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Conditions
(2017)
Whenever we think, decide or act, different sorts of conditions are involved which substantially determine how we do it. We do not create the contents of our thoughts. They are given to us in experience. And the constraints and restrictions that bind our decisions and actions are imposed upon us by the environments and milieus to which we as deciding agents belong, and in which we have to decide and act. The conditions which determine us when thinking, deciding and acting are the subject matter of this essay, how they work, and what possibilities we have got of changing or transforming them.
Medizincontrolling
(2017)
Erika Raab beleuchtet in diesem Buch aus verschiedenen Perspektiven dieRahmenbedingungen, die Entstehungsgeschichte, die Arbeitsgrundlagen und die Instrumentedes Medizincontrollings. In der Gesamtschau stellt die Analyse die erste umfassende Auseinandersetzung mit diesem Fachgebiet dar, welches in der Praxis seit der Einführung der Fallpauschalen (DRG) einer wachsenden Nachfrage unterliegt. Diese junge Fachdisziplin entwickelte sich aufgrund der veränderten politischen und rechtlichen Rahmenbedingungen im Bereich der Krankenhausfinanzierung und gewinnt zunehmend an Bedeutung.
Glückskinder der Einheit?
(2017)
Wir kennen beide Systeme, haben fast die Hälfte unseres Lebens im Osten und die andere im Westen verbracht. Wir, die Glückskinder der Einheit.« So zitierte Jana Simon 2004 einen ehemaligen Mitschüler. Wie aber prägten die späte SED-Diktatur und ihr Zusammenbruch die Jugendlichen? Volker Benkert zeigt, dass es aufgrund der großen Bandbreite politischer Sozialisation der um 1970 in der DDR Geborenen zu keiner generationellen Verständigung in dieser Altersgruppe kam.
Eine mit dem Wort verleiten beschriebene Tathandlung findet sich in 15 verschiedenen Tatbestanden des deutschen Strafrechts. Der Autor untersucht erfolgreich die Moglichkeit, Zweckmaigkeit und Gebotenheit der Bestimmung eines einheitlichen Verleitensbegriffs. Mittels einer systematisch vergleichenden Analyse samtlicher der teils seit mehr als 140 Jahren geltenden Verleitungsdelikte ermittelt er einen einheitlichen Inhalt des Verleitens und seines Wesens. In der Rechtswissenschaft handelt es sich damit um die erste umfassende und verallgemeinernde Abhandlung zum Verleitensbegriff. Abschlieend befasst sich der Autor mit strafrechtsdogmatischen Einzelfragen, die sich aus der Verwendung des Merkmals verleiten ergeben.
Die Frage der steuerlichen Behandlung gemischt privat und betrieblich-beruflich veranlasster Aufwendungen ist auf akademischer und praktischer Ebene ein ewiges Streitthema. Mit der Entscheidung des Großen Senats des BFH vom 21.9.2009 (GrS 1/06) wurde eine Kehrtwende in der fast vier Jahrzehnte geltenden Grundlagenrechtsprechung eingeleitet, welche eine umfangreichere steuerliche Berücksichtigung gemischter Aufwendungen ermöglicht. Ein umfassendes Aufteilungsgebot gilt jedoch auch künftig nicht. Dieses Grundlagenwerk erarbeitet und untersucht die Grundsätze der steuerlichen Behandlung gemischter Aufwendungen umfassend und berücksichtigt neben der historischen und aktuellen Rechtsprechung u.a. auch verfahrensrechtliche Aspekte. Die Arbeit stellt für die akademische Auseinandersetzung und für die praktische Arbeit gleichsam eine fruchtbare Basis dar.
Der Autor ist Steuerberater in Berlin und Lehrbeauftragter für Steuerlehre an der Universität Potsdam.
Im Sog des Infantilen
(2017)
Ronny Jahn geht der Frage nach, was einen Manager im Finanzwesen von einem Schulleiter unterscheidet. Der Autor bietet ungewohnte Einblicke in die tägliche Arbeit von Schulleitern, zeigt, worin sie und Führungskräfte anderer Berufsfelder sich gleichen und unterscheiden und arbeitet dabei die Besonderheit der Schule als Organisation und Institution heraus. Es ist nicht das Managen, das die Arbeit eines Schulleiters prägt. Die besondere Herausforderung in der Leitung einer Schule liegt in der stetigen Auseinandersetzung mit dem Sog des Infantilen in einer Kultur des Machtverdikts.
In this study, we validate and compare elevation accuracy and geomorphic metrics of satellite-derived digital elevation models (DEMs) on the southern Central Andean Plateau. The plateau has an average elevation of 3.7 km and is characterized by diverse topography and relief, lack of vegetation, and clear skies that create ideal conditions for remote sensing. At 30m resolution, SRTM-C, ASTER GDEM2, stacked ASTER L1A stereopair DEM, ALOS World 3D, and TanDEM-X have been analyzed. The higher-resolution datasets include 12m TanDEM-X, 10m single-CoSSC TerraSAR-X/TanDEM-X DEMs, and 5m ALOS World 3D. These DEMs are state of the art for optical (ASTER and ALOS) and radar (SRTM-C and TanDEM-X) spaceborne sensors. We assessed vertical accuracy by comparing standard deviations of the DEM elevation versus 307 509 differential GPS measurements across 4000m of elevation. For the 30m DEMs, the ASTER datasets had the highest vertical standard deviation at > 6.5 m, whereas the SRTM-C, ALOS World 3D, and TanDEM-X were all < 3.5 m. Higher-resolution DEMs generally had lower uncertainty, with both the 12m TanDEM-X and 5m ALOSWorld 3D having < 2m vertical standard deviation. Analysis of vertical uncertainty with respect to terrain elevation, slope, and aspect revealed the low uncertainty across these attributes for SRTM-C (30 m), TanDEM-X (12–30 m), and ALOS World 3D (5–30 m). Single-CoSSC TerraSAR-X/TanDEM-X 10m DEMs and the 30m ASTER GDEM2 displayed slight aspect biases, which were removed in their stacked counterparts (TanDEM-X and ASTER Stack). Based on low vertical standard deviations and visual inspection alongside optical satellite data, we selected the 30m SRTM-C, 12–30m TanDEM-X, 10m single-CoSSC TerraSAR-X/TanDEM-X, and 5m ALOS World 3D for geomorphic metric comparison in a 66 km2 catchment with a distinct river knickpoint. Consistent m=n values were found using chi plot channel profile analysis, regardless of DEM type and spatial resolution. Slope, curvature, and drainage area were calculated and plotting schemes were used to assess basin-wide differences in the hillslope-to-valley transition related to the knickpoint. While slope and hillslope length measurements vary little between datasets, curvature displays higher magnitude measurements with fining resolution. This is especially true for the optical 5m ALOS World 3D DEM, which demonstrated high-frequency noise in 2–8 pixel steps through a Fourier frequency analysis. The improvements in accurate space-radar DEMs (e.g., TanDEM-X) for geomorphometry are promising, but airborne or terrestrial data are still necessary for meter-scale analysis.
In this study, we validate and compare elevation accuracy and geomorphic metrics of satellite-derived digital elevation models (DEMs) on the southern Central Andean Plateau. The plateau has an average elevation of 3.7 km and is characterized by diverse topography and relief, lack of vegetation, and clear skies that create ideal conditions for remote sensing. At 30m resolution, SRTM-C, ASTER GDEM2, stacked ASTER L1A stereopair DEM, ALOS World 3D, and TanDEM-X have been analyzed. The higher-resolution datasets include 12m TanDEM-X, 10m single-CoSSC TerraSAR-X/TanDEM-X DEMs, and 5m ALOS World 3D. These DEMs are state of the art for optical (ASTER and ALOS) and radar (SRTM-C and TanDEM-X) spaceborne sensors. We assessed vertical accuracy by comparing standard deviations of the DEM elevation versus 307 509 differential GPS measurements across 4000m of elevation. For the 30m DEMs, the ASTER datasets had the highest vertical standard deviation at > 6.5 m, whereas the SRTM-C, ALOS World 3D, and TanDEM-X were all < 3.5 m. Higher-resolution DEMs generally had lower uncertainty, with both the 12m TanDEM-X and 5m ALOSWorld 3D having < 2m vertical standard deviation. Analysis of vertical uncertainty with respect to terrain elevation, slope, and aspect revealed the low uncertainty across these attributes for SRTM-C (30 m), TanDEM-X (12–30 m), and ALOS World 3D (5–30 m). Single-CoSSC TerraSAR-X/TanDEM-X 10m DEMs and the 30m ASTER GDEM2 displayed slight aspect biases, which were removed in their stacked counterparts (TanDEM-X and ASTER Stack). Based on low vertical standard deviations and visual inspection alongside optical satellite data, we selected the 30m SRTM-C, 12–30m TanDEM-X, 10m single-CoSSC TerraSAR-X/TanDEM-X, and 5m ALOS World 3D for geomorphic metric comparison in a 66 km2 catchment with a distinct river knickpoint. Consistent m=n values were found using chi plot channel profile analysis, regardless of DEM type and spatial resolution. Slope, curvature, and drainage area were calculated and plotting schemes were used to assess basin-wide differences in the hillslope-to-valley transition related to the knickpoint. While slope and hillslope length measurements vary little between datasets, curvature displays higher magnitude measurements with fining resolution. This is especially true for the optical 5m ALOS World 3D DEM, which demonstrated high-frequency noise in 2–8 pixel steps through a Fourier frequency analysis. The improvements in accurate space-radar DEMs (e.g., TanDEM-X) for geomorphometry are promising, but airborne or terrestrial data are still necessary for meter-scale analysis.
