei wurden diskursstrangorientiert die unterschiedlichen Erzählungen der und über energieintensive Unternehmen bezüglich der EEG-Umlage untersucht und kategorisiert und die Metaphern der Energiewende im Magazin DER SPIEGEL erhoben und analysiert. Institutionsorientiert wurde die Energiewendeerzählung der Partei `Alternative für Deutschland´, die Bildsprache des Wirtschaftsministeriums an Hand eines Beispiels sowie die Nachhaltigkeitserzählungen der Zukunftsinstitut GmbH. Schließlich wird nach messbaren Folgen des Nachhaltigkeitsnarrativs in drei Regionen des Rhein-Maas-Gebiets gefragt, was die Arbeit abrunden soll.
Der Fokusmarker 'so'
(2021)
Die Gestaltungsfreiheit des Steuerpflichtigen steht in einem Spannungsverhältnis zu einer effektiven Missbrauchsbekämpfung durch den Gesetzgeber. Besonders ausgeprägt ist dieses im Bereich der steuerlichen Verlustnutzung. Dabei gerät die verfassungsrechtliche Verankerung der Verlustnutzung zunehmend aus dem Blick. Am Beispiel des § 2 Abs. 4 UmwStG untersucht die Arbeit die verfassungsrechtlichen Grenzen von Verlustverrechnungsbeschränkungen. Es wird die enge Verknüpfung zu § 8c KStG herausgearbeitet und die Vorschrift vor dem Hintergrund der europäischen Missbrauchskonzeption beleuchtet. Die gewonnenen Ergebnisse münden in einen Vorschlag für eine Neufassung des § 2 Abs. 4 UmwStG, der nationalen und europäischen Vorgaben Rechnung trägt.
Pirmin Emanuel Schreiner vergleicht das Wohnraummietrecht in Deutschland, England und Frankreich per Computersimulation einer Modellstadt. Er schließt damit methodisch an den neueren Diskurs zur sog. "quantitativen Rechtsvergleichung" an. Im ersten Teil erörtert er deren Nutzen für die Rechtsvereinheitlichung, Rechtsarbitrage sowie die ökonometrische Weiternutzung zur policy-Analyse und Rechtsfolgenforschung sowie ihre methodischen Grundlagen besonders im Hinblick auf das Problem der Gewichtung unterschiedlicher Parameter. Im zweiten Teil werden diese methodischen Erkenntnisse zunächst durch einen klassisch-funktionalen Vergleich des Anwendungsbereichs des Wohnraummietrechts, der Mietzinsregulierung (insbesondere auch der sog. "Mietpreisbremsen") und des Kündigungsschutzes einschließlich Räumungsverfahren in den drei genannten Rechtsordnungen angewandt. Übersetzt in Algorithmen münden diese Erkenntnisse in eine Prozesssimulation der drei gewählten Rechtsordnungen. Zur Arbeit gehört ein Online-Appendix, der abrufbar ist unter: doi.org/10.5281/zenodo.4475990
Die Digitalisierung veränderte die deutsche Kreditwirtschaft bereits seit den 1950er Jahren von Grund auf. Sowohl in der Bundesrepublik als auch in der DDR stand sie in den folgenden Jahrzehnten in enger Wechselwirkung mit der Expansion, Umstrukturierung und der Ausweitung der Dienstleistungen von Banken und Sparkassen. Bis zur Wiedervereinigung wurde die Branche zu einem der größten Computeranwender. Das Buch zeichnet eine innovative Perspektive aus, indem Schmitt zeigt, wie Banken und Sparkassen Digitalisierung in ihre Software einprogrammierten. Dadurch veränderten sich nicht nur interne Prozesse, sondern ebenso das Verhältnis zu den KundInnen. Plötzlich arbeiteten neue Akteure wie ProgrammiererInnen in den Kreditinstituten. Mit seiner zeithistorischen Studie gibt Martin Schmitt Einblick in einen der bedeutendsten Wandlungsprozesse der Gegenwart: Welche Impulse für die Digitalisierung setzte die deutsche Wirtschaft? Welche Unterschiede gab es beim Computereinsatz im Kapitalismus und im Sozialismus? Und welche Auswirkungen hatte dies auf das Schicksal der vielen Angestellten wie auch auf die Sparguthaben der Bevölkerung?
Digitalisierung ist das Schlagwort unserer Zeit und kaum ein Lebensbereich bleibt davon unberührt. Für den Einzelnen, die Gesellschaft, die Unternehmen und den Staat bietet sie immense Chancen. Die weiterhin nicht überstandene COVID-19-Pandemie führt dazu, dass dem digitalen Wandel in bisher ungeahnter Geschwindigkeit eine enorme praktische Bedeutung zukommt. Vor diesem Hintergrund erfolgt mit der Untersuchung ein Rechtsvergleich der Besteuerungsverfahren Österreichs und Deutschlands. Ziel ist es, über das Verfahren im Nachbarland zu informieren und die Unterschiede zum deutschen Recht pointiert herauszuarbeiten. Für Deutschland resultiert daraus die Chance, Konzepte und Lösungen der österreichischen Finanzverwaltung bei der Fortentwicklung von E-Government auszuwerten und sowohl von den positiven wie auch negativen Erfahrungen zu profitieren. So können konkrete Reformvorschläge für das deutsche Besteuerungsverfahren erarbeitet und die daraus resultierenden Chancen dargestellt werden.
Participation has become an orthodoxy in the field of development, an essential element of projects and programmes. This book analyses participation in development interventions as an institutionalised expectation – a rationalized myth – and examines how organisations on different levels of government process it. At least two different objectives of participation are appropriate and legitimate for international organisations in the field: the empowerment of local beneficiaries and the achievement of programme goals. Both integrate participatory forums into the organisational logic of development interventions. Local administrations react to the institutionalised expectation with means-ends decoupling, where participatory forums are implemented superficially but de facto remain marginalised in local administrative processes and activities. The book furthermore provides a thick description of the organisationality of participation in development interventions. Participatory forums are shown to be a form of partial organisation. They establish an order in the relationship between administrations and citizens through the introduction of rules and the creation of a defined membership. At the same time, this order is found to be fragile and subject to criticism and negotiation.
"Terrae motus factus est magnus". In diesen und ähnlichen Worten erinnern mittelalterliche Geschichtsschreiber stets an das verspürte Eintreten von Erdbeben. Für die ereignisgeschichtliche Rekonstruktion der historischen Seismizität besitzt das Verständnis, dieser seit dem Frühmittelalter zunehmend standardisiert gebrauchten Narrativen, einen hohen Wert. Daher ist es wichtig, mit den bislang nahezu unerkannt geblieben Intentionen, Vorstellungsstrukturen und Argumentationsstrategien früh- und hochmittelalterlicher Geschichtsschreiber bekannt zu werden. Ausgehend von den antiken Ursprüngen ermittelt diese Arbeit die Bandbreite einer auf "terrae motus" aufbauenden, spezifisch mittelalterlichen Traditionsbildung und setzt sie in den Kontext zum Wissens- und Erfahrungshorizont früh- und hochmittelalterlicher Gelehrter. Erdbeben besaßen ein außerordentliches hermeneutisches Potential für das mittelalterliche Weltverständnis. Somit sind mittelalterliche Erdbebenbeschreibungen hinsichtlich ihrer deskriptiven Qualität und argumentativen Wertigkeit verschieden. Die Historiographie- und Ideengeschichte sowie die seismologische Parametrisierung von mittelalterlichen Erdbeben wird von diesem Wissen gleichermaßen profitieren.
The development of type 2 diabetes (T2D) is driven by genetic as well as life style factors. However, even genetically identical female NZO mice on a high-fat diet show a broad variation in T2D onset. The main objective of this study was to elucidate and investigate early epigenetic determinants of type 2 diabetes. Prior to other experiments, early fat content of the liver (<55.2 HU) in combination with blood glucose concentrations (>8.8 mM) were evaluated as best predictors of diabetes in NZO females. Then, DNA methylome and transcriptome were profiled to identify molecular pathophysiological changes in the liver before diabetes onset. The major finding of this thesis is that alterations in the hepatic DNA methylome precede diabetes onset. Of particular interest were 702 differentially methylated regions (DMRs), of which 506 DMRs had genic localization. These inter-individual DMRs were enriched by fivefold in the KEGG pathway type 2 diabetes mellitus, independent of the level of gene expression, demonstrating an epigenetic predisposition toward diabetes. Interestingly, among the list of hepatic DMRs, eleven DMRs were associated with known imprinted genes in the mouse genome. Thereby, six DMRs (Nap1l5, Mest, Plagl1, Gnas, Grb10 and Slc38a4) localized to imprinting control regions, including five iDMRs that exhibited hypermethylation in livers of diabetes-prone mice. This suggests that gain of DNA methylation in multiple loci of the paternal alleles has unfavourable metabolic consequences for the offspring. Further, the comparative liver transcriptome analysis demonstrated differences in expression levels of 1492 genes related to metabolically relevant pathways, such as citrate cycle and fatty acid metabolism. The integration of hepatic transcriptome and DNA methylome indicated that 449 differentially expressed genes were potentially regulated by DNA methylation, including genes implicated in insulin signaling. In addition, liver transcriptomic profiling of diabetes-resistant and diabetes-prone mice revealed a potential transcriptional dysregulation of 17 hepatokines, in particular Hamp. The hepatic expression of Hamp was decreased by 52% in diabetes-prone mice, on account of an increase in DNA methylation of promoter CpG-118. Hence, HAMP protein levels were lower in mice prone to develop diabetes, which correlated to higher liver triglyceride levels.. In sum, the identified DNA methylation changes appear to collectively favor the initiation and progression of diabetes in female NZO mice. In near future, epigenetic biomarkers are likely to contribute to improved diagnosis for T2D.
The objective of this book is to provide ICAO, States, competent authorities and aerodrome operators with a comprehensive overview of legal challenges related to international aerodrome planning. Answers to derived legal questions as well as recommendations thereafter shall help to enhance regulatory systems and to establish a safer aerodrome environment worldwide. Compliant aerodrome planning has an immense impact on the safety of passengers, personnel, aircraft – and of course the airport. Achieving a high safety standard is crucial, as many incidents and accidents in aviation happen at or in the vicinity of airports. Currently, more than 40% of the ICAO Member States do not fully comply with international legal requirements for aerodrome planning. Representatives of ICAO and States, as well as aerodrome and authority personnel, will understand why compliance with the different legal facets of aerodrome planning is challenging and learn how shortcomings can be solved.
Learning to read in German
(2021)
In the present dissertation, the development of eye movement behavior and the perceptual span of German beginning readers was investigated in Grades 1 to 3 (Study 1) and longitudinally within a one-year time interval (Study 2), as well as in relation to intrinsic and extrinsic reading motivation (Study 3). The presented results are intended to fill the gap of only sparse information on young readers’ eye movements and completely missing information on German young readers’ perceptual span and its development. On the other hand, reading motivation data have been scrutinized with respect to reciprocal effects on reading comprehension but not with respect to more immediate, basic cognitive processing (e.g., word decoding) that is indicated by different eye movement measures. Based on a longitudinal study design, children in Grades 1–3 participated in a moving window reading experiment with eye movement recordings in two successive years. All children were participants of a larger longitudinal study on intrapersonal developmental risk factors in childhood and adolescence (PIER study). Motivation data and other psychometric reading data were collected during individual inquiries and tests at school. Data analyses were realized in three separate studies that focused on different but related aspects of reading and perceptual span development. Study 1 presents the first cross-sectional report on the perceptual span of beginning German readers. The focus was on reading rate changes in Grades 1 to 3 and on the issue of the onset of the perceptual span development and its dependence on basic foveal reading processes. Study 2 presents a successor of Study 1 providing first longitudinal data of the perceptual span in elementary school children. It also includes information on the stability of observed and predicted reading rates and perceptual span sizes and introduces a new measure of the perceptual span based on nonlinear mixed-effects models. Another issue addressed in this study is the longitudinal between-group comparison of slower and faster readers which refers to the detection of developmental patterns. Study 3 includes longitudinal reading motivation data and investigates the relation between different eye movement measures including perceptual span and intrinsic as well as extrinsic reading motivation. In Study 1, a decelerated increase in reading rate was observed between Grades 1 to 3. Grade effects were also reported for saccade length, refixation probability, and different fixation duration measures. With higher grade, mean saccade length increased, whereas refixation probability, first-fixation duration, gaze duration, and total reading time decreased. Perceptual span development was indicated by an increase in window size effects with grade level. Grade level differences with respect to window size effects were stronger between Grades 2 and 3 than between Grades 1 and 2. These results were replicated longitudinally in Study 2. Again, perceptual span size significantly changed between Grades 2 and 3, but not between Grades 1 and 2 or Grades 3 and 4. Observed and predicted reading rates were found to be highly stable after first grade, whereas stability of perceptual span was only moderate for all grade levels. Group differences between slower and faster readers in Year 1 remained observable in Year 2 showing a pattern of stable achievement differences rather than a compensatory pattern. Between Grades 2 and 3, between-group differences in reading rate even increased resulting in a Matthew effect. A similar effect was observed for perceptual span development between Grades 3 and 4. Finally, in Study 3, significant relations between beginning readers’ eye movements and their reading motivation were observed. In both years of measurement, higher intrinsic reading motivation was related to more skilled eye movement patterns as indicated by short fixations, longer saccades, and higher reading rates. In Year 2, intrinsic reading motivation was also significantly and negatively correlated with refixation probability. These correlational patterns were confirmed in cross-sectional linear models controlling for grade level and reading amount and including both reading motivation measures, extrinsic and intrinsic motivation. While there were significant positive relations between intrinsic reading motivation and word decoding as indicated by the above stated eye movement measures, extrinsic reading motivation only predicted variance in eye movements in Year 2 (significant for fixation durations and reading rate), with a consistently opposite pattern of effects as compared to intrinsic reading motivation. Finally, longitudinal effects of Year 1 intrinsic reading motivation on Year 2 word decoding were observed for gaze duration, total reading time, refixation probability, and perceptual span within cross-lagged panel models. These effects were reciprocal because all eye movement measures significantly predicted variance in intrinsic reading motivation. Extrinsic reading motivation in Year 1 did not affect any eye movement measure in Year 2, and vice versa, except for a significant, negative relation with perceptual span. Concluding, the present dissertation demonstrates that largest gains in reading development in terms of eye movement changes are observable between Grades 1 and 2. Together with the observed pattern of stable differences between slower and faster readers and a widening achievement gap between Grades 2 and 3 for reading rate, these results underline the importance of the first year(s) of formal reading instruction. The development of the perceptual span lags behind as it is most apparent between Grades 2 and 3. This suggests that efficient parafoveal processing presupposes a certain degree of foveal reading proficiency (e.g., word decoding). Finally, this dissertation demonstrates that intrinsic reading motivation—but not extrinsic motivation—effectively supports the development of skilled reading.
Mycotoxins are secondary metabolites produced by several filamentous fungal species, thus occurring ubiquitously in the environment and food. While the heterogeneous group shows differences in their bioavailability and toxicity, the low-molecular-weight xenobiotics are capable of impacting human and animal health acutely and chronically. Therefore, maximum levels for the major mycotoxins in food and feed are regulated in the current European legislation. Besides free mycotoxins, naturally occurring modified mycotoxins are gaining more attention in recent years. Modified mycotoxins constitute toxins altered by plants, microorganisms, and living organisms in different metabolic pathways or food processing steps. The toxicological relevant compounds often co-occur with their free forms in infested food and feed. Thus, the toxins may contribute to the overall toxicity of mycotoxins, wherefore their presence and toxicity should be considered in risk assessment. Until now, however, there are no regulated limits for modified mycotoxins within the European Union. In this thesis, rapid, sensitive, and robust methods for the analysis of mycotoxins and their modified forms were developed and validated using state-of-the-art high performance liquid chromatography tandem mass spectrometry (LC-MS/MS) systems. Firstly, two analytical methods for determining 38 mycotoxins in cereals and 41 mycotoxins in beer were established since agricultural products count as the primary source of mycotoxin contamination. For the analysis of cereal samples, a QuEChERS- based extraction approach was pursued, while analytes from beer samples were extracted using an acetonitrile precipitation scheme. Validation in cereals, namely wheat, corn, rice, and barley, as well as in beer, demonstrated satisfactory results. To obtain information regarding the natural occurrence of mycotoxins in food products, the developed methods were applied to the analysis of several commercial samples partly produced worldwide. The Fusarium toxins deoxynivalenol and its conjugated metabolite deoxynivalenol-3-glucoside turned out to be the most abundant toxins. None of the other modified mycotoxins were quantified in the samples. However, one cereal sample showed traces of zearalenone- 14-sulfate below the limit of quantification. Moreover, pesticides, plant growth regulators, and tropane alkaloids were investigated in this thesis. Pesticides present biologically highly effective compounds applied in the environment to protect humans from the hazardous effects of pests. While plant growth regulators show similar functions, mainly improving agricultural production, tropane alkaloids are naturally occurring secondary metabolites mainly in the species of Solanaceae that may pose unintended poisoning of humans. The third part of the present thesis aimed to analyze cereal-relevant compounds simultaneously, wherefore a multi-method for the analysis of (modified) mycotoxins, pesticides, plant growth regulators, and tropane alkaloids was established. After processing the samples, this should be done in a single extraction step with subsequent one-time measurements. Various sample preparation procedures were compared, whereby an approach based on an acidified acetonitrile/water extraction, followed by an online clean-up, was finally chosen. The simultaneous determination of more than 350 analytes required an analytical tool that offered an increased resolving power, represented as an enhanced peak capacity, and the possibility of analyzing a broad polarity range. Thus, a two-dimensional LC-MS/MS system based on two different separation mechanisms that performed orthogonal to one another was used for the analysis. Validation of the developed method revealed good performance characteristics for most analytes, while subsequent application showed that 86% of the samples were contaminated with at least one compound. In summary, this thesis provides novel insights into the analysis of food-relevant (modified) mycotoxins. Different sample preparation and LC-MS/MS approaches were introduced, resulting in the development of three new analytical methods. For the first time, such a high number of modified mycotoxins was included in multi-mycotoxin methods and a multi-method ranging both contaminants and residues. Although first steps towards the analysis of modified mycotoxins have been made, further research is needed to elucidate their (co-) occurrence and toxicological behavior in order to understand their relevance to human health in the future.
‘Smart’ Janus emulsions
(2021)
Emulsions constitute one of the most prominent and continuously evolving research areas in Colloid Chemistry, which involves the preparation of mixtures or dispersions of immiscible components in a continuous medium. Besides conventional oil-in-water or water-in-oil emulsions, other emulsions of complex droplet morphologies have recently attracted significant research interests. Especially Janus emulsions, in which each droplet is comprised of two distinct sub-regions, have shown versatile potential applications. One of their advantages is the possibility of compartmentalization, which enables to play with two different chemistries in a single droplet. Though microfluidic methods are conventionally used to prepare Janus emulsions, their industrial applications are largely hindered by low throughput and extensive instrumentations. Recently, it has been discovered that simply one-pot moderate/high energy emulsification is also capable of developing Janus morphology, although their preparation and stabilization remain rather substantially challenging. This cumulative doctoral thesis focuses on the preparation and characterization of ‘smart’ Janus emulsions, i.e. Janus emulsions with special stimuli-responsive features. One-step moderate/high energy emulsification of olive and silicone oil in an aqueous medium was carried out. Special consideration was devoted to the interfacial tensions among the components to maintain the criteria of forming characteristic droplet architectures, in addition to avoiding multiple emulsion destabilization phenomena like imminent phase separation or even separated droplet formation. A series of investigations were conducted related to the formation of complexes of charged macromolecules and role of them as stabilizers to achieve stable Janus emulsions for a realistic timeframe (more than 3 months). The correlation between the size of the stabilizer particles and the droplet size of emulsion was established. Furthermore, it was observed that Janus emulsion gels with interesting rheological properties can be fabricated in the presence of suitable polyelectrolyte complexes. Janus emulsions that could be influenced by pH, temperature or magnetic field were successfully produced in presence of characteristic stimuli-responsive stabilizers. Afterwards, the effect of these changes was studied by different characterization techniques. The size and morphology could be tuned easily by changing the pH. The incorporation of iron oxide magnetic nanoparticles (synthesized separately by a co-precipitation method) to one component of the Janus emulsion was carried out so that the movement and orientation of the complex droplets in aqueous media could be controlled by an external magnetic field. Additionally, temperature-triggered instantaneous reversible breakdown of Janus droplets was also accomplished. The responses of the Janus droplets by the stimuli were well-documented and explained. Another goal of the present contribution was to exploit this special morphological feature of emulsions as a template for producing porous materials. This was demonstrated by the preparation of ultralight magnetic responsive aerogels, utilizing Janus emulsion gels. The produced aerogels also showed the capacity to separate toxic dye from water. To the best of our knowledge, this is the first example of investigation towards batch scale production of Janus emulsion with such special stimuli-responsive properties by a simple bulk emulsification method.
In modern times of evolving globalization and continuous technological developments, organizations are required to respond to ever-changing demands. Therefore, to be successful in today’s highly uncertain environments, organizations need employees to actively search for opportunities, anticipate challenges, and act ahead. In other words, employee proactivity in the workplace represents a highly valuable resource in nowadays organizations. Empirical studies conducted as part of this thesis advance the research on the outcomes of proactivity from the individual perspective. The main contribution of this thesis pertains to revealing several important individual and contextual conditions under which engaging in proactivity will have negative and positive effects on employees’ well-being and their consequent behaviours, as well as shedding light on the unique psychological mechanisms through which these effects unfold. From a practical standpoint, this research underscores the importance of creating work environments that support employees’ autonomous motivation for proactivity and urge organizations and managers to be mindful about the pressures they place on employees to be proactive at work. Besides, this thesis stimulates research efforts aimed at further extending our knowledge of when and how individual proactive behaviours at work will do more good than harm for those who enact them.
Das Recht auf voraussetzungslosen Zugang zu amtlichen Informationen verzeichnet einen stetigen Bedeutungszuwachs. Der staatliche Informationsbestand enthält dabei eine Vielzahl von Informationen auch Privater, insbesondere von Unternehmen. Mit dem Wunsch nach Transparenz auf der einen Seite geht auf der anderen Seite ein natürliches Interesse der betroffenen Dritten an der Geheimhaltung ihrer Daten einher. Diese verfassungsrechtlich garantierten Interessen umfassen den Schutz personenbezogener Daten, des geistigen Eigentums und von Betriebs- und Geschäftsgeheimnissen. Florian Penski stellt eine vergleichende Untersuchung unter dem IFG, UIG und VIG zur Auflösung dieser Spannungsverhältnisse an. Der Schwerpunkt liegt dabei auf möglichen Änderungen durch die erst 2018 in Kraft getretene Datenschutz-Grundverordnung. Zudem wird untersucht, wie ein Privater seine Interessen sowohl gerichtlich als auch außergerichtlich effektiv durchsetzen kann.