«Dilettanten des Lebens»
(2017)
Translating innovation
(2017)
This doctoral thesis studies the process of innovation adoption in public administrations, addressing the research question of how an innovation is translated to a local context. The study empirically explores Design Thinking as a new problem-solving approach introduced by a federal government organisation in Singapore. With a focus on user-centeredness, collaboration and iteration Design Thinking seems to offer a new way to engage recipients and other stakeholders of public services as well as to re-think the policy design process from a user’s point of view. Pioneered in the private sector, early adopters of the methodology include civil services in Australia, Denmark, the United Kingdom, the United States as well as Singapore. Hitherto, there is not much evidence on how and for which purposes Design Thinking is used in the public sector.
For the purpose of this study, innovation adoption is framed in an institutionalist perspective addressing how concepts are translated to local contexts. The study rejects simplistic views of the innovation adoption process, in which an idea diffuses to another setting without adaptation. The translation perspective is fruitful because it captures the multidimensionality and ‘messiness’ of innovation adoption. More specifically, the overall research question addressed in this study is: How has Design Thinking been translated to the local context of the public sector organisation under investigation? And from a theoretical point of view: What can we learn from translation theory about innovation adoption processes?
Moreover, there are only few empirical studies of organisations adopting Design Thinking and most of them focus on private organisations. We know very little about how Design Thinking is embedded in public sector organisations. This study therefore provides further empirical evidence of how Design Thinking is used in a public sector organisation, especially with regards to its application to policy work which has so far been under-researched.
An exploratory single case study approach was chosen to provide an in-depth analysis of the innovation adoption process. Based on a purposive, theory-driven sampling approach, a Singaporean Ministry was selected because it represented an organisational setting in which Design Thinking had been embedded for several years, making it a relevant case with regard to the research question. Following a qualitative research design, 28 semi-structured interviews (45-100 minutes) with employees and managers were conducted. The interview data was triangulated with observations and documents, collected during a field research research stay in Singapore.
The empirical study of innovation adoption in a single organisation focused on the intra-organisational perspective, with the aim to capture the variations of translation that occur during the adoption process. In so doing, this study opened the black box often assumed in implementation studies. Second, this research advances translation studies not only by showing variance, but also by deriving explanatory factors. The main differences in the translation of Design Thinking occurred between service delivery and policy divisions, as well as between the first adopter and the rest of the organisation. For the intra-organisational translation of Design Thinking in the Singaporean Ministry the following five factors played a role: task type, mode of adoption, type of expertise, sequence of adoption, and the adoption of similar practices.
Decades of research have demonstrated that physical stress (PS) stimulates bone remodeling and affects bone structure and function through complex mechanotransduction mechanisms. Recent research has laid ground to the hypothesis that mental stress (MS) also influences bone biology, eventually leading to osteoporosis and increased bone fracture risk. These effects are likely exerted by modulation of hypothalamic–pituitary–adrenal axis activity, resulting in an altered release of growth hormones, glucocorticoids and cytokines, as demonstrated in human and animal studies. Furthermore, molecular cross talk between mental and PS is thought to exist, with either synergistic or preventative effects on bone disease progression depending on the characteristics of the applied stressor. This mini review will explain the emerging concept of MS as an important player in bone adaptation and its potential cross talk with PS by summarizing the current state of knowledge, highlighting newly evolving notions (such as intergenerational transmission of stress and its epigenetic modifications affecting bone) and proposing new research directions.
Decades of research have demonstrated that physical stress (PS) stimulates bone remodeling and affects bone structure and function through complex mechanotransduction mechanisms. Recent research has laid ground to the hypothesis that mental stress (MS) also influences bone biology, eventually leading to osteoporosis and increased bone fracture risk. These effects are likely exerted by modulation of hypothalamic–pituitary–adrenal axis activity, resulting in an altered release of growth hormones, glucocorticoids and cytokines, as demonstrated in human and animal studies. Furthermore, molecular cross talk between mental and PS is thought to exist, with either synergistic or preventative effects on bone disease progression depending on the characteristics of the applied stressor. This mini review will explain the emerging concept of MS as an important player in bone adaptation and its potential cross talk with PS by summarizing the current state of knowledge, highlighting newly evolving notions (such as intergenerational transmission of stress and its epigenetic modifications affecting bone) and proposing new research directions.
Age-related decline in executive functions and postural control due to degenerative processes in the central nervous system have been related to increased fall-risk in old age. Many studies have shown cognitive-postural dual-task interference in old adults, but research on the role of specific executive functions in this context has just begun. In this study, we addressed the question whether postural control is impaired depending on the coordination of concurrent response-selection processes related to the compatibility of input and output modality mappings as compared to impairments related to working-memory load in the comparison of cognitive dual and single tasks. Specifically, we measured total center of pressure (CoP) displacements in healthy female participants aged 19–30 and 66–84 years while they performed different versions of a spatial one-back working memory task during semi-tandem stance on an unstable surface (i.e., balance pad) while standing on a force plate. The specific working-memory tasks comprised: (i) modality compatible single tasks (i.e., visual-manual or auditory-vocal tasks), (ii) modality compatible dual tasks (i.e., visual-manual and auditory-vocal tasks), (iii) modality incompatible single tasks (i.e., visual-vocal or auditory-manual tasks), and (iv) modality incompatible dual tasks (i.e., visual-vocal and auditory-manual tasks). In addition, participants performed the same tasks while sitting. As expected from previous research, old adults showed generally impaired performance under high working-memory load (i.e., dual vs. single one-back task). In addition, modality compatibility affected one-back performance in dual-task but not in single-task conditions with strikingly pronounced impairments in old adults. Notably, the modality incompatible dual task also resulted in a selective increase in total CoP displacements compared to the modality compatible dual task in the old but not in the young participants. These results suggest that in addition to effects of working-memory load, processes related to simultaneously overcoming special linkages between input- and output modalities interfere with postural control in old but not in young female adults. Our preliminary data provide further evidence for the involvement of cognitive control processes in postural tasks.
Age-related decline in executive functions and postural control due to degenerative processes in the central nervous system have been related to increased fall-risk in old age. Many studies have shown cognitive-postural dual-task interference in old adults, but research on the role of specific executive functions in this context has just begun. In this study, we addressed the question whether postural control is impaired depending on the coordination of concurrent response-selection processes related to the compatibility of input and output modality mappings as compared to impairments related to working-memory load in the comparison of cognitive dual and single tasks. Specifically, we measured total center of pressure (CoP) displacements in healthy female participants aged 19–30 and 66–84 years while they performed different versions of a spatial one-back working memory task during semi-tandem stance on an unstable surface (i.e., balance pad) while standing on a force plate. The specific working-memory tasks comprised: (i) modality compatible single tasks (i.e., visual-manual or auditory-vocal tasks), (ii) modality compatible dual tasks (i.e., visual-manual and auditory-vocal tasks), (iii) modality incompatible single tasks (i.e., visual-vocal or auditory-manual tasks), and (iv) modality incompatible dual tasks (i.e., visual-vocal and auditory-manual tasks). In addition, participants performed the same tasks while sitting. As expected from previous research, old adults showed generally impaired performance under high working-memory load (i.e., dual vs. single one-back task). In addition, modality compatibility affected one-back performance in dual-task but not in single-task conditions with strikingly pronounced impairments in old adults. Notably, the modality incompatible dual task also resulted in a selective increase in total CoP displacements compared to the modality compatible dual task in the old but not in the young participants. These results suggest that in addition to effects of working-memory load, processes related to simultaneously overcoming special linkages between input- and output modalities interfere with postural control in old but not in young female adults. Our preliminary data provide further evidence for the involvement of cognitive control processes in postural tasks.