Bundeswehrapotheken
(2021)
„Bundeswehrapotheken" schildert die Entstehung und Entwicklung der Sanitätsmaterialversorgungseinrichtungen der Bundeswehr von ihrer Aufstellung Ende der 1950er Jahre bis in die 2000er Jahre. Anfangs im rechtlichen Sinne noch keine Apotheken, waren diese Einrichtungen damals in erster Linie auf den Kriegsfall ausgerichtet und von sehr begrenzter pharmazeutischer Leistungsfähigkeit.
Heute sind nur noch wenige große Bundeswehrapotheken verblieben, die jedoch hinsichtlich ihrer personellen, materiellen und infrastrukturellen Ausstattung und Möglichkeiten uneingeschränkt zivilen Einrichtungen vergleichbar leistungsfähig sind. Überwiegend mit militärischen Fachleuten besetzt und entsprechend ausgerüstet, können die heutigen Bundeswehrapotheken diese Leistung prinzipiell weltweit erbringen.
Gegliedert nach markanten Zeitabschnitten hat der Autor vor dem Hintergrund der jeweils geltenden politischen und militärischen Rahmenbedingungen sowie der Einsatzgrundsätze der Bundeswehr den Einfluss der jeweiligen rechtlichen, militärischen, gesellschaftlichen und fachlichen Vorgaben sowie prägender Ereignisse herausgearbeitet, eingeordnet und bewertet.
Red Metal
(2021)
Heavy-Metal-Fans waren in der zweiten Hälfte der 1980er-Jahre die vermutlich größte jugendliche Subkultur in der DDR. Sie gingen arbeiten, denn Schallplatten, ihr Outfit und Shopping-Fahrten nach Budapest waren teuer. Für Politik interessierten sie sich jedoch kaum. Die SED war deshalb verunsichert, wie sie mit der Jugendkultur umgehen sollte, und bemühte sich letztlich erfolglos, die Metal-Szene für ihre Ziele einzuspannen.
Nikolai Okunew erzählt auf der Basis umfassender Archivrecherchen, dutzender Interviews und der breiten Szene-Überlieferung die Geschichte der Heavy-Metal-Szene in der DDR. Er zeigt, wie sich ihre Bands entwickelten und die Fans an den Wochenenden scharenweise in alle Ecken des Landes fuhren, um dort zu feiern, zu trinken und zu headbangen. Konflikte mit der Polizei und der Stasi werden dabei ebenso deutlich wie die Rolle des Radios, das den Heavy Metal ins Land trug.
Plants possess cell wall, a polysaccharide exoskeleton which encompasses all plant cells. Cell wall gives plant cells mechanical support, defines their shape, enables growth and water transport through a plant. It also has important role in communication with the external environment. Regulation of plant cell wall biosynthesis and cell and organ morphogenesis depends on cell’s ability to detect mechanical signals originating both from the external environment and from internal plant tissues. Thanks to the presence of the cell wall, all living plant cells develop constant internal pressure generated by the active water uptake, known as turgor pressure, which enables them to grow. Thus, actively growing cells in the tissue are exerting mechanical stress to each other. In order to properly coordinate cell growth, tissue morphogenesis and maintain cell-to-cell adhesion, plant cell have to detect these mechanical signals. That is performed by a group of still not well enough characterized plant mechanosensitive proteins. Mechanosensors are proteins capable of detecting changes in mechanical stress patterns and translating them into physiological and developmental outputs. One of plant mechanosensitive proteins, DEFECTIVE KERNEL1 (DEK1) has shown to be a very important in proper plant development. DEK1 bears similarity with animal cysteine proteases of Calpain superfamily. DEK1 is very important for plant development since all null alleles are embryo lethal. During the last 20 years of DEK1 studies, this protein has proven to be a very difficult for different molecular and biochemical manipulations. As a consequence, very little is known about its direct target proteins. Wang and co-workers (2003) and Johnson and co-workers (2008) have given a valuable contribution to biochemical understanding of DEK1 by determining that it functions as Cys-protease in similar way as animal calpains. However, a lot of indirect knowledge was gathered about the effects of disruption and modulation of DEK1 activity. DEK1 is important for proper organ development, epidermal specification, and maintenance. However, some studies have inferred that DEK1 affects expression of different cell wall related genes, and it regulates cell-to-cell adhesion in epidermal cells. This led to two extensive studies (Amanda et al., 2016, 2017) which demonstrated importance of DEK1 in regulation leaf epidermal cell walls in A. thaliana mature leaves and inflorescence stems. These studies demonstrated that DEK1 also influences cell wall thickness and cell-to-cell adhesion and that it could potentially regulate cell growth and expansion. Building up on this research, we decided to try to further characterize molecular and biomechanical aspects of DEK1 mediated cell wall regulation, with special emphasis on regulation of cellulose synthesis. We used two mutant lines, with modulated DEK1 activity, a constitutive overexpressor for DEK1 CALPAIN domain and a point mutant in CALPAIN domain, dek1-4. In Chapter 3 we demonstrated that DEK1 regulates dynamics of Cellulose Synthase Complexes (CSCs). Both lines showed decreased crystalline cellulose contents. This led us to investigate if velocity of CSCs in cotyledons, was affected, since it is known that changes in cellulose contents are often caused by defects in CSC. We found that bothDEK1 modulated lines we used have significantly decreased velocity of CSCs. We have also examined plasma membrane turnover rates of CSCs and found out that after photo-bleaching OE CALPAIN has much faster recovery rates compared to Col-0 wild type, while dek1-4 has lower exocytotic rates of CSCs, and much longer life-time of CSCs inserted into the plasma membrane. These results suggested that DEK1 regulates different aspects of CSC dynamics, possibly through interaction with different regulatory proteins. Decrease in cellulose contents we observed in DEK1 modulated lines, prompted us to investigate how this reflects biomechanics and structural properties of epidermal cotyledon cell walls of DEK1 modulated lines, which is described in Chapter 4. To achieve this, we developed a novel microdissection method for isolation and mechanical and structural characterization of native epidermal cell wall monolayers using atomic force microscopy (AFM). AFM force spectroscopy assays showed that both DEK1 modulated lines had stiffer cell walls compared to Col-0. This was awkward since we initially detected decrease in crystalline cellulose which implied decrease in cell wall stiffness. However, subsequent high-resolution AFM imaging has revealed that DEK1 modulate lines cells walls have their cellulose microfibrils organized in thicker bundles than Col-0. Also, polysaccharide composition analysis has revealed that DEK1 modulated lines have increased abundance of pectins, which could also be responsible for the observed increase in cell wall stiffness. Previous work has shown that different dek1 mutants and modulated lines have defects in cell-to-cell adhesion. This implied that DEK1 may be involved in sensing and/or maintaining cell wall integrity (CWI). We performed several growth assays to determine role of DEK1 in CWI, which is described in Chapter 5. We performed cellulose synthesis perturbation assays with cellulose synthesis inhibitor Isoxaben and obtained very interesting results. While OE CALPAIN plants were hypersensitive to Isoxaben, dek1-4 has shown complete insensitivity. Furthermore, a regular CWI maintenance response, reported in A. thaliana as result of compromised CWI, ectopic lignification in seedlings’ roots was absent in both DEK1 modulated lines we examined. We detected interesting growth response of DEK1 lines to NaCl and mannitol treatments as well. Although these findings are pointing out that DEK1 could be part of CWI signalling pathways, more experiments are necessary to fully elucidate possible role of DEK1 in CWI sensing and/or maintenance pathways, especially to check if DEK1 is interacting with Catharanthus roseus Receptor Like Kinase group of CWI sensors. Studies on 4-month old short day grown DEK1 modulated lines, have shown defects in branching, with development of fasciated stem branches in a DEK1 modulated line overexpressing CALPAIN domain (Amanda et al., 2017). This result pointed out to a possibility that DEK1 may regulate organ morphogenesis and patterning at the level of shoot apical meristem (SAM). Work towards elucidating role of DEK1 in SAM maintenance and organ patterning is detailed in Chapter 6. We determined that OE CALPAIN had significantly larger central zone of SAM as well as larger individual SAM cells in central zone, as well as higher distribution of cell sizes, implying possible cell expansion defects. dek1-4 did not exhibited changes in SAM central zone size or individual stem cell size, but it seemed that it had increased number of stem cells in SAM central zone. Both DEK1 lines had perturbation of phyllotaxis on SAM level, with disturbed divergence angles between floral primordia. Disturbed phyllotaxis was also observed between siliques, in mature plants. In addition to this, OE CALPAIN has exhibited occurrence of multiple (up to four) siliques growing from a single stem node. All this is pointing out that DEK1 might participate in hormone-signalling in the SAM.. DEK1 is a highly intriguing protein. However, since it is a unigene, and in addition to that, a regulatory protease, it probably participates in multiple signalling pathways, which makes understanding its function much more complicated.
Wandlungsfähige Verwaltungen
(2021)
Synthesis and Characterization of Upconversion Nanaparticles for Applications in Life Sciences
(2021)
In der vorliegenden Arbeit wird die Geschichte des militärischen Transfusionswesens in Deutschland, ausgehend vom Deutsch-Französischen Krieg, über den Ersten und Zweiten Weltkrieg, bis hin zu der Organisation des Blutspendewesens sowie der Herstellung von Blut- und Blutbestandteilkonserven in der NVA, aber auch der Bundeswehr analysiert, Gemeinsamkeiten und Unterschiede der einzelnen Epochen und Armeen aufgezeigt sowie rückblickend ethische Problemfelder identifiziert und aufgearbeitet. Zusätzlich werden die den jeweiligen Zeiträumen zugeordneten technischen Apparaturen und Verfahren sowie zeitgenössische Forschungsprojekte skizziert.
Wenngleich die Abgabenordnung zwei Verfahren zur Inanspruchnahme von Steuerentrichtungs- und Haftungsschuldner vorsieht, führt die im Rahmen der AO-Reform im Jahr 1990 erfolgte Aufnahme des Haftungsschuldners in den Wortlaut des § 167 AO zur Vermischung beider Verfahrensarten. Kann das von Rechtsprechung und Finanzverwaltung diesbezüglich praktizierte Wahlrecht sowie die Vermengung der Voraussetzungen beider Verfahren im Rahmen der Eingriffsverwaltung zulässig sein? Zweifel hieran ergeben sich insbesondere, wenn in bestimmten Fällen der Fremdentrichtungsschuldner final mit der Steuerschuld eines anderen belastet wird und damit faktisch zum Steuerschuldner erhoben wird. Nach Vergleich der Verfahren sowie der verfahrensrechtlichen Auswirkungen wird untersucht, ob eine Anpassung des maßgeblichen § 167 AO eine »gerechtere« Lösung herbeiführen könnte. Daraufhin wird die Arbeit mit einem Reformvorschlag abgeschlossen.
Die Funktion der Unschärfe
(2021)
Atmosphäre ist das Phänomen, das uns zu jeder Zeit umgibt, oftmals ohne bewusst wahrgenommen zu werden. Sie ist schwer fassbar, beschreibbar oder gar planbar und entzieht sich der objektiven Messbarkeit. Sie kann jedoch affizierende Wirkmacht entfalten – dann, wenn sie in Resonanz zum wahrnehmenden Subjekt tritt. Mit Atmosphäre zu operieren heißt, mit Unschärfe zu operieren. Doch was bedeutet diese Unschärfe für die Ausstellungsszenografie, die Inhalte zu vermitteln hat?
Barbara Mutzbauer untersucht die Bedeutung der atmosphärischen Unschärfe für die Kommunikation im Raum anhand dreier Fallstudien der Weltausstellung in Mailand. Mit Hilfe einer methodischen Innovation, die sie Atmografie nennt, unternimmt sie den Versuch, subjektive Empfindungen und atmosphärische Wirkungen explizierbar zu machen. Neben der rezeptionsästhetischen wird auch die produktionsästhetische Seite beleuchtet und das enorme Potenzial, welches Atmosphäre für beide Seiten bietet. Die Reflexion von Verstehensprozessen und des in der Atmosphäre geformten Verständnisses von Inhalten in Ausstellungen führt zu einem neuen Ansatz: der atmosphärischen Hermeneutik.
The Arctic environments constitute rich and dynamic ecosystems, dominated by microorganisms extremely well adapted to survive and function under severe conditions. A range of physiological adaptations allow the microbiota in these habitats to withstand low temperatures, low water and nutrient availability, high levels of UV radiation, etc. In addition, other adaptations of clear competitive nature are directed at not only surviving but thriving in these environments, by disrupting the metabolism of neighboring cells and affecting intermicrobial communication. Since Arctic microbes are bioindicators which amplify climate alterations in the environment, the Arctic region presents the opportunity to study local microbiota and carry out research about interesting, potentially virulent phenotypes that could be dispersed into other habitats around the globe as a consequence of accelerating climate change. In this context, exploration of Arctic habitats as well as descriptions of the microbes inhabiting them are abundant but microbial competitive strategies commonly associated with virulence and pathogens are rarely reported. In this project, environmental samples from the Arctic region were collected and microorganisms (bacteria and fungi) were isolated. The clinical relevance of these microorganisms was assessed by observing the following virulence markers: ability to grow at a range of temperatures, expression of antimicrobial resistance and production of hemolysins. The aim of this project is to determine the frequency and relevance of these characteristics in an effort to understand microbial adaptations in habitats threatened by climate change. The isolates obtained and described here were able to grow at a range of temperatures, in some cases more than 30 °C higher than their original isolation temperature. A considerable number of them consistently expressed compounds capable of lysing sheep and bovine erythrocytes on blood agar at different incubation temperatures. Ethanolic extracts of these bacteria were able to cause rapid and complete lysis of erythrocyte suspensions and might even be hemolytic when assayed on human blood. In silico analyses showed a variety of resistance elements, some of them novel, against natural and synthetic antimicrobial compounds. In vitro experiments against a number of antimicrobial compounds showed resistance phenotypes belonging to wild-type populations and some non-wild type which clearly denote human influence in the acquisition of antimicrobial resistance. The results of this project demonstrate the presence of virulence-associated factors expressed by microorganisms of natural, non-clinical environments. This study contains some of the first reports, to the best of our knowledge, of hemolytic microbes isolated from the Arctic region. In addition, it provides additional information about the presence and expression of intrinsic and acquired antimicrobial resistance in environmental isolates, contributing to the understanding of the evolution of relevant pathogenic species and opportunistic pathogens. Finally, this study highlights some of the potential risks associated with changes in the polar regions (habitat melting and destruction, ecosystem transition and re-colonization) as important indirect consequences of global warming and altered climatic conditions around the planet.
Diese Arbeit untersucht die Haftung zwischen Bund und Ländern bei der Ausführung der Bundesgesetze. Nach der Kompetenzverteilung des Grundgesetzes teilen sich Bund und Länder die Aufgabe der Ausführung der Bundesgesetze. Hierbei können sie die jeweils andere förderal Ebene schädigen. Dies kann etwa bei der fehlerhaften Verwaltung von Mitteln oder Steuern passieren. Ein anderes Beispiel ist das Auslösen von Haftungsansprüchen im Außenverhältnis zu Dritten. Solche Ansprüche können leicht hohe Beträge erreichen. Die maßgebliche Anspruchsgrundlage ist Art. 104a Abs. 5 Satz 1 Halbsatz 2 Grundgesetz. Hiernach haften Bund und Länder einander für die ordnungsgemäße Verwaltung. Diese Regelung wirft zahlreiche bis heute ungeklärte Rechtsfragen auf, welche die Arbeit näher untersucht.
Brown adipose tissue (BAT) is responsible for non-shivering thermogenesis, thereby allowing mammals to maintain a constant body temperature in a cold environment. Thermogenic capacity of this tissue is due to a high mitochondrial density and expression of uncoupling protein 1 (UCP1), a unique brown adipocyte marker which dissipates the mitochondrial proton gradient to produce heat instead of ATP. BAT is actively involved in whole-body metabolic homeostasis and during aging there is a loss of classical brown adipose tissue with concomitantly reduced browning capacity of white adipose tissue. Therefore, an age-dependent decrease of BAT-related energy expenditure capacity may exacerbate the development of metabolic diseases, including obesity and type 2 diabetes mellitus. Given that direct effects of age-related changes of BAT-metabolic flux have yet to be unraveled, the aim of the current thesis is to investigate potential metabolic mechanisms involved in BAT-dysfunction during aging and to identify suitable metabolic candidates as functional biomarkers of BAT-aging. To this aim, integration of transcriptomic, metabolomic and proteomic data analyses of BAT from young and aged mice was performed, and a group of candidates with age-related changes was revealed. Metabolomic analysis showed age-dependent alterations of metabolic intermediates involved in energy, nucleotide and vitamin metabolism, with major alterations regarding the purine nucleotide pool. These data suggest a potential role of nucleotide intermediates in age-related BAT defects. In addition, the screening of transcriptomic and proteomic data sets from BAT of young and aged mice allowed identification of a 60-kDa lysophospholipase, also known as L-asparaginase (Aspg), whose expression declines during BAT-aging. Involvement of Aspg in brown adipocyte thermogenic function was subsequently analyzed at the molecular level using in vitro approaches and animal models. The findings revealed sensitivity of Aspg expression to β3-adrenergic activation via different metabolic cues, including cold exposure and treatment with β3-adrenergic agonist CL. To further examine ASPG function in BAT, an over-expression model of Aspg in a brown adipocyte cell line was established and showed that these cells were metabolically more active compared to controls, revealing increased expression of the main brown-adipocyte specific marker UCP1, as well as higher lipolysis rates. An in vitro loss-of-function model of Aspg was also functionally analyzed, revealing reduced brown adipogenic characteristics and an impaired lipolysis, thus confirming physiological relevance of Aspg in brown adipocyte function. Characterization of a transgenic mouse model with whole-body inactivation of the Aspg gene (Aspg-KO) allowed investigation of the role of ASPG under in vivo conditions, indicating a mild obesogenic phenotype, hypertrophic white adipocytes, impairment of the early thermogenic response upon cold-stimulation and dysfunctional insulin sensitivity. Taken together, these data show that ASPG may represent a new functional biomarker of BAT-aging that regulates thermogenesis and therefore a potential target for the treatment of age-related metabolic disease.
Discriminative Models for Biometric Identification using Micro- and Macro-Movements of the Eyes
(2021)
Human visual perception is an active process. Eye movements either alternate between fixations and saccades or follow a smooth pursuit movement in case of moving targets. Besides these macroscopic gaze patterns, the eyes perform involuntary micro-movements during fixations which are commonly categorized into micro-saccades, drift and tremor. Eye movements are frequently studied in cognitive psychology, because they reflect a complex interplay of perception, attention and oculomotor control.
A common insight of psychological research is that macro-movements are highly individual. Inspired by this finding, there has been a considerable amount of prior research on oculomotoric biometric identification. However, the accuracy of known approaches is too low and the time needed for identification is too long for any practical application. This thesis explores discriminative models for the task of biometric identification.
Discriminative models optimize a quality measure of the predictions and are usually superior to generative approaches in discriminative tasks. However, using discriminative models requires to select a suitable form of data representation for sequential eye gaze data; i.e., by engineering features or constructing a sequence kernel and the performance of the classification model strongly depends on the data representation. We study two fundamentally different ways of representing eye gaze within a discriminative framework. In the first part of this thesis, we explore the integration of data and psychological background knowledge in the form of generative models to construct representations. To this end, we first develop generative statistical models of gaze behavior during reading and scene viewing that account for viewer-specific distributional properties of gaze patterns. In a second step, we develop a discriminative identification model by deriving Fisher kernel functions from these and several baseline models. We find that an SVM with Fisher kernel is able to reliably identify users based on their eye gaze during reading and scene viewing. However, since the generative models are constrained to use low-frequency macro-movements, they discard a significant amount of information contained in the raw eye tracking signal at a high cost: identification requires about one minute of input recording, which makes it inapplicable for real world biometric systems. In the second part of this thesis, we study a purely data-driven modeling approach. Here, we aim at automatically discovering the individual pattern hidden in the raw eye tracking signal. To this end, we develop a deep convolutional neural network DeepEyedentification that processes yaw and pitch gaze velocities and learns a representation end-to-end. Compared to prior work, this model increases the identification accuracy by one order of magnitude and the time to identification decreases to only seconds. The DeepEyedentificationLive model further improves upon the identification performance by processing binocular input and it also detects presentation-attacks.
We find that by learning a representation, the performance of oculomotoric identification and presentation-attack detection can be driven close to practical relevance for biometric applications. Eye tracking devices with high sampling frequency and precision are expensive and the applicability of eye movement as a biometric feature heavily depends on cost of recording devices.
In the last part of this thesis, we therefore study the requirements on data quality by evaluating the performance of the DeepEyedentificationLive network under reduced spatial and temporal resolution. We find that the method still attains a high identification accuracy at a temporal resolution of only 250 Hz and a precision of 0.03 degrees. Reducing both does not have an additive deteriorating effect.
As the ongoing trend of developing smart materials that can reversibly switch geometry stimulated by environmental control addressed increasing attention in many research fields, especially for biomedical or soft robotic applications. Shape-memory polymers (SMPs), which can change shape, stiffness, size, and structure when exposed to an external stimulus, are intensively explored as encouraging material candidates for achieving multifunctionality, and for miniaturizing into micro-components to expand the applications. Besides, the geometrical design has gained growing attention for creating engineering applications, such as bi-stable mechanisms, and has the potential to be explored by implementing SMP for new functions. In this context, this thesis aimed to develop smart micro-/nano-objects based on SMP and explore new functions by geometrical design using SMP. Here, two types of stimuli-responsive objects capable of one-way temperature-memory effect (TME) or free-standing reversible actuation e.g., micro/nanofibers (i) and microcuboids (ii) at different aspects were explored. At first, it was hypothesized that the advanced atomic force microscopy (AFM) platform can be established to study individual polymeric micro-/nanofibers (i) in terms of incorporation and characterization of a reversible shape-memory actuation capability. Crystallizable material was chosen for preparing the fibers and the molecular alignment within the fibers among different diameters will influence the crystallization-induced elongation during cooling that determined the reversible effect. For the second type, microcuboids (ii), it was hypothesized that a programming and quantification approach can be developed to enable the realization and characterization of a one-way micro-TME and micro-shape-memory polymer actuation (SMPA) in microcuboids. The responsive temperature of one-way shape transformation can be tuned by programming temperature (Tp) and the separation temperature (Tsep) for post-programming can influence the actuation. Finally, a geometrical design with bi-stability was combined with SME to create new functions of shape actuation. It was hypothesized that the predicted bi-stable or mono-stable structures can be achieved with the aid of digital fabrication methods. Using shape-memory effect (SME), the alteration of bi-stable and mono-stable can initiate shape transformation with a larger magnitude and higher energy output.