Background
The hypopharyngeal gland of worker bees contributes to the production of the royal jelly fed to queens and larvae. The gland consists of thousands of two-cell units that are composed of a secretory cell and a duct cell and that are arranged in sets of about 12 around a long collecting duct.
Results
By fluorescent staining, we have examined the morphogenesis of the hypopharyngeal gland during pupal life, from a saccule lined by a pseudostratified epithelium to the elaborate organ of adult worker bees. The hypopharyngeal gland develops as follows. (1) Cell proliferation occurs during the first day of pupal life in the hypopharyngeal gland primordium. (2) Subsequently, the epithelium becomes organized into rosette-like units of three cells. Two of these will become the secretory cell and the duct cell of the adult secretory units; the third cell contributes only temporarily to the development of the secretory units and is eliminated by apoptosis in the second half of pupal life. (3) The three-cell units of flask-shaped cells undergo complex changes in cell morphology. Thus, by mid-pupal stage, the gland is structurally similar to the adult hypopharyngeal gland. (4) Concomitantly, the prospective secretory cell attains its characteristic subcellular organization by the invagination of a small patch of apical membrane domain, its extension to a tube of about 100 μm in length (termed a canaliculus), and the expansion of the tube to a diameter of about 3 μm. (6) Finally, the canaliculus-associated F-actin system becomes reorganized into rings of bundled actin filaments that are positioned at regular distances along the membrane tube.
Conclusions
The morphogenesis of the secretory units in the hypopharyngeal gland of the worker bee seems to be based on a developmental program that is conserved, with slight modification, among insects for the production of dermal glands. Elaboration of the secretory cell as a unicellular seamless epithelial tube occurs by invagination of the apical membrane, its extension likely by targeted exocytosis and its expansion, and finally the reorganisation of the membrane-associated F-actin system. Our work is fundamental for future studies of environmental effects on hypopharyngeal gland morphology and development.
Background
The hypopharyngeal gland of worker bees contributes to the production of the royal jelly fed to queens and larvae. The gland consists of thousands of two-cell units that are composed of a secretory cell and a duct cell and that are arranged in sets of about 12 around a long collecting duct.
Results
By fluorescent staining, we have examined the morphogenesis of the hypopharyngeal gland during pupal life, from a saccule lined by a pseudostratified epithelium to the elaborate organ of adult worker bees. The hypopharyngeal gland develops as follows. (1) Cell proliferation occurs during the first day of pupal life in the hypopharyngeal gland primordium. (2) Subsequently, the epithelium becomes organized into rosette-like units of three cells. Two of these will become the secretory cell and the duct cell of the adult secretory units; the third cell contributes only temporarily to the development of the secretory units and is eliminated by apoptosis in the second half of pupal life. (3) The three-cell units of flask-shaped cells undergo complex changes in cell morphology. Thus, by mid-pupal stage, the gland is structurally similar to the adult hypopharyngeal gland. (4) Concomitantly, the prospective secretory cell attains its characteristic subcellular organization by the invagination of a small patch of apical membrane domain, its extension to a tube of about 100 μm in length (termed a canaliculus), and the expansion of the tube to a diameter of about 3 μm. (6) Finally, the canaliculus-associated F-actin system becomes reorganized into rings of bundled actin filaments that are positioned at regular distances along the membrane tube.
Conclusions
The morphogenesis of the secretory units in the hypopharyngeal gland of the worker bee seems to be based on a developmental program that is conserved, with slight modification, among insects for the production of dermal glands. Elaboration of the secretory cell as a unicellular seamless epithelial tube occurs by invagination of the apical membrane, its extension likely by targeted exocytosis and its expansion, and finally the reorganisation of the membrane-associated F-actin system. Our work is fundamental for future studies of environmental effects on hypopharyngeal gland morphology and development.
This two-wave longitudinal study examined how developmental changes in students’ mastery goal orientation, academic effort, and intrinsic motivation were predicted by student-perceived support of motivational support (support for autonomy, competence, and relatedness) in secondary classrooms. The study extends previous knowledge that showed that support for motivational support in class is related to students’ intrinsic motivation as it focused on the developmental changes of a set of different motivational variables and the relations of these changes to student-perceived motivational support in class. Thus, differential classroom effects on students’ motivational development were investigated. A sample of 1088 German students was assessed in the beginning of the school year when students were in grade 8 (Mean age D 13.70, SD D 0.53, 54% girls) and again at the end of the next school year when students were in grade 9. Results of latent change models showed a tendency toward decline in mastery goal orientation and a significant decrease in academic effort from grade 8 to 9. Intrinsic motivation did not decrease significantly across time. Student-perceived support of competence in class predicted the level and change in students’ academic effort. The findings emphasized that it is beneficial to create classroom learning environments that enhance students’ perceptions of competence in class when aiming to enhance students’ academic effort in secondary school classrooms.
We studied the short- (12 h) and long-term (144 h) response of Daphnia pulex lipases to quality shifts in diets consisting of different mixtures of the green alga Scenedesmus with the cyanobacterium Synechococcus, two species with contrasting lipid compositions. The lipase/esterase activity in both the gut and the body tissues had fast responses to the diet shift and increased with higher dietary contributions of Synechococcus. When screening the Daphnia genome for TAG lipases, we discovered a large gene-family expansion of these enzymes. We used a subset of eight genes for mRNA expression analyses and distinguished between influences of time and diet on the observed gene expression patterns. We identified five diet-responsive lipases of which three showed a sophisticated short- and long-term pattern of expression in response to small changes in food-quality. Furthermore, the gene expression of one of the lipases was strongly correlated to lipase/esterase activity in the gut suggesting its potentially major role in digestion. These findings demonstrate that the lipid-related enzymatic machinery of D. pulex is finely tuned to diet and might constitute an important mechanism of physiological adaptation in nutritionally complex environments.
We studied the short- (12 h) and long-term (144 h) response of Daphnia pulex lipases to quality shifts in diets consisting of different mixtures of the green alga Scenedesmus with the cyanobacterium Synechococcus, two species with contrasting lipid compositions. The lipase/esterase activity in both the gut and the body tissues had fast responses to the diet shift and increased with higher dietary contributions of Synechococcus. When screening the Daphnia genome for TAG lipases, we discovered a large gene-family expansion of these enzymes. We used a subset of eight genes for mRNA expression analyses and distinguished between influences of time and diet on the observed gene expression patterns. We identified five diet-responsive lipases of which three showed a sophisticated short- and long-term pattern of expression in response to small changes in food-quality. Furthermore, the gene expression of one of the lipases was strongly correlated to lipase/esterase activity in the gut suggesting its potentially major role in digestion. These findings demonstrate that the lipid-related enzymatic machinery of D. pulex is finely tuned to diet and might constitute an important mechanism of physiological adaptation in nutritionally complex environments.
Cellular membranes constantly experience remodeling, as exemplified by morphological changes during endo- and exocytosis. Regulation of membrane morphology is essential for these processes. In this work, we attempt to establish a regulation path based on the use of photoswitches exhibiting conformational changes in model membranes, namely, giant unilamellar vesicles (GUVs). The mechanism of the changes in the GUVs’ morphology caused by isomerization of the photosensitive molecules has been previously explored but still remains elusive. We examine the morphological reshaping of GUVs in the presence of the photoswitch o-tetrafluoroazobenzene (F-azo) and show that the mechanism behind the resulting morphological changes involves both an increase in the membrane area and generation of a positive spontaneous curvature. First, we characterize the partitioning of F-azo in a single-component membrane using both experimental and computational approaches. The partition coefficient calculated from molecular dynamic simulations agrees with experimental data obtained with size-exclusion chromatography. Then, we implement the approach of vesicle electrodeformation in order to assess the increase in the membrane area, which is observed as a result of the conformational change of F-azo. Finally, the local and the effective membrane spontaneous curvatures were estimated from the observed shapes of vesicles exhibiting outward budding. We then extend the application of the F-azo to multicomponent lipid membranes, which exhibit a coexistence of domains in different liquid phases due to a miscibility gap between the lipids. We perform initial experiments to investigate whether F-azo can be employed to modulate the lateral lipid packing and organization. We observe either complete mixing of the domains or the appearing of disordered domains within the domains of more ordered phase. The type of behavior observed in response to the photoisomerization of F-azo was dependent on the used lipid composition. We believe that the findings introduced here will have an impact in understanding and controlling both lipid phase modulation and regulation of the membrane morphology in membrane systems.
Already at the beginning of the fifties on the initiative of Italy, negotiations began between the Italian and German governments for the recruitment of migrant-workers, which ended in 1955 with a bilateral agreement between the two countries. Through this recruitment policy and because of the labour-market (Industry and Building) the Italian migration was composed prevalently of men. Female immigration happened in the setting of family reunification and less as an independent movement project. After years of stagnation of italian emigration in the eighties it may also be noted that, since the early nineties, there has been a revival of immigration to Germany. This and modernisation processes in Italy changed the gender composition of the Italian immigration flow to Germany: the distance between male and female immigration is decreasing. A peculiarity of the Italians in Germany is the low occupational participation of women in comparison with other women from EU countries. However, we could observe regional differences, which depend on the migration typologies and the dominating economic structure in the areas. The paper will analyse this different aspects (immigration-processes, migrant-typologies and labour-market participation) by female Italian migrants.
Novel nanogels that possess the capacity to change their physico-chemical properties in response to external stimuli are promising drug-delivery candidates for the treatment of severe skin diseases. As thermoresponsive nanogels (tNGs) are capable of enhancing penetration through biological barriers such as the stratum corneum and are taken up by keratinocytes of human skin, potential adverse consequences of their exposure must be elucidated. In this study, tNGs were synthesized from dendritic polyglycerol (dPG) and two thermoresponsive polymers. tNG_dPG_tPG are the combination of dPG with poly(glycidyl methyl ether-co-ethyl glycidyl ether) (p(GME-co-EGE)) and tNG_dPG_pNIPAM the one with poly(N-isopropylacrylamide) (pNIPAM). Both thermoresponsive nanogels are able to incorporate high amounts of dexamethasone and tacrolimus, drugs used in the treatment of severe skin diseases. Cellular uptake, intracellular localization and the toxicological properties of the tNGs were comprehensively characterized in primary normal human keratinocytes (NHK) and in spontaneously transformed aneuploid immortal keratinocyte cell line from adult human skin (HaCaT). Laser scanning confocal microscopy revealed fluorescently labeled tNGs entered into the cells and localized predominantly within lysosomal compartments. MTT assay, comet assay and carboxy-H2DCFDA assay, demonstrated neither cytotoxic or genotoxic effects, nor any induction of reactive oxygen species of the tNGs in keratinocytes. In addition, both tNGs were devoid of eye irritation potential as shown by bovine corneal opacity and permeability (BCOP) test and red blood cell (RBC) hemolysis assay. Therefore, our study provides evidence that tNGs are locally well tolerated and underlines their potential for cutaneous drug delivery.
This article considers Isabella Bird’s representation of medicine in Unbeaten Tracks in Japan (1880) and Journeys in Persia and Kurdistan (1891), the two books in which she engages most extensively with both local (Chinese/Islamic) and Western medical science and practice. I explore how Bird uses medicine to assert her narrative authority and define her travelling persona in opposition to local medical practitioners. I argue that her ambivalence and the unease she frequently expresses concerning medical practice (expressed particularly in her later adoption of the Persian appellation “Feringhi Hakīm” [European physician] to describe her work) serves as a means for her to negotiate the colonial and gendered pressures on Victorian medicine. While in Japan this attitude works to destabilise her hierarchical understanding of science and results in some acknowledgement of traditional Japanese traditions, in Persia it functions more to disguise her increasing collusion with overt British colonial ambitions.
The ecological benefits of polyploidy are intensely debated. Some authors argue that plants with duplicated chromosome sets (polyploids) are more stress-resistant and superior colonizers and may thus outnumber their low ploidy conspecifics in more extreme habitats. Brachypodium distachyon (sensu lato), for example, a common annual grass in Israel and the entire Mediterranean basin, comprises three cytotypes of differing chromosome numbers that were recently proposed as distinct species. It was suggested that increased aridity increases the occurrence of its polyploid cytotype. Here, we tested at two spatial scales whether polyploid plants of B. distachyon s.l. are more frequently found in drier habitats in Israel. We collected a total of 430 specimens (i) along a largescale climatic gradient with 15 thoroughly selected sites (spanning 114–954 mm annual rainfall), and (ii) from corresponding Northern (more mesic) and Southern (more arid) hill slopes to assess the micro-climatic difference between contrasting exposures. Cytotypes were then determined via flow cytometry. Polyploid plants comprised 90% of all specimens and their proportion ranged between 0% and 100% per site. However, this proportion was not correlated with aridity along the large-scale gradient, nor were polyploids more frequently found on Southern exposures. Our results show for both spatial scales that increasing aridity is not the principal driver for the distribution of polyploids in B. distachyon s.l. in Israel. Notably, though, diploid plants were restricted essentially to four intermediate sites, while polyploids dominated the most arid and the most mesic sites. This, to some degree, clustered pattern suggests that the distribution of cytotypes is not entirely random and calls for future studies to assess further potential drivers.
The present study explores the perceptual span, that is, the physical extent of
the area from which useful visual information is obtained during a single
fixation, during oral reading of Chinese sentences. Characters outside a
window of legible text were replaced by visually similar characters. Results
show that the influence of window size on the perceptual span was consistent
across different fixation and oculomotor measures. To maintain normal
reading behavior when reading aloud, it was necessary to have information
provided from three characters to the right of the fixation. Together with
findings from previous research, our findings suggest that the physical size of
the perceptual span is smaller when reading aloud than in silent reading. This
is in agreement with previous studies in English, suggesting that the mechanisms
causing the reduced span in oral reading have a common base that
generalizes across languages and writing systems.
In the context of back pain, great emphasis has been placed on the importance of trunk stability, especially in situations requiring compensation of repetitive, intense loading induced during high-performance activities, e.g., jumping or landing. This study aims to evaluate trunk muscle activity during drop jump in adolescent athletes with back pain (BP) compared to athletes without back pain (NBP). Eleven adolescent athletes suffering back pain (BP: m/f: n = 4/7; 15.9 ± 1.3 y; 176 ± 11 cm; 68 ± 11 kg; 12.4 ± 10.5 h/we training) and 11 matched athletes without back pain (NBP: m/f: n = 4/7; 15.5 ± 1.3 y; 174 ± 7 cm; 67 ± 8 kg; 14.9 ± 9.5 h/we training) were evaluated. Subjects conducted 3 drop jumps onto a force plate (ground reaction force). Bilateral 12-lead SEMG (surface Electromyography) was applied to assess trunk muscle activity. Ground contact time [ms], maximum vertical jump force [N], jump time [ms] and the jump performance index [m/s] were calculated for drop jumps. SEMG amplitudes (RMS: root mean square [%]) for all 12 single muscles were normalized to MIVC (maximum isometric voluntary contraction) and analyzed in 4 time windows (100 ms pre- and 200 ms post-initial ground contact, 100 ms pre- and 200 ms post-landing) as outcome variables. In addition, muscles were grouped and analyzed in ventral and dorsal muscles, as well as straight and transverse trunk muscles. Drop jump ground reaction force variables did not differ between NBP and BP (p > 0.05). Mm obliquus externus and internus abdominis presented higher SEMG amplitudes (1.3–1.9-fold) for BP (p < 0.05). Mm rectus abdominis, erector spinae thoracic/lumbar and latissimus dorsi did not differ (p > 0.05). The muscle group analysis over the whole jumping cycle showed statistically significantly higher SEMG amplitudes for BP in the ventral (p = 0.031) and transverse muscles (p = 0.020) compared to NBP. Higher activity of transverse, but not straight, trunk muscles might indicate a specific compensation strategy to support trunk stability in athletes with back pain during drop jumps. Therefore, exercises favoring the transverse trunk muscles could be recommended for back pain treatment.