In the first part, the method to quantify the reversible SMPA of a single micro/nano crystallizable fiber with geometry change during the actuation was explored. Electrospinning was used to prepare poly (ε-caprolactone) (PCL) micro/nanofiber with different diameters, which were fixed by UV glue and crosslinked on the structured silicon wafer. Using AFM, the programming, as well as the observation of recovery and reversible displacement of the fiber, were performed by vertical three-point bending at the free suspended part. A plateau tip was chosen to achieve stable contact and longer working distance for performing larger deformation, enabling intensified reversible SMPA of single fibers. In this way, programming strains of 39 ± 1% or 46 ± 1% were realized for fiber with a diameter of 1 ± 0.2 µm and 300 ± 50 nm, which were bent at 80 °C and fixed at 10 °C. Values for the reversible elongation of εrev = 3.4 ± 0.1% and 10.5 ± 0.1% were obtained for a single micro and nanofiber respectively between 10 and 60 °C. The higher actuation effect observed for nanofiber demonstrated that the highly compact and oriented crystallites in nanofibers, which determined the pronounced εrev compared to the thick microfibers. Besides, a stable reversible actuation of a nanofiber can be tracked by AFM tip up to 10 cycles, indicating a sustainable application can be achieved on the fiber actuators. The findings obtained for cPCL micro-/nano-fibers will help design and evaluate the next generation polymeric microactuators or micromanipulators.
The second part of the thesis studies the shape-memory effect (SME) of a single individual SMP micro-object by controlling deformation temperatures during programming and actuation temperatures during reversible change. In this work, microcuboids of crosslinked poly[ethylene-co-(vinyl acetate)] (cPEVA) elastomers with 18 wt% vinyl acetate (VA) contents were successfully prepared by template-based replication from polydimethylsiloxane (PDMS) mold. The micro-TME and micro-SMPA were observed and studied based on micro-geometry change using optical microscopy (OM) and AFM. Different switching temperatures of shape recovery were achieved from 55 °C to 86 °C by tuning Tp from 55 °C to 100 °C, indicating a successful implementation of micro-TME on individual microcuboid. For micro-SMPA functionalization, microcuboids were deformed by compression at 100 °C and the change in single particle height was monitored during cyclic heating and cooling between various Tseps from 60 °C to 85 °C and 20 °C. The micro-SMPA on a single microcuboid was achieved with a reversible strain in the range of 2 to 7%, whereby higher compression ratio CR and Tsep induced prominent reversible strain. The results achieved in this work demonstrated the successful functionalization of microcuboids with different SMEs by controlling temperatures during programming and actuation processes. Based on these achievements, such micro-objects can be further designed as on demand switchable microactuators or release systems with adjustable working temperatures.
In the last part of the work, a new function of shape-memory polymeric bi-stable 3D structured film was designed and fabricated. The SME and geometrical design of compliant mechanics were merged to enable switching between bi-stable and mono-stable states, which generate snap movement that mimics the Venus flytrap. A truncated tetrahedron structure with a slope angle as a tunable parameter to alter the bi-stability was chosen for the study to combine with
SME. It was anticipated that the structured film designed with a slope angle of 30° exhibited mono-stable behavior, and such a structure with a slope angle of 45° exhibited bi-stable behavior. Then the structured SMP film of designed mono-stable shape was successfully fabricated using soft lithography based on 3D printed master molds supported from digital manufacturing. The structured mold was also used in programming the SMP film into the structure with a higher slope angle to attain bi-stability. Finally, the switching between bi-stable and mono-stable states was successfully realized using SME, which introduces snapping movement triggered by heat. The implementation of compliant mechanisms by the SME increased the magnitude of thermally induced reconfiguration without additional external force.
To sum up, the results of the thesis support the development of smart objects capable of one-way micro-TME, free-standing reversible actuation, or bi-stability mediated shape-memory reconfiguration. Electrospinning and template-based method were used for fabrication with good control of geometry and low size dispersity. Microscopy methods especially the AFM platform with decent sensitivity was developed for implementation as well as characterization of SME on individual micro-/nanoobjects. Implementation of bi-stability improves the shape transformation amplitude of thermally triggered SMP. These findings can give novel insights for designing polymer-based actuators or soft robotics.
Juden ohne Päpste
(2021)
Als der Papststuhl 1309 von Rom nach Avignon verlegt wurde, bedeutete dies das Ende einer erstaunlichen wirtschaftlichen Kooperation zwischen päpstlicher Kurie und jüdischen Händlern. Diese hatte gedeihen können, da im 13. Jh. die Juden Mittelitaliens an der Konstruktion von Narrativen kommunaler Zugehörigkeit beteiligt waren und Juden in den Städten häufig als vertrauenswürdig galten. Die Verlegung des Papststuhls nach Avignon (1309–1377) trug zum Bruch dieser Partnerschaft sowie zur Unterbrechung der päpstlichen Schutzpolitik gegenüber den römischen Juden bei. Der maßgebliche Grund für die veränderte Politik der Kurie war der Einfluss der in Frankreich verbreiteten antijüdischen Darstellung der wuchernden Juden auf die Mentalität der avignonesischen Päpste. Im Besonderen fungierte die französische Monarchie als Katalysator für antijüdische Vorstellungen – ganz im Gegensatz zu vertrauensvollen Atmosphäre während der jüdisch-christlichen Kooperation in Mittelitalien. Die Arbeit bietet einen spannenden neuen Blick auf die jüdisch-päpstliche Beziehungsgeschichte im italienischen Mittelalter.
Digital surveillance fiction
(2021)
Bilder zeigen - dies scheint die Prämisse alles Bildhaften zu sein. Dabei wird meist stillschweigend akzeptiert, dass sie mithin verbergen müssen, um das Gezeigte ins Licht des Sichtbaren zu überführen. Jedoch können Bilder auch darauf verweisen, dass sich in ihnen etwas dem Zeigbaren generell entzieht. Diese Thematisierung des Unsichtbaren bzw. Undarstellbaren ist eine bisher wenig beachtete Eigenschaft und häufig Gegenstand einer speziellen Kunst, die sich im Kontext des ostasiatischen Zen-Buddhismus entwickelt hat. Der sich in diesen Werken manifestierende, scheinbare Widerspruch einer zen-buddhistischen Geisteshaltung, die Wirklichkeit für nicht (oder zumindest nicht hinlänglich) vermittelbar zu halten, dieses Unvermittelbare aber gerade im Vermittelbaren zu suchen, markiert den Ausgangspunkt der Strategien von Sichtbarmachungspraktiken, die im vorliegenden Buch erstmalig einer genaueren Bestimmung unterzogen werden.
Water-deficits can cause lethal damage to organisms, which is rooted in cellular dehydration. Many plant species, but also other organisms have developed mechanisms to tolerate such stresses, such as the expression of LEA proteins. Many studies report on physiological protective functions of LEA proteins but lack information about their precise mechanisms on a molecular level. Most LEA proteins are intrinsically disordered in dilute solution but may adopt a distinct secondary structure upon changes in solvent conditions. Understanding the molecular mechanism of how LEA proteins contribute to the counteraction of cellular damage during water-deficits may in the long-term pave the way for breeding crops that are resistant to the effects of global warming. The objective of the work at hand is to improve the biophysical understanding of the sequencestructure-function relationship of LEA proteins as membrane stabilizers, based on the LEA_4 family of the model plant A. thaliana. This is pursued by using a combination of spectroscopic and scattering techniques, supported by bioinformatics and computational analyses. Eight out of the 18 LEA_4 proteins are experimentally assessed revealing that a coil-helix transition in response to water-deficit is a common feature, as predicted for the entire family. In addition, they all stabilize simple membrane models during a freeze/ thaw cycle. Three-dimensional structure prediction of representative members suggests that their completely folded states are represented by a sequential arrangement of alpha-helical segments connected by unstructured linkers, which is experimentally verified for the LEA_4 protein COR15A. The unstructured linker region of COR15A represents a conserved motif among its closest homologs and is, therefore, of particular interest. Facilitating a set of seven designed and investigated COR15A mutants uncovers a complex interplay of transient interactions between the amphipathic alpha-helical segments, mediated by the linker, which fine-tunes folding transitions and structural ensembles upon reduced water-availability. Finally, alpha-helicity is also induced in COR15A upon temperature decrease, which is enhanced in the presence of osmolytes. In addition, high solution osmolarity induced secondary structure is followed by oligomerization of COR15A. Interestingly, the functionality of COR15A, in terms of liposome stabilization, strongly correlates with its alpha-helix ratio in the folded state. The present work significantly improves the understanding of the sequence-structure-function relationship for LEA_4 proteins and offers novel findings on folding mechanisms and oligomerization of COR15A.
The characterization of exoplanets applying high-resolution transmission spectroscopy ini- tiated a new era making it possible to trace atmospheric signature at high altitudes in exoplanet atmospheres and to determine atmospheric properties which enrich our under- standing of the formation and evolution of the solar system. In contrast to what is observed in our solar system, where gaseous planets orbit at wide orbits, Jupiter type exoplanets were detected in foreign stellar systems surrounding their host stars within few days, in close orbits, the so called hot- and ultra-hot Jupiters. The most well studied ones are HD209458b and HD189733b, which are the first exoplanets where absorption is detected in their atmospheres, namely from the alkali line sodium. For hot Jupiters, the resonant alkali lines are the atmospheric species with one of the strongest absorption signatures, due to their large absorption cross-section. However, al- though the alkali lines sodium and potassium were detected in low-resolution observations for various giant exoplanets, potassium was absent in different high-resolution investiga- tions in contrast to sodium. The reason for this is quite puzzling, since both alkalis have very similar physical and chemical properties (e.g. condensation and ionization proper- ties). Obtaining high-resolution transit observations of HD189733b and HD209458b, we were able to detect potassium on HD189733b (Manuscript 1), which was the first high-resolution detection of potassium on an exoplanet. The absence of potassium on HD209458b could be reasoned by depletion processes, such as condensation or photo-ionization or high-altitude clouds. In a further study (Manuscript II), we resolved the potassium line and compared this to a previously detected sodium absorption on this planet. The comparison showed, that the potassium lines are either tracing different altitudes and temperatures compared to the sodium lines, or are depleted so that the planetary Na/K- ratio is way larger than the stellar one. A comparison of the alkali lines with synthetic line profiles showed that the sodium lines were much broader than the potassium lines, probably being induced by winds. To investigate this, the effect of zonal streaming winds on the sodium lines on Jupiter-type planets is investigated in a further study (Manuscript III), showing that such winds can significantly broaden the Na- lines and that high-resolution observations can trace such winds with different properties. Furthermore, investigating the Na-line observations for different exoplanets, I showed that the Na-line broadening follows a trend with cooler planets showing stronger line broadening and so hinting on stronger winds, matching well into theoretical predictions. Each presented manuscript depends on the re- sults published within the previous manuscript, yielding a unitary study of the exoplanet HD189733b. The investigation of the potassium absorption required to account for different effects: The telluric lines removal and the effect of center-to-limb variation (see Manuscript I), the residual Rossiter-Mc-Laughlin effect (see Manuscript II) and the broadening of spectral lines on a translucent atmospheric ring by zonal jet streams (see Manuscript III). This thesis shows that high-resolution transmission spectroscopy is a powerful tool to probe sharp alkali line absorption on giant exoplanet atmospheres and to investigate on the properties and dynamics of hot Jupiter type atmospheres.