In the context of back pain, great emphasis has been placed on the importance of trunk stability, especially in situations requiring compensation of repetitive, intense loading induced during high-performance activities, e.g., jumping or landing. This study aims to evaluate trunk muscle activity during drop jump in adolescent athletes with back pain (BP) compared to athletes without back pain (NBP). Eleven adolescent athletes suffering back pain (BP: m/f: n = 4/7; 15.9 ± 1.3 y; 176 ± 11 cm; 68 ± 11 kg; 12.4 ± 10.5 h/we training) and 11 matched athletes without back pain (NBP: m/f: n = 4/7; 15.5 ± 1.3 y; 174 ± 7 cm; 67 ± 8 kg; 14.9 ± 9.5 h/we training) were evaluated. Subjects conducted 3 drop jumps onto a force plate (ground reaction force). Bilateral 12-lead SEMG (surface Electromyography) was applied to assess trunk muscle activity. Ground contact time [ms], maximum vertical jump force [N], jump time [ms] and the jump performance index [m/s] were calculated for drop jumps. SEMG amplitudes (RMS: root mean square [%]) for all 12 single muscles were normalized to MIVC (maximum isometric voluntary contraction) and analyzed in 4 time windows (100 ms pre- and 200 ms post-initial ground contact, 100 ms pre- and 200 ms post-landing) as outcome variables. In addition, muscles were grouped and analyzed in ventral and dorsal muscles, as well as straight and transverse trunk muscles. Drop jump ground reaction force variables did not differ between NBP and BP (p > 0.05). Mm obliquus externus and internus abdominis presented higher SEMG amplitudes (1.3–1.9-fold) for BP (p < 0.05). Mm rectus abdominis, erector spinae thoracic/lumbar and latissimus dorsi did not differ (p > 0.05). The muscle group analysis over the whole jumping cycle showed statistically significantly higher SEMG amplitudes for BP in the ventral (p = 0.031) and transverse muscles (p = 0.020) compared to NBP. Higher activity of transverse, but not straight, trunk muscles might indicate a specific compensation strategy to support trunk stability in athletes with back pain during drop jumps. Therefore, exercises favoring the transverse trunk muscles could be recommended for back pain treatment.
School adjustment determines long-term adjustment in society. Yet, immigrant youth do better in some countries than in others. Drawing on acculturation research (Berry, 1997; Ward, 2001) and self-determination theory (Ryan and Deci, 2000), we investigated indirect effects of adolescent immigrants’ acculturation orientations on school adjustment (school-related attitudes, truancy, and mathematics achievement) through school belonging. Analyses were based on data from the Programme for International Student Assessment from six European countries, which were combined into three clusters based on their migrant integration and multicultural policies: Those with the most supportive policies (Belgium and Finland), those with moderately supportive policies (Italy and Portugal), and those with the most unsupportive policies (Denmark and Slovenia). In a multigroup path model, we confirmed most associations. As expected, mainstream orientation predicted higher belonging and better outcomes in all clusters, whereas the added value of students’ ethnic orientation was only observed in some clusters. Results are discussed in terms of differences in acculturative climate and policies between countries of settlement.
School adjustment determines long-term adjustment in society. Yet, immigrant youth do better in some countries than in others. Drawing on acculturation research (Berry, 1997; Ward, 2001) and self-determination theory (Ryan and Deci, 2000), we investigated indirect effects of adolescent immigrants’ acculturation orientations on school adjustment (school-related attitudes, truancy, and mathematics achievement) through school belonging. Analyses were based on data from the Programme for International Student Assessment from six European countries, which were combined into three clusters based on their migrant integration and multicultural policies: Those with the most supportive policies (Belgium and Finland), those with moderately supportive policies (Italy and Portugal), and those with the most unsupportive policies (Denmark and Slovenia). In a multigroup path model, we confirmed most associations. As expected, mainstream orientation predicted higher belonging and better outcomes in all clusters, whereas the added value of students’ ethnic orientation was only observed in some clusters. Results are discussed in terms of differences in acculturative climate and policies between countries of settlement.
Complementarity in single photon interference – the role of the mode function and vacuum fields
(2017)
Background
In earlier experiments the role of the vacuum fields could be demonstrated as the source of complementarity with respect to the temporal properties (Heuer et al., Phys. Rev. Lett. 114:053601, 2015).
Methods
Single photon first order interferences of spatially separated regions from the cone structure of spontaneous parametric down conversion allow for analyzing the role of the mode function in quantum optics regarding the complementarity principle.
Results
Here the spatial coherence properties of these vacuum fields are demonstrated as the physical reason for complementarity in these single photon quantum optical experiments. These results are directly connected to the mode picture in classical optics.
Conclusion
The properties of the involved vacuum fields selected via the measurement process are the physical background of the complementarity principle in quantum optics.
Complementarity in single photon interference – the role of the mode function and vacuum fields
(2017)
Background
In earlier experiments the role of the vacuum fields could be demonstrated as the source of complementarity with respect to the temporal properties (Heuer et al., Phys. Rev. Lett. 114:053601, 2015).
Methods
Single photon first order interferences of spatially separated regions from the cone structure of spontaneous parametric down conversion allow for analyzing the role of the mode function in quantum optics regarding the complementarity principle.
Results
Here the spatial coherence properties of these vacuum fields are demonstrated as the physical reason for complementarity in these single photon quantum optical experiments. These results are directly connected to the mode picture in classical optics.
Conclusion
The properties of the involved vacuum fields selected via the measurement process are the physical background of the complementarity principle in quantum optics.
Bewaffnete Intellektuelle
(2017)
Auf der Suche nach der geheimen Herrschaftslehre der Nazis begibt sich Michael Zantke in eine tiefe und umfassende Auseinandersetzung mit den geistigen Wurzeln des Nationalsozialismus. Er beleuchtet die Diskussionen in Deutschland um Machiavelli und überprüft die Texte auf ihren Bezug zur Gegenwart des Nationalsozialismus. Dabei gelingt es ihm, die politische Rolle der Intellektuellen im „Dritten Reich“ und die Unterschiede zwischen Nationalsozialismus, Faschismus und Konservativer Revolution herauszuarbeiten. Diese Nuancen sind nicht nur historisch bedeutungsvoll, sie sind auch für die heutige Diskussion über Rechtsnationalismus, Rechtsradikalismus und die Neue Rechte von Nutzen.
Graphs are ubiquitous in Computer Science. For this reason, in many areas, it is very important to have the means to express and reason about graph properties. In particular, we want to be able to check automatically if a given graph property is satisfiable. Actually, in most application scenarios it is desirable to be able to explore graphs satisfying the graph property if they exist or even to get a complete and compact overview of the graphs satisfying the graph property.
We show that the tableau-based reasoning method for graph properties as introduced by Lambers and Orejas paves the way for a symbolic model generation algorithm for graph properties. Graph properties are formulated in a dedicated logic making use of graphs and graph morphisms, which is equivalent to firstorder logic on graphs as introduced by Courcelle. Our parallelizable algorithm gradually generates a finite set of so-called symbolic models, where each symbolic model describes a set of finite graphs (i.e., finite models) satisfying the graph property. The set of symbolic models jointly describes all finite models for the graph property (complete) and does not describe any finite graph violating the graph property (sound). Moreover, no symbolic model is already covered by another one (compact). Finally, the algorithm is able to generate from each symbolic model a minimal finite model immediately and allows for an exploration of further finite models. The algorithm is implemented in the new tool AutoGraph.
Biodiversity and intact ecological interactions form the basis for functional and resilient ecosystems that maintain optimal conditions for life on earth. During the second half of the 20th century, especially land-use changes and an intensification of agricultural management caused an unprecedented loss of biodiversity in agroecosystems worldwide. Concerns have been raised that the ongoing loss of biodiversity would ultimately lead to impaired ecological interactions and ecosystem functioning in agricultural landscapes. In order to stop biodiversity loss while producing enough food for a growing world population, we need to gain detailed knowledge on ecological interactions and the functioning of agroecosystems as a whole.
Bats (Chiroptera) represent an important component of global biodiversity, occupy a variety of ecological niches and fulfill numerous ecosystem services. Especially in temperate zone agroecosystems, bats were repeatedly reported to contribute to the reduction of pest insects above intensively managed arable fields. However, bat populations have been decimated by the consequence of land-use intensification which led to their legal protection status in the European Union (Council of Europe, 1979). The increasing number of wind turbines on arable fields poses an additional threat to bats as they might get injured or killed when flying too close to wind turbine blades. Although a large amount of land area is covered by arable fields, not much is known about how bats use the intensively managed agricultural landscape.
In the present thesis, my general aim was to identify the relevance of factors at different spatiotemporal scales for shaping species-specific bat activity above intensively managed arable fields. Therefore, I repeatedly monitored bat activity above open arable fields in a landscape dominated by agriculture which is located in Northeast Brandenburg, Germany. From 2012 to 2014, I recorded echolocation calls of bats on a total of 113 sites using a passive acoustic approach. I obtained a total of 27,779 recordings, identified the recorded echolocation calls manually to species level and calculated species-specific bat activity measures. Depending on the focus of research, I modeled the obtained species-specific activity measures using generalized linear and additive mixed effect models. In Chapter I, I focused on identifying seasonal patterns in several species-specific activity measures of different functional bat groups. In Chapter II, I investigated small-scale effects of landscape elements, such as hedgerows and forest edges, on the flight and foraging activity of different bat species along the edge-field interface. Additionally, I aimed at identifying whether these effects are influenced by small ponds located within arable field and whether these effects change across seasons. In Chapter III, my aim was to investigate the interaction between factors from different spatiotemporal levels on the flight and foraging activity of bats above arable fields. At the small spatial scale, I focused on prey availability, at a large spatial scale on selected parameters which describe landscape characteristics and at the temporal scale on seasonal effects.