Patterning along the apical-basal (A-B) axis is a crucial step during the early stages of plant embryogenesis and leads to the establishment of two poles of which each will develop their own stem cell niches. The activity of these meristems is responsible for post-embryonic growth, with the shoot apical meristem (SAM) generating the above-ground organs and the root apical meristem (RAM) producing the subterranean structures of the plant. While several transcriptional regulators governing A-B patterning have been identified, precisely how their regulatory function is orchestrated remains elusive. This study focuses on transcriptional co-regulators LEUNIG (LUG) and closely related LEUNIG_HOMOLOG (LUH) and their role in the formation of A-B patterning during embryogenesis as well as their post-embryonic maintenance. A link between the LUG regulatory complex and SAM formation and maintenance comes from the observation that lug mutants heterozygous for the luh allele (lug luh+/-) often have enlarged SAMs resulting from misregulated cell divisions. A more severe phenotype is observed in lug luh double mutants which are embryonically lethal. In this study, a detailed characterisation of lug luh embryo phenotype reveals that these mutants display aberrant cell divisions along the A-B axis, which correlates with defects in auxin distribution, complete loss of apical identity, and altered expression of transcription factors determining basal fate. Like other co-regulators, LUG and LUH lack intrinsic DNA-binding domains and instead must interact with DNA-binding cofactors to ensure recruitment to regulatory elements of target genes. This either involves direct contact between the co-regulators and transcription factors (TFs) or the formation of higher-order complexes with adaptor proteins such as SEUSS (SEU) or related SEUSS-LIKEs (SLKs), which facilitate binding to specific TFs. Results presented in this study provide insight into the molecular framework for the LUG regulatory complex activity during embryogenesis. Both yeast and in planta assays showed that LUG/LUH and SEU/SLKs physically associate with a variety of WUSCHEL-RELATED HOMEOBOX (WOX) TFs including members of the WOX2-module. Furthermore, genetic interactions between members of the WOX2-module and the LUG regulatory complex, support their mutual action during embryogenesis. Based on the reduced activity of HOMEODOMAIN LEUCINE-ZIPPER CLASS III (HD-ZIPIII) promoters in lug luh embryos, a model is proposed in which the LUG regulatory complex functions together with WOX2-module to promote apical identity and subsequent SAM initiation through regulation of the HD-ZIPIIIs. The activity of the LUG complex in promoting basal embryo identity through positive regulation of microRNA165/166 suggests that this complex also has functions that are independent of the WOX2-module. Preliminary work reported in this study further uncovered the role of the LUG regulatory complex in post-embryonic development. While the fasciated inflorescence meristems of lug luh+/- plants displayed defects in auxin transport and altered activity of stem cell markers, embryonically rescued lug luh mutants formed flat and differentiated SAMs. In addition, rescued lug luh mutants exhibited severely disorganised RAM and defects in quiescent center (QC) specification, supporting the involvement of the LUG complex in post-embryonic RAM maintenance.
Werbeblocker im Internet
(2021)
Werbeblocker berühren zahlreiche, bislang ungeklärte Rechtsfragen. Während Werbeblocker bisher vor allem anhand des Lauterkeitsrechts beurteilt worden sind, zeigt diese Arbeit, dass vielmehr urheberrechtliche Wertungen entscheidend sind. Diese werden mit Blick auf die aktuelle Rechtsprechung des EuGH ausführlich hergeleitet.
Weiterhin wird der Begriff des Mitbewerbers im Lauterkeitsrecht fortentwickelt und mit der Bezugnahme auf die geschäftlichen Entscheidung auf ein neues Fundament gestellt.
Die Arbeit analysiert zudem umfassend die Rechtmäßigkeit der Handlungsalternativen der Webseitenbetreiber und der Reaktionsmöglichkeiten der Werbeblocker aus lauterkeitsrechtlicher und urheberrechtlicher Sicht unter Berücksichtigung der DS GVO.
Past and present biodiversity in northeastern Siberia inferred from sedimentary DNA metabarcoding
(2021)
The arctic-boreal treeline is a transition zone from taiga to tundra covering a vast area in Siberia. It often features large environmental gradients and reacts sensitively to changes in the environment. For example, the expansion of shrubs and a northward movement of the treeline are observable in Siberia as a response to the warming climate. The changes in vegetation across the treeline are known to influence the water chemistry in the lakes. This causes further alteration to the composition and diversity of sensitive aquatic organisms such as diatoms and macrophytes. Despite the rising awareness of the complex climate-feedback mechanisms of terrestrial plants, the understanding of their assembly rules and about responses of aquatic biomes in the surrounding treeline lakes is still limited. The goal of this thesis is to examine the previous and present biodiversity of terrestrial and freshwater biomes from the Siberian treeline ecotone, as well as their reactions to environmental changes. In particular, this thesis attempts to examine the performance of applying sedimentary DNA metabarcoding in terrestrial plants, aquatic macrophytes and diatoms, their spatial patterns along the environmental gradients and their temporal patterns throughout the climate transition from the late Pleistocene to Holocene. Sedimentary DNA metabarcoding combined with next-generation sequencing is applied as a primary tool to explore the composition and diversity of terrestrial plants, diatoms and aquatic macrophytes. The main study area is located in Chukotka of northeastern Siberia in the Arctic, a biodiversity hotspot due to its continental location and the diverse habitats of the glacial refugium. The modern diatom diversity was assessed with a specific diatom metabarcoding marker and morphological identification. Both approaches agree to a dominance of Fragilariaceae and Aulacoseiraceae, as well as on the environmental influential indicators of the diatom community. The high diversity of Fragilariaceae identified in the thermokarst lakes is found to follow the vegetation gradient along the treeline, suggesting that diatom metabarcoding can decipher relationships between diatom assemblage shifts and the relevant environmental changes. In particular, the metabarcoding approach detects diversification of fragilarioids in glacial lakes which is not visible using morphology. Sedimentary ancient DNA records indicate a vegetation mosaic of forb-dominated steppe-tundra during 28-19 ka, followed by a shift to dwarf-shrub tundra during 19-14 ka. During the most recent 14 thousand years, the vegetation consists of deciduous shrublands, then a change to boreal forest is observed. Investigations on the alpha diversity of the vegetation show that species richness is unexpectedly highest during pre-LGM, which is likely related to the extensive area that allows for more taxa. The optimum Holocene warming during 9-6 ka is not accompanied by a high richness as widely believed, but with an evenly distributed community by the fulfilment of erect shrubs. Furthermore, changes in taxonomic and phylogenetic diversity show complementary results in understanding community diversity. The composition and richness in the modern macrophytes community from Siberian Arctic and Chinese alpine are best co-influenced by July temperature and electrical conductivity.. Past macrophyte turnover during the late Pleistocene-Holocene is less noticeable in Siberia, whereas a pronounced community change from emergent to submerged plants is detected from Chinese alpine regions at about 14 ka due to increasing temperature and varying water conductivity. Finally, sedimentary DNA metabarcoding is a cost-effective and powerful proxy for ecological application, whereas completeness of the reference library, coverage and resolution of the metabarcoding marker are the major limitations of sedimentary DNA based diversity monitoring. The composition and richness in modern vegetation and macrophytes across broad spatial gradients is constrained by environmental variables, suggesting a potential usage for environmental monitoring. Diatom distributions are driven by different water variables along the treeline. Past records indicate that the shrub coverage has a noticeable influence on the assemblies of both terrestrial plants and aquatic macrophytes, though the shift in macrophyte community is relatively minor in the past 28 thousand years. In the long-term, the shrub expansion may eventually result in a genetically more diverse vegetation community but reduced species richness. When exceeding the optimal temperatures, further warming may lead to a decrease and putative loss of macrophytes and diatoms.
Artificial light at night (ALAN), one form of human-induced rapid environmental change, is continuously spreading in space and time and increasing in intensity as part of the ongoing urbanization. A vast range of animals is known to be affected by ALAN as, among other things, it can mask natural light cues and change both the perceived as well as the actual predation risk. Since ALAN per se is restricted to the night, the majority of studies so far have focused on nocturnal species or behavioral changes during the night. How polyphasic species respond to ALAN has been largely overlooked, although they can possibly carry over effects of nighttime illumination into the day. Additionally, individuals within a species are known to consistently differ in their personality which includes risk-taking behavior. While this implies that ALAN can lead to varying anti-predatory responses in animals within a population, knowledge on this topic is still very limited. This thesis aims at investigating what initial behavioral reaction is caused by ALAN in polyphasic small mammals while also incorporating an animal’s personality. Nighttime and daytime activity, movement and foraging behavior of the bank vole (Myodes glareolus) were investigated in regards to effects of different light intensities and partial illumination in the laboratory. Additionally, changes in intra- and interspecific interactions of bank voles and striped field mice (Apodemus agrarius) subjected to ALAN were studied in experimental populations in semi-natural outdoor enclosures. Chapter I explores whether behavioral responses to ALAN of varying intensity are related to animal personality. Results showed that bank voles reduced movement and foraging already under dim light and that bold animals generally moved and foraged more than shy animals. Exclusively under bright illumination did bold animals exploit the food patches more than shy animals. The results demonstrate that bank voles are affected by light intensities prevalent in urban habitats. Additionally, certain light scenarios might lead to an advantage of and a shift towards certain personality types. Chapter II focusses on the effects of partial ALAN on foraging behavior of animals with varying animal personalities while extending the view towards possible carry-over effects of ALAN into the daytime. While bank voles reduced foraging behavior in illuminated areas at night, they increased foraging behavior in those areas at the subsequent day. Bold individuals generally had lower giving-up densities than shy individuals but this difference was especially pronounced during daytime at formerly illuminated food patches. Thus, ALAN can have carry-over effects into the daytime in polyphasic animals and thus has the potential to affect daytime intra- and interspecific interactions. Chapter III broadens the view from the individual to the population level. Experimental populations consisting of bank voles and striped field mice were established in large outdoor enclosures successively experienced natural and artificial light conditions at night. VHF telemetry data revealed that animals were predominantly active during the day under natural conditions. This difference between day and night vanished under ALAN. Additionally, conspecifics reduced home range overlap, proximity and activity synchrony while boldness was not associated with behavioral changed due to ALAN. The results suggest that ALAN has the potential to alter intraspecific interactions and thus can have fitness consequences on the population level. Overall, the present thesis shows that ALAN can affect nighttime and daytime behavior as well as intraspecific interactions of polyphasic small mammals. Differences in risk- taking behavior of individuals may vary in importance depending on other environmental variables. Thus, this thesis hopefully triggers broadening the view regarding the role of an animal’s personality in coping with ALAN and the effects on daytime behavior and diurnal species.
Urteil und Anschauung
(2021)
Wie hier durch textnahe und argumentative Rekonstruktion erstmals gezeigt wird, entwickelt Kant in der Metaphysischen Deduktion in drei Schritten: (i) einen Begriff des Urteils, auf dem die Tafel logischer Funktionen beruht; (ii) einen Begriff der Synthesis der Anschauung, der die Inhalte der Kategorien erklärt; und (iii) einen Begriff des Verstandes, demzufolge die Kategorien a priori zu demselben Vermögen gehören, durch das wir auch urteilen.
Die vorliegende Untersuchung ist eine argumentative Rekonstruktion von Kants Text. Der rekonstruierte Text ist der „Leitfaden der Entdeckung aller reinen Verstandesbegriffe" auf A 64 bis 83 / B 89 bis 113 der Kritik der reinen Vernunft in ihren beiden Auflagen von 1781 (A) und 1787 (B). Zudem werden andere, für ein Verständnis der Überlegungen in diesem Kapitel erforderliche oder zumindest erhellende Textstellen aus der Kritik herangezogen; aus Schriften, die Kant nach der Kritik geschrieben hat; sowie schließlich aus Kants Nachlass-Notizen und aus Nachschriften zu seinen Vorlesungen jeweils seit der Entstehungszeit der Kritik. Von entscheidender Bedeutung sind dabei vor allem vier weitere Passagen der Kritik selbst: i) die rückblickende Beschreibung der Aufgabe der Metaphysischen Deduktion auf B 159, ii) die rückblickende Beschreibung des Vorgehens im „Leitfaden" auf A 299/B 355 f., iii) der Abschnitt „Von den Gründen a priori zur Möglichkeit der Erfahrung" auf A 95 bis 110 der Transzendentalen Deduktion der Kategorien in der ersten Auflage und schließlich iv) die §§ 15 bis 21 auf B 128 bis 148 der Transzendentalen Deduktion der Kategorien in der zweiten Auflage der Kritik.