The major findings obtained in each chapter can be summarized in the following three points. The first major finding is that not only landscape elements on a small spatial scale, e.g. a hedgerow at the edge of an arable field, but also landscape characteristics on a large spatial scale, e.g. landscape composition, shaped species-specific bat activity above open arable fields. This activity was also strongly influenced by interactions between landscape characteristics and local prey availability. Second, the influence of landscape elements and characteristics on bat activity above arable fields was not constant over time but changed across seasons with the strongest impact during summer as compared to spring and autumn. Third, I found indications of ecosystem service provided by N. noctula and P. nathusii in all three chapters, as especially these bat species were repeatedly found to forage above arable fields. This foraging activity was positively influenced by the proximity to landscape elements at the edge of the arable field but also by the presence of small ponds within the arable field.
In light of the obtained findings, I strongly recommend protecting and most importantly recreating semi-natural landscape elements in the agricultural landscape. Furthermore, I strongly recommend against the construction of wind turbines close to these linear woody vegetation edges as bats were found to be active close to these landscape elements. Additionally, the operation times for wind turbines should be down-regulated during the mating and migration period in autumn due to high bat activity above arable fields. Since bats are considered being good bioindicators, effective conservation measures for bats might contribute to the protection of species from other taxa leading to an overall support of biodiversity in agricultural landscapes. In their entirety, the findings in this thesis contribute to the knowledge of different aspects of bat ecology and shed light on the complex interplay between factors from different spatiotemporal levels that shape bat activity above arable fields. Additionally, they can serve as a basis for the improvement and development of conservation measures for bats in agricultural landscapes.
The correctness of model transformations is a crucial element for model-driven engineering of high quality software. In particular, behavior preservation is the most important correctness property avoiding the introduction of semantic errors during the model-driven engineering process. Behavior preservation verification techniques either show that specific properties are preserved, or more generally and complex, they show some kind of behavioral equivalence or refinement between source and target model of the transformation. Both kinds of behavior preservation verification goals have been presented with automatic tool support for the instance level, i.e. for a given source and target model specified by the model transformation. However, up until now there is no automatic verification approach available at the transformation level, i.e. for all source and target models specified by the model transformation.
In this report, we extend our results presented in [27] and outline a new sophisticated approach for the automatic verification of behavior preservation captured by bisimulation resp. simulation for model transformations specified by triple graph grammars and semantic definitions given by graph transformation rules. In particular, we show that the behavior preservation problem can be reduced to invariant checking for graph transformation and that the resulting checking problem can be addressed by our own invariant checker even for a complex example where a sequence chart is transformed into communicating automata. We further discuss today's limitations of invariant checking for graph transformation and motivate further lines of future work in this direction.
This cumulative doctoral dissertation, based on three publications, is devoted to the investigation of several aspects of azobenzene molecular switches, with the aid of computational chemistry.
In the first paper, the isomerization rates of a thermal cis → trans isomerization of azobenzenes for species formed upon an integer electron transfer, i.e., with added or removed electron, are calculated from Eyring’s transition state theory and activation energy barriers, computed by means of density functional theory. The obtained results are discussed in connection with an experimental study of the thermal cis → trans isomerization of azobenzene derivatives in the presence of gold nanoparticles, which is demonstrated to be greatly accelerated in comparison to the same isomerization reaction in the absence of nanoparticles.
The second paper is concerned with electronically excited states of (i) dimers, composed of two photoswitchable units placed closely side-by-side, as well as (ii) monomers and dimers adsorbed on a silicon cluster. A variety of quantum chemistry methods, capable of calculating molecular electronic absorption spectra, based on density functional and wave function theories, is employed to quantify changes in optical absorption upon dimerization and covalent grafting to a surface. Specifically, the exciton (Davydov) splitting between states of interest is determined from first-principles calculations with the help of natural transition orbital analysis, allowing for insight into the nature of excited states.
In the third paper, nonadiabatic molecular dynamics with trajectory surface hopping is applied to model the photoisomerization of azobenzene dimers, (i) for the isolated case (exhibiting the exciton coupling between two molecules) as well as (ii) for the constrained case (providing the van der Waals interaction with environment in addition to the exciton coupling between two monomers). For the latter, the additional azobenzene molecules, surrounding the dimer, are introduced, mimicking a densely packed self-assembled monolayer. From obtained results it is concluded that the isolated dimer is capable of isomerization likewise the monomer, whereas the steric hindrance considerably suppresses trans → cis photoisomerization.
Furthermore, the present dissertation comprises the general introduction describing the main features of the azobenzene photoswitch and objectives of this work, theoretical basis of the employed methods, and discussion of gained findings in the light of existing literature. Also, additional results on (i) activation parameters of the thermal cis → trans isomerization of azobenzenes, (ii) an approximate scheme to account for anharmonicity of molecular vibrations in calculation of the activation entropy, as well as (iii) absorption spectra of photoswitch–silicon composites obtained from time-demanding wave function-based methods are presented.
The information about climate change impact on river discharge is vitally important for planning adaptation measures. The future changes can affect different water-related sectors. The main goal of this study was to investigate the potential water resource changes in Ukraine, focusing on three mesoscale river catchments (Teteriv, UpperWestern Bug, and Samara) characteristic for different geographical zones. The catchment scale watershed model—Soil and Water Integrated Model (SWIM)—was setup, calibrated, and validated for the three catchments under consideration. A set of seven GCM-RCM (General Circulation Model-Regional Climate Model) coupled climate scenarios corresponding to RCPs (Representative Concentration Pathways) 4.5 and 8.5 were used to drive the hydrological catchment model. The climate projections, used in the study, were considered as three combinations of low, intermediate, and high end scenarios. Our results indicate the shifts in the seasonal distribution of runoff in all three catchments. The spring high flow occurs earlier as a result of temperature increases and earlier snowmelt. The fairly robust trend is an increase in river discharge in the winter season, and most of the scenarios show a potential decrease in river discharge in the spring.
The information about climate change impact on river discharge is vitally important for planning adaptation measures. The future changes can affect different water-related sectors. The main goal of this study was to investigate the potential water resource changes in Ukraine, focusing on three mesoscale river catchments (Teteriv, UpperWestern Bug, and Samara) characteristic for different geographical zones. The catchment scale watershed model—Soil and Water Integrated Model (SWIM)—was setup, calibrated, and validated for the three catchments under consideration. A set of seven GCM-RCM (General Circulation Model-Regional Climate Model) coupled climate scenarios corresponding to RCPs (Representative Concentration Pathways) 4.5 and 8.5 were used to drive the hydrological catchment model. The climate projections, used in the study, were considered as three combinations of low, intermediate, and high end scenarios. Our results indicate the shifts in the seasonal distribution of runoff in all three catchments. The spring high flow occurs earlier as a result of temperature increases and earlier snowmelt. The fairly robust trend is an increase in river discharge in the winter season, and most of the scenarios show a potential decrease in river discharge in the spring.
Background
Back pain patients (BPP) show delayed muscle onset, increased co-contractions, and variability as response to quasi-static sudden trunk loading in comparison to healthy controls (H). However, it is unclear whether these results can validly be transferred to suddenly applied walking perturbations, an automated but more functional and complex movement pattern. There is an evident need to develop research-based strategies for the rehabilitation of back pain. Therefore, the investigation of differences in trunk stability between H and BPP in functional movements is of primary interest in order to define suitable intervention regimes. The purpose of this study was to analyse neuromuscular reflex activity as well as three-dimensional trunk kinematics between H and BPP during walking perturbations.