Vor dem Hintergrund einer umfassenden und detaillierten Analyse des „Leitfadens", bei Hinzuziehung verwandter Stellen aus dem umgrenzten Textbestand und nicht zuletzt bei Berücksichtigung des Verhältnisses des „Leitfadens" zu den genannten vier Passagen der Kritik legt sich eine Interpretation der Metaphysischen Deduktion nahe, die sich nur schwer bestreiten lässt, sobald diese Texte einmal gemeinsam betrachtet und auf eine bestimmte Weise zueinander ins Verhältnis gesetzt werden. Dabei kann eine durchgehend wohlwollende, argumentative Rekonstruktion dazu beitragen, auch die philosophische Überzeugungskraft der Position Kants deutlich zu machen.
Breslau has been almost entirely forgotten in the Anglophone sphere as a place of Enlightenment. Moreover, in the context of the Jewish Enlightenment, Breslau has never been discussed as a place of intercultural exchange between German-speaking Jewish, Protestant and Catholic intellectuals. The story of Moses Hirschel offers us an excellent case-study to investigate the complex reciprocal relationship between Jewish and non-Jewish enlighteners in a prosperous and influential Central European city on the cusp of the 18th century.
Die vorliegende Arbeit beschäftigt sich mit der Synthese von Disulfiden, der Thiol-Disulfid Metathesereaktion als Möglichkeit, Polymere zu funktionalisieren, und der Synthese von Polydisulfiden. Im ersten Teil der Arbeit wird die Aminolyse von RAFT-Polymeren und die Abhängigkeit der Polymer-Polymer Disulfidbildung von der Molmasse untersucht. Dabei wurde durch die Aufnahme von Reaktionskinetiken mittels Gel-Permeations-Chromatographie (GPC) festgestellt, dass je länger die Polymerketten sind, desto weniger Disulfid Polymerkopplung tritt auf. RAFT-Polymere werden oft genutzt, um die RAFT-Polymer Endgruppe nach der Polymerisation zu modifizieren oder in einer chemischen Reaktion zu funktionalisieren. Hier kann die Aminolyse in Anwesenheit von kurzkettigen Disulfiden, wie zum Beispiel Cystin, durchgeführt werden, um die Bildung von Polymer-Polymer Disulfiden vollständig zu unterdrücken und ein endgruppenfunktionalisiertes Polymer zu erhalten. Bei dieser Reaktion greift das bei der Aminolyse entstehende Polymerthiolat die kurzkettigen Disulfide an, und es kommt zur Bildung von funktionalisierten Polymeren. Es wurde ein Polyethylenglykoldisulfid eingesetzt, um ein amphiphiles Blockcopolymer zu erhalten. Als RAFT-Polymer wurde Polystyrol (PS) verwendet, und es konnte die Bildung von Polystyrol-Polyethylenglykol Copolymeren nachgewiesen werden. Das amphiphile Polymer bildet im wässrigen Medium Vesikel. Die Oberfläche der Vesikel konnte mittels der Thiol-Disulfid Metathese umfunktionalisiert werden. Die Aminolyse von PS RAFT-Polymeren mit einem Polylaktiddisulfid oder einem Polybenzylglutamatdisulfid ergab Polystyrol-block-Polyester und Polystyrol-block-Polyaminosäuren Copolymere. Im zweiten Teil der Arbeit liegt der Fokus auf der Synthese von Polydisulfiden und ihren thermischen Eigenschaften. Es wurden verschiedene Alkyldithiole synthetisiert und mittels Wasserstoffperoxid und Triethylamin polymerisiert. Dabei konnte gezeigt werden, dass die Polymere teilkristallin sind und dass der Schmelzpunkt und die Kristallinität der Polymere mit steigender Alkylkettenlänge zwischen den Disulfidbindungen zunehmen. Die Möglichkeit einer Polymerkettenerweiterung nach der Polymerisation ist mit diesem System gegeben. Die Abbaubarkeit der Polydisulfide konnte durch den Einsatz von Thiolen im basischen Milieu gezeigt werden.
Fibroblast growth differentiation factor 21 (FGF21) is known as a pivotal regulator of the glucose and lipid metabolism. As such, it is considered beneficial and has even been labelled a longevity hormone. Nevertheless, recent observational studies have shown that FGF21 is increased in higher age with possible negative effects such as loss of lean and bone mass as well as decreased survival. Hepatic FGF21 secretion can be induced by various nutritional stimuli such as starvation, high carbohydrate and fat intake as well as protein deficiency.. So far it is still unclear whether the FGF21 response to different macronutrients is altered in older age. An altered response would potentially contribute to explain the higher FGF21 concentrations found in older age. In this publication-based doctoral dissertation, a cross-sectional study as well as a dietary challenge were conducted to investigate the influence of nutrition on FGF21 concentrations and response in older age. In a cross-sectional study, FGF21 concentrations were assessed in older patients with and without cachexia anorexia syndrome anorexia syndrome compared to an older community-dwelling control group. Cachexia anorexia syndrome is a multifactorial syndrome frequently occurring in old age or in the context of an underlying disease. It is characterized by a severe involuntary weight loss, loss of appetite (anorexia) and reduced food intake, therefore representing a state of severe nutrient deficiency, in some aspects similar to starvation. The highest FGF21 concentrations were found in patients with cachexia anorexia syndrome. Moreover, FGF21 was positively correlated with weight loss and loss of appetite. In addition, cachexia anorexia syndrome itself was associated with FGF21 independent of sex, age and body mass index. As cachectic patients presumably exhibit protein malnutrition and FGF21 has been proposed a marker for protein insufficiency, the higher levels of FGF21 in patients with cachexia anorexia syndrome might be partly explained by insufficient protein intake. In order to investigate the acute response of FGF21 to different nutritional stimuli, a dietary challenge with a parallel group design was conducted. Here, healthy older (65-85 years) and younger (18-35 years) adults were randomized to one of four test meals: a dextrose drink, a high carbohydrate, high fat or high protein meal. Over the course of four hours, postprandial FGF21 concentrations (dynamics) were assessed and the FGF21 response (incremental area under the curve) to each test meal was examined.. In a sub-group of older and younger women, also the adiponectin response was investigated, as adiponectin is a known mediator of FGF21 effects on glucose and lipid metabolism. The dietary meal challenge revealed that dextrose and high carbohydrate intake result in higher FGF21 concentrations after four hours in older adults. This was partly explained by higher postprandial glucose concentrations in the old. For high fat ingestion no age differences were found. For the first time, acute FGF21 response to high protein intake was shown. Here, protein ingestion resulted in lower FGF21 concentrations in younger compared to older adults. Furthermore, sufficient protein intake, according to age-dependent recommendations, of the previous day, was associated with lower FGF21 concentrations in both age groups. The higher FGF21 response to dextrose ingestion resulted in a higher adiponectin response in older women, independent of fat mass, insulin resistance, triglyceride concentrations, inflammation and oxidative stress. Following the high fat meal, adiponectin concentrations declined in older women. Adiponectin response was not affected by meal composition in younger women. In summary, this thesis showed a positive association of FGF21 and cachexia anorexia syndrome with concomitant anorexia in older patients. Regarding the acute FGF21 response, a higher response following dextrose and carbohydrate ingestion was found in older compared with younger subjects. This might be attributed to a higher glucose response in older age. Furthermore, it was shown that the higher FGF21 response after dextrose ingestion possibly contributes to a higher adiponectin response in older women, independent of potential metabolic and inflammatory confounders. Acute protein ingestion resulted in a significant decrease in FGF21 concentrations. Moreover, protein intake of the previous day was inversely associated with fasting FGF21 concentrations. This might explain why FGF21 concentrations are higher in cachexia anorexia syndrome. These results therefore support the role of FGF21 as a sensor of protein restriction.
Negotiations between buyers and suppliers directly influence a company’s costs, revenue, and consequently its profits. The outcome of these negotiations relies heavily on the companies’ as well as the negotiators’ power position. Across three empirical articles the author demonstrates how the own power position can first be identified as well as improved and subsequently used to maximize profits in negotiations between sellers and buyers. In the first paper the sources underlying buyer and supplier power are identified and weighted. The results of the first paper show the impact of each single sources on the buyer and supplier power. The number of suppliers available for one product is by far the most important source of power for both sides. The results indicate that a higher number of suppliers leads to a better power position of the buyer and simultaneously to an inferior power position of a single supplier. The second paper aims to examine the impact of the number of suppliers on the outcome of buyer-seller-negotiations thereby considering the innovation level of the products purchased. The results of the second study which are based on real negotiation data from a German car manufacturer indicate that the number of available suppliers has a stronger impact on the negotiation outcome for innovative than for functional, less innovative products. The third paper analyzes how the ability to take the counterpart’s perspective (perspective taking ability) influences the negotiation outcome. This relationship is examined for different power positions. The results indicate that a negotiator’s high perspective taking ability leads to a more unfavorable negotiation outcome compared to low perspective taking ability. Simultaneously, high perspective taking ability causes a more positive perception of the conducted negotiation than low perspective taking ability. This contradictory effect of perspective taking ability bears the risk for buyers and suppliers to assess an unfavorable outcome as positive. Finally, the results of the papers are summarized and discussed. The dissertation concludes with implications for practice, limitations of the work, and approaches for future research.
History of Forgetfulness
(2021)
The business problem of having inefficient processes, imprecise process analyses, and simulations as well as non-transparent artificial neuronal network models can be overcome by an easy-to-use modeling concept. With the aim of developing a flexible and efficient approach to modeling, simulating, and optimizing processes, this paper proposes a flexible Concept of Neuronal Modeling (CoNM). The modeling concept, which is described by the modeling language designed and its mathematical formulation and is connected to a technical substantiation, is based on a collection of novel sub-artifacts. As these have been implemented as a computational model, the set of CoNM tools carries out novel kinds of Neuronal Process Modeling (NPM), Neuronal Process Simulations (NPS), and Neuronal Process Optimizations (NPO). The efficacy of the designed artifacts was demonstrated rigorously by means of six experiments and a simulator of real industrial production processes.
Alix Giraud-Willer untersucht die Berechtigung starrer Mindeststrafen auf rechtsvergleichender Basis. Sie schränken den Entscheidungsspielraum des Richters bei der Strafzumessung erheblich ein. Absolute Strafen, eine extreme Ausprägung starrer Mindeststrafen, schließen einen richterlichen Entscheidungsspielraum im Grundsatz sogar gänzlich aus. Während das deutsche Strafrecht starre Mindeststrafen, einschließlich absoluter Strafen, vorsieht, nahm das französische Recht von starren (erhöhten) Mindeststrafen inzwischen Abstand. Die Autorin untersucht die Wechselwirkungen zwischen gesetzlicher Fixierung hoher Strafen, Reaktionen der Strafpraxis und gesetzlicher Lockerung der Strafdrohungen in beiden Rechtsordnungen. Durch ihren Blick auf zwei Jurisdiktionen bietet sie Erklärungsansätze für bestimmte Erscheinungen des geltenden Sanktionenrechts sowie Denkanstöße für seine Reformierung an.
Das Regulierungsermessen
(2021)
Die Arbeit untersucht die Übertragung des zum Telekommunikationsrecht entwickelten Regulierungsermessens auf das Energiewirtschaftsrecht und kommt zu dem Ergebnis, dass es für die dortigen Normstrukturen ungeeignet ist und zu Rechtsschutzeinbußen geführt hat. Da auch die herkömmlichen verwaltungsrechtlichen Dogmen für die methodenbasierten Entscheidungsformen der Regulierungsbehörden keine geeigneten Instrumente bieten, wird das Subsumtionsermessen in den Diskurs eingeführt, um die spezifische, auf quasi Wettbewerbsherstellung gerichtete Verwaltungstätigkeit in der Energieregulierung besser abzubilden. Ohnehin steht die deutsche Energieregulierungspraxis vor einem Umbruch: Der EuGH wird vermutlich die Ansicht der Kommission bestätigen, dass die verordnungsrechtliche Vorsteuerung der Entgeltregulierung gegen Art. 37 Abs. 1 lit. a und Art. 37 Abs. 6 lit. a und b der Richtlinie 2009/72/EG bzw. 2009/73/EG verstößt.
Simultaneously speculative and inspired by everyday experiences, this volume develops an aesthetics of metabolism that offers a new perspective on the human-environment relation, one that is processual, relational, and not dependent on conscious thought. In art installations, design prototypes, and researchcreation projects that utilize air, light, or temperature to impact subjective experience the author finds aesthetic milieus that shift our awareness to the role of different sense modalities in aesthetic experience. Metabolic and atmospheric processes allow for an aesthetics besides and beyond the usually dominant visual sense.
Essays on Macroeconomics
(2021)
This dissertation consists of four self-contained papers. Each paper deals with a specific macroeconomic question. The first paper assesses the distributional implications of environmental policies from a general equilibrium macroeconomic perspective. I develop a New-Keynesian model with several types of uncertainties and frictions that incorporates liquidity constrained households. The model is calibrated to match the German economy and the numerical results show that climate policy instruments can be associated with regressive welfare effects. Furthermore, the analysis shows that these effects can be mitigated through an appropriate revenue recycling scheme. The second paper deals with short-run inequality dynamics within a real business cycle model. An empirical evaluation shows that the cyclical components of income inequality, the capital share and real GDP are correlated. We develop tractable representation of common inequality indicators in the general equilibrium model and show that the observed pattern is driven by innovations in the capital share. A Bayesian estimation of the model for the United States with data for the period 1948 to 2017 indicates that the model provides a reasonable fit for the data and successfully replicates the observed pattern of cyclical correlations. The third paper empirically examines the effects of banking regulation on the risk-relationship between sovereigns and banks. Based on a comprehensive data set of the European banking sector, we find that the implementation of the novel European banking regulation framework significantly contributed to a weakening of the risk-link between sovereigns and banks.The fourth paper empirically examines the role of institutional experience for institutional development in transition economies. To capture institutional experience, we develop a novel index, based on historical country records. The results of cross-sectional and panel estimations suggest that institutional experience helps to explain the divergent economic and institutional development in transition economies after the dissolution of the Soviet Union.
Hacker und Haecksen zählen zur Avantgarde der Computerisierung. Seit den späten 1970er-Jahren bildeten sie sich in der Bundesrepublik und in der DDR zu eigensinnigen ComputernutzerInnen mit einschlägigem Wissen heraus. Sie eigneten sich das Medium spielerisch an, schufen Kontakträume und brachten sich so aktiv in den Prozess der Computerisierung ein. Durch ihre Grenzüberschreitungen zeigten sie dabei Chancen und Risiken der Digitalisierung auf.
Julia Gül Erdogan geht der Entstehung der Hackerkulturen in Ost- und Westdeutschland nach. Sie analysiert, wie deren teils subversive Praktiken Machtgefüge in Politik, Wirtschaft und Gesellschaft herausforderten. Zugleich verdeutlicht die Arbeit Gemeinsamkeiten und Unterschiede der frühen sub- und gegenkulturellen Computernutzung in den beiden deutschen Teilstaaten.
Humans are frequently exposed to a variety of endocrine disrupting chemicals (EDCs), which can cause harmful effects, e.g. disturbance of growth, development and reproduction, and cancer (UBA, 2016). EDCs are often components of synthetically manufactured products. Materials made of plastics, building materials, electronic items, textiles or cosmetic products can be particularly contaminated (Ain et al., 2021). One group of EDCs that has gained increased interest in recent years is phthalates. They are used as plasticizers in plastic materials to which people are daily exposed to. Phthalate plasticizers exert their harmful effects among others via activation of the estrogen receptor α (ERα), the estrogen receptor β (ERβ) and via inhibition of the androgen receptor (AR). Some phthalates have already been classified by the EU as Cancerogenic-, Mutagenic-, Reprotoxic- (CMR) substances and their use in industry has been restricted. After oral ingestion, phthalates are metabolized and are finally excreted with the urine. Numerous toxicological studies exist on phthalates, but mainly with the parent substances, not with their primary and secondary metabolites. In the course of the restriction of phthalates by the EU, the phthalate-free plasticizer di-isononylcyclohexane-1,2-dicarboxylate (DINCH®), was introduced to the market. So far, almost no toxicologically relevant properties have been identified for DINCH®. However, the effects of DINCH® have only been studied in animal experiments and, as with phthalates, almost exclusively with the parent substance. However, toxic effects of a particular compound may be induced by its metabolites and not by the parent compound itself. Therefore, potential endocrine effects of 15 phthalates, 19 phthalate metabolites, DINCH®, and five of its metabolites were investigated using reporter gene assays on the ERα, ERβ, and the AR. In addition, studies of the influence of some selected plasticizers on peroxisome proliferator-activated receptor α (PPARα) and peroxisome proliferator-activated receptor γ (PPARγ) activity were performed. Furthermore, a H295R steroidogenesis assay was performed to determine the influence of DINCH® and its metabolites on estradiol or testosterone synthesis. Analysis of the experiments shows that the phthalates either stimulated or inhibited ERα and ERβ activity and inhibited AR activity, whereas the phthalate metabolites did not affect the activity of these human hormone receptors. In contrast, metabolites of di-(2-ethylhexyl) phthalate (DEHP) stimulated transactivation of the human PPARα and PPARγ in analogous reporter gene assays, although DEHP itself did not activate these nuclear receptors. Therefore, primary and secondary phthalate metabolites appear to exert different effects at the molecular level compared to the parent compounds. Similarly, the results showed that the phthalate-free plasticizer DINCH® itself did not affect the activity of ERα, ERβ, AR, PPARα and PPARγ, while the DINCH® metabolites were shown to activate all these receptors. In the case of AR, DINCH® metabolites mainly enhanced AR activity stimulated by dihydrotestosterone (DHT). In the H295R steroidogenesis assay, neither DINCH® nor any of its metabolites affected estradiol or testosterone synthesis. Primary and secondary metabolites of DINCH® thus exert different effects at the molecular level than DINCH® itself. However, all these in vitro effects of DINCH® metabolites were observed only at high concentrations, which were about three orders of magnitude higher than the reported DINCH® metabolite concentrations in human urine. Therefore, the in vitro data does not support the assumption that DINCH® or any of the metabolites studied could have significant endocrine effects in vivo at relevant exposure levels in humans. Following the demonstration of direct and indirect endocrine effects of the studied plasticizers, a new effect-based in vitro 3D screening tool for toxicity assays of non-genotoxic carcinogens was developed using estrogen receptor-negative (ER-) MCF10-A cells and estrogen receptor-positive (ER+) MCF-12A cells. This arose from the background that breast cancer is the most common cancer occurring in women and estrogenic substances, such as phthalates, can probably influence the disease. The human mammary epithelial cell lines MCF-10A and MCF-12A form well-differentiated acini-like structures when cultured in three-dimensional Matrigel culture for a period of 20 days. The model should make it possible to detect substance effects on cell differentiation and growth, on mammary cell acini, and to differentiate between estrogenic and non-estrogenic effects at the same time. In the present study, both cell lines were tested for their suitability as an effect-based in vitro assay system for non-genotoxic carcinogens. An Automated Acinus Detection And Morphological Evaluation (ADAME) software solution has been developed for automatic acquisition of acinus images and determination of morphological parameters such as acinus size, lumen size, and acinus roundness. Several test substances were tested for their ability to affect acinus formation and cellular differentiation. Human epithelial growth factor (EGF) stimulated acinus growth for both cell lines, while all trans retinoic acid (RA) inhibited acinar growth. The potent estrogen 17β-estradiol had no effect on acinus formation of MCF-10A cells but resulted in larger MCF-12A acini. Thus, the parallel use of both cell lines together with the developed high content screening and evaluation tool allows the rapid identification of the estrogenic and cancerogenic properties of a given test compound. The morphogenesis of the acini was only slightly affected by the test substances. On the one hand, this suggests a robust test system, on the other hand, it probably cannot detect low-potent estrogenic compounds such as phthalates or DINCH®. The advantage of the robustness of the system, however, may be that vast numbers of "positive" results with questionable biological relevance could be avoided, such as those observed in sensitive reporter gene assays.
Die Rechtsfolgen einer fehlgeschlagenen Anteilsabtretung stellen ein rechtspraktisches Problem des GmbH-Rechts dar, dessen Lösungswege üblicherweise im Schuldrecht gesucht werden. Der Anwendung der schuldrechtlichen Rechtsinstitute im Rahmen des § 16 Abs. 1 GmbHG geht die Frage voran, ob das durch die Legitimationswirkung charakterisierte Auseinanderfallen von Herrschaftsrecht und Herrschaftsmöglichkeit zur Anwendung des Eigentümer-Besitzer-Verhältnisses führen kann. Der Übertragbarkeit der drei Komponenten der Vindikationslage – Sache, Eigentum, Besitz – und deren Interdependenzen auf die durch die Legitimationswirkung hervorgerufene Situation widmet sich diese Arbeit. Im Wege des systematischen Vergleichs der Rechtsbeziehungen weist der Autor eine Vergleichbarkeit nach und schlägt eine analoge Anwendung des Eigentümer-Besitzer-Verhältnisses vor. Im Mittelpunkt stehen die Rechtsgegenständlichkeit der Mitgliedschaft und die Ausdehnung des Besitzbegriffs auf unkörperliche Rechtsprodukte.
Die Charedim, die isolationistisch-fundamentalistisch lebenden ultraorthodoxen Juden, sind die am schnellsten wachsende Bevölkerungsgruppe in Israel. Bis Mitte des 21. Jahrhunderts, so sagen Prognosen voraus, wird ihr Anteil auf fast ein Drittel der Juden in Israel angewachsen sein.
In seiner Studie, einer der ersten ihrer Art im deutschsprachigen Raum, beschreibt Eik Dödtmann die aktuellen Entwicklungen und Wechselwirkungen zwischen der säkular-jüdischen Mehrheit und der strengreligiösen charedischen Gesellschaft. Er untersucht dabei den politischen Einfluss der Charedim auf die Innen- und Außenpolitik Israels, die juristische Konstellation einer Semi-Theokratie und ihren Einfluss auf die Freiheit des Individuums sowie die Problemfelder der Integration charedischer Männer in den Arbeitsmarkt, des Wehrdienstes und des öffentlichen Lebens am Schabbat, dem heiligen Tag der jüdischen Woche.
Staatsklimahaftung
(2021)
Klimaklagen nehmen stetig an Relevanz zu. Für rechtliche Untersuchungen gibt es dabei diverse Anknüpfungspunkte. Die Arbeit befasst sich mit der Frage, inwieweit Staatshaftungsansprüche wegen Klimaschäden gegen Deutschland bzw. die EU begründbar sind, wenn eingegangene Verpflichtungen zur Reduzierung von Treibhausgasemissionen nicht eingehalten werden. Hierfür werden der deutsche Amtshaftungsanspruch gem. § 839 BGB i.V.m. Art. 34 GG, der unionsrechtliche Staatshaftungsanspruch gegen die Mitgliedstaaten und der Anspruch aus Art. 340 Abs. 2 AEUV gegen die EU näher untersucht. Am Ende der Arbeit werden Überlegungen zu rechtspraktischen Perspektiven der Staatsklimahaftung angestellt, um die Erfolgs- und Realisierungsaussichten zu verbessern.