Methods
Eighty H (31m/49f;29±9yrs;174±10cm;71±13kg) and 14 BPP (6m/8f;30±8yrs;171±10cm;67±14kg) walked (1m/s) on a split-belt treadmill while 15 right-sided perturbations (belt decelerating, 40m/s2, 50ms duration; 200ms after heel contact) were randomly applied. Trunk muscle activity was assessed using a 12-lead EMG set-up. Trunk kinematics were measured using a 3-segment-model consisting of 12 markers (upper thoracic (UTA), lower thoracic (LTA), lumbar area (LA)). EMG-RMS ([%],0-200ms after perturbation) was calculated and normalized to the RMS of unperturbed gait. Latency (TON;ms) and time to maximum activity (TMAX;ms) were analysed. Total motion amplitude (ROM;[°]) and mean angle (Amean;[°]) for extension-flexion, lateral flexion and rotation were calculated (whole stride cycle; 0-200ms after perturbation) for each of the three segments during unperturbed and perturbed gait. For ROM only, perturbed was normalized to unperturbed step [%] for the whole stride as well as the 200ms after perturbation. Data were analysed descriptively followed by a student´s t-test to account for group differences. Co-contraction was analyzed between ventral and dorsal muscles (V:R) as well as side right:side left ratio (Sright:Sleft). The coefficient of variation (CV;%) was calculated (EMG-RMS;ROM) to evaluate variability between the 15 perturbations for all groups. With respect to unequal distribution of participants to groups, an additional matched-group analysis was conducted. Fourteen healthy controls out of group H were sex-, age- and anthropometrically matched (group Hmatched) to the BPP.
Results
No group differences were observed for EMG-RMS or CV analysis (EMG/ROM) (p>0.025). Co-contraction analysis revealed no differences for V:R and Srigth:Sleft between the groups (p>0.025). BPP showed an increased TON and TMAX, being significant for Mm. rectus abdominus (p = 0.019) and erector spinae T9/L3 (p = 0.005/p = 0.015). ROM analysis over the unperturbed stride cycle revealed no differences between groups (p>0.025). Normalization of perturbed to unperturbed step lead to significant differences for the lumbar segment (LA) in lateral flexion with BPP showing higher normalized ROM compared to Hmatched (p = 0.02). BPP showed a significant higher flexed posture (UTA (p = 0.02); LTA (p = 0.004)) during normal walking (Amean). Trunk posture (Amean) during perturbation showed higher trunk extension values in LTA segments for H/Hmatched compared to BPP (p = 0.003). Matched group (BPP vs. Hmatched) analysis did not show any systematic changes of all results between groups.
Conclusion
BPP present impaired muscle response times and trunk posture, especially in the sagittal and transversal planes, compared to H. This could indicate reduced trunk stability and higher loading during gait perturbations.
Background
Back pain patients (BPP) show delayed muscle onset, increased co-contractions, and variability as response to quasi-static sudden trunk loading in comparison to healthy controls (H). However, it is unclear whether these results can validly be transferred to suddenly applied walking perturbations, an automated but more functional and complex movement pattern. There is an evident need to develop research-based strategies for the rehabilitation of back pain. Therefore, the investigation of differences in trunk stability between H and BPP in functional movements is of primary interest in order to define suitable intervention regimes. The purpose of this study was to analyse neuromuscular reflex activity as well as three-dimensional trunk kinematics between H and BPP during walking perturbations.
Methods
Eighty H (31m/49f;29±9yrs;174±10cm;71±13kg) and 14 BPP (6m/8f;30±8yrs;171±10cm;67±14kg) walked (1m/s) on a split-belt treadmill while 15 right-sided perturbations (belt decelerating, 40m/s2, 50ms duration; 200ms after heel contact) were randomly applied. Trunk muscle activity was assessed using a 12-lead EMG set-up. Trunk kinematics were measured using a 3-segment-model consisting of 12 markers (upper thoracic (UTA), lower thoracic (LTA), lumbar area (LA)). EMG-RMS ([%],0-200ms after perturbation) was calculated and normalized to the RMS of unperturbed gait. Latency (TON;ms) and time to maximum activity (TMAX;ms) were analysed. Total motion amplitude (ROM;[°]) and mean angle (Amean;[°]) for extension-flexion, lateral flexion and rotation were calculated (whole stride cycle; 0-200ms after perturbation) for each of the three segments during unperturbed and perturbed gait. For ROM only, perturbed was normalized to unperturbed step [%] for the whole stride as well as the 200ms after perturbation. Data were analysed descriptively followed by a student´s t-test to account for group differences. Co-contraction was analyzed between ventral and dorsal muscles (V:R) as well as side right:side left ratio (Sright:Sleft). The coefficient of variation (CV;%) was calculated (EMG-RMS;ROM) to evaluate variability between the 15 perturbations for all groups. With respect to unequal distribution of participants to groups, an additional matched-group analysis was conducted. Fourteen healthy controls out of group H were sex-, age- and anthropometrically matched (group Hmatched) to the BPP.
Results
No group differences were observed for EMG-RMS or CV analysis (EMG/ROM) (p>0.025). Co-contraction analysis revealed no differences for V:R and Srigth:Sleft between the groups (p>0.025). BPP showed an increased TON and TMAX, being significant for Mm. rectus abdominus (p = 0.019) and erector spinae T9/L3 (p = 0.005/p = 0.015). ROM analysis over the unperturbed stride cycle revealed no differences between groups (p>0.025). Normalization of perturbed to unperturbed step lead to significant differences for the lumbar segment (LA) in lateral flexion with BPP showing higher normalized ROM compared to Hmatched (p = 0.02). BPP showed a significant higher flexed posture (UTA (p = 0.02); LTA (p = 0.004)) during normal walking (Amean). Trunk posture (Amean) during perturbation showed higher trunk extension values in LTA segments for H/Hmatched compared to BPP (p = 0.003). Matched group (BPP vs. Hmatched) analysis did not show any systematic changes of all results between groups.
Conclusion
BPP present impaired muscle response times and trunk posture, especially in the sagittal and transversal planes, compared to H. This could indicate reduced trunk stability and higher loading during gait perturbations.
In der Philosophie des 20. Jahrhunderts wird deutlich, dass es in Frankreich und in Deutschland voneinander abweichende Sichtweisen auf die Frage gibt, ob der Mensch eine "Sonderstellung" in der Dynamik des biologischen und geschichtlichen Lebens genießt. Während sich in Deutschland die Tradition eines anthropologischen Denkens neu formiert, ist in Frankreich eine scharfe Skepsis gegenüber dem Erbe des Humanismus charakteristisch. Die Beiträge dieses zweisprachigen Buches untersuchen diese deutsch-französische Konstellation von Fragen und Autoren, und aktualisieren die Reflexion auf die (Grenzen der) Singularität des Menschen.
Im Werk des jüdischen Schriftstellers Albert Cohen (1895-1981) tritt der Liebesbegriff in all seiner schillernden Ambivalenz und Komplexität in einen kontinuierlichen Dialog mit dem ethischen Diskurs des Judentums. Die Studie macht dieses Beziehungsgeflecht zur Grundlage ihrer Reflexion und entwirft vor dem geistigen Hintergrund des Judentums eine Gesamtschau auf die bei Albert Cohen allgegenwärtigen Erscheinungsformen der Liebe. Aus diesem Blickwinkel gedeutet ergeben die im Schreiben des Autors vielschichtig entfalteten zwischenmenschlichen Beziehungsmuster eine ethische Matrix, die den (alt)jüdischen Wissens- und Erfahrungsschatz mit den Herausforderungen der Gegenwart konfrontiert und beides zueinander in Beziehung treten lässt. Jenseits dichotomischer Zuschreibungen stellt die vorliegende Monographie Albert Cohen als einen Literaten vor, dessen Leben und Wirken entlang der Kontaktzonen zwischen Orient und Okzident, zwischen Judentum und Christentum, zwischen Jüdisch-Partikularem und Kulturübergreifend-Universalem ausgerichtet war
Bei der Autorin Judith Hermann handelt es sich um eine sehr resonanzträchtige Autorin, der in der Vergangenheit eine phänomenale Aufmerksamkeit zuteil wurde und die es schaffte, sich erfolgreich auf dem Marktplatz Literatur zu positionieren und zur Bestsellerautorin zu avancieren.
Die vorliegende Studie verfolgt das Ziel, der Marke Judith Hermann auf die Spur zu kommen und die höchst unterschiedlichen Facetten der Erfolgsgeschichte zu rekonstruieren.
Juliane Witzke analysiert dazu detailliert die peri- und epitextuellen Praktiken der Jahre 1998 bis 2014 und bezieht sich dabei auf die Paratexte der ersten vier Werke der Autorin. Ergänzt werden diese Begleittexte durch eine Analyse der Bild- und Tondokumente sowie der Buchpreisverleihungen. Die grundlegende Frage lautet: Wie ist der Wandel der Inszenierungspraktiken gestaltet? Des Weiteren gibt die Arbeit – anhand von 100 Büchern der Gegenwart – Aufschluss über Strategien der Lektürelenkung der letzten 16 Jahre.
Die Naturphilosophie und die Politische Philosophie werden gemeinhin als Disziplinen aufgefasst, die grundlegend verschiedene Problembereiche zum Gegenstand haben. Die Aporien zu überwinden, welche daraus resultieren, ist die Pointe von Plessners Philosophischer Anthropologie.
In dieser Studie wird gezeigt, wie Plessner in der Aneignung elementarer Topoi der klassischen Ontologie eine strukturell neuartige "Ontologie des Organischen" entwickelt. Dieser von Plessner beiläufig verwendete Ausdruck wird in dieser Studie systematisch entwickelt. Was dabei elaboriert wird, ist eine komplexe naturphilosophische "Ontologie des Ausgleichs". In dieser Ontologie des Ausgleichs werden elementare naturphilosophische Ausgleichsleistungen expliziert, die als solche einen Doppelsinn haben: was auf der organismischen Ebene strukturell als Ausgleich des organischen Körpers mit sich selbst und der Umwelt expliziert wird, nimmt im menschlichen Bereich die Gestalt einer Ontologie der Personen an, wo die strukturell identische Ausgleichsleistung als das Spiel der Personalisierung zu vollziehen ist.
Plessners Ansatz wird hier als ein auf diese Fragen neuartig antwortender, gleichberechtigt als ontologischer und sozialphilosophischer Ansatz expliziert.
Durch Art. 20 Abs. 1 des Grundgesetzes wird die Bundesrepublik Deutschland als demokratischer und sozialer Bundesstaat insbesondere dem Föderalismus verpflichtet. Er ist neben der Demokratie eine der Säulen unseres Staatswesens. Im Bewusstsein dieser Grundentscheidung unserer Verfassung fällt mit Art. 115f Abs. 1 Nr. 2 GG eine Vorschrift auf, die hiervon im Verteidigungsfall eine weitreichende Ausnahme zu ermöglichen scheint. Die Bundesregierung soll dann unter bestimmten Voraussetzungen außer der Bundesverwaltung auch den Landesregierungen und Landesbehörden Weisungen erteilen können. Es stellt sich in Anbetracht eines solchen Ausnahmerechts die Frage, wie sich dieses Weisungsrecht der Bundesregierung in unser Rechtssystem einfügt.
Der Autor nähert sich dieser Frage zunächst über die geschichtlichen Hintergründe, die zur Einfügung der Vorschrift geführt haben. Er geht detailliert auf die Voraussetzungen dieses Weisungsrechts der Bundesregierung ein und stellt es in seinen systematischen Zusammenhang. Neben einer Darstellung des Weisungsbegriffs als Möglichkeit der Einflussnahme auf die Bundesverwaltung und die Länder, werden auch die damit umschriebenen Weisungsadressaten näher untersucht. Auch den Fragen, welchen Gegenstand Weisungen nach dieser Vorschrift haben können, wie sie zu erlassen sind und welche Wirkungen sich aus ihnen ergeben, wird in der Untersuchung detailreich nachgegangen. Daneben behandelt der Autor die sich daraus ergebenden Anschlussfragen, welcher Rechtsschutz gegen derartige Weisungen besteht, wer damit verbundene Aufgaben zu finanzieren hat und wer für eventuelle Schäden zu haften hat. Das Werk schließt mit einer Erörterung, ob es sich bei dieser Vorschrift um eine verfassungswidrige Verfassungsnorm handelt, und einem Blick auf internationale Vorschriften, die Einfluss auf das Weisungsrecht nehmen könnten.
Um den zunehmenden Diebstahl digitaler Identitäten zu bekämpfen, gibt es bereits mehr als ein Dutzend Technologien. Sie sind, vor allem bei der Authentifizierung per Passwort, mit spezifischen Nachteilen behaftet, haben andererseits aber auch jeweils besondere Vorteile. Wie solche Kommunikationsstandards und -Protokolle wirkungsvoll miteinander kombiniert werden können, um dadurch mehr Sicherheit zu erreichen, haben die Autoren dieser Studie analysiert. Sie sprechen sich für neuartige Identitätsmanagement-Systeme aus, die sich flexibel auf verschiedene Rollen eines einzelnen Nutzers einstellen können und bequemer zu nutzen sind als bisherige Verfahren. Als ersten Schritt auf dem Weg hin zu einer solchen Identitätsmanagement-Plattform beschreiben sie die Möglichkeiten einer Analyse, die sich auf das individuelle Verhalten eines Nutzers oder einer Sache stützt.
Ausgewertet werden dabei Sensordaten mobiler Geräte, welche die Nutzer häufig bei sich tragen und umfassend einsetzen, also z.B. internetfähige Mobiltelefone, Fitness-Tracker und Smart Watches. Die Wissenschaftler beschreiben, wie solche Kleincomputer allein z.B. anhand der Analyse von Bewegungsmustern, Positionsund Netzverbindungsdaten kontinuierlich ein „Vertrauens-Niveau“ errechnen können. Mit diesem ermittelten „Trust Level“ kann jedes Gerät ständig die Wahrscheinlichkeit angeben, mit der sein aktueller Benutzer auch der tatsächliche Besitzer ist, dessen typische Verhaltensmuster es genauestens „kennt“.
Wenn der aktuelle Wert des Vertrauens-Niveaus (nicht aber die biometrischen Einzeldaten) an eine externe Instanz wie einen Identitätsprovider übermittelt wird, kann dieser das Trust Level allen Diensten bereitstellen, welche der Anwender nutzt und darüber informieren will. Jeder Dienst ist in der Lage, selbst festzulegen, von welchem Vertrauens-Niveau an er einen Nutzer als authentifiziert ansieht. Erfährt er von einem unter das Limit gesunkenen Trust Level, kann der Identitätsprovider seine Nutzung und die anderer Services verweigern.
Die besonderen Vorteile dieses Identitätsmanagement-Ansatzes liegen darin, dass er keine spezifische und teure Hardware benötigt, um spezifische Daten auszuwerten, sondern lediglich Smartphones und so genannte Wearables. Selbst Dinge wie Maschinen, die Daten über ihr eigenes Verhalten per Sensor-Chip ins Internet funken, können einbezogen werden. Die Daten werden kontinuierlich im Hintergrund erhoben, ohne dass sich jemand darum kümmern muss. Sie sind nur für die Berechnung eines Wahrscheinlichkeits-Messwerts von Belang und verlassen niemals das Gerät. Meldet sich ein Internetnutzer bei einem Dienst an, muss er sich nicht zunächst an ein vorher festgelegtes Geheimnis – z.B. ein Passwort – erinnern, sondern braucht nur die Weitergabe seines aktuellen Vertrauens-Wertes mit einem „OK“ freizugeben.
Ändert sich das Nutzungsverhalten – etwa durch andere Bewegungen oder andere Orte des Einloggens ins Internet als die üblichen – wird dies schnell erkannt. Unbefugten kann dann sofort der Zugang zum Smartphone oder zu Internetdiensten gesperrt werden. Künftig kann die Auswertung von Verhaltens-Faktoren noch erweitert werden, indem z.B. Routinen an Werktagen, an Wochenenden oder im Urlaub erfasst werden. Der Vergleich mit den live erhobenen Daten zeigt dann an, ob das Verhalten in das übliche Muster passt, der Benutzer also mit höchster Wahrscheinlichkeit auch der ausgewiesene Besitzer des Geräts ist.
Über die Techniken des Managements digitaler Identitäten und die damit verbundenen Herausforderungen gibt diese Studie einen umfassenden Überblick. Sie beschreibt zunächst, welche Arten von Angriffen es gibt, durch die digitale Identitäten gestohlen werden können. Sodann werden die unterschiedlichen Verfahren von Identitätsnachweisen vorgestellt. Schließlich liefert die Studie noch eine zusammenfassende Übersicht über die 15 wichtigsten Protokolle und technischen Standards für die Kommunikation zwischen den drei beteiligten Akteuren: Service Provider/Dienstanbieter, Identitätsprovider und Nutzer. Abschließend wird aktuelle Forschung des Hasso-Plattner-Instituts zum Identitätsmanagement vorgestellt.
Fernsehen und Kulturkritik
(2017)
Via their powerful radiation, stellar winds, and supernova explosions, massive stars (Mini & 8 M☉) bear a tremendous impact on galactic evolution. It became clear in recent decades that the majority of massive stars reside in binary systems. This thesis sets as a goal to quantify the impact of binarity (i.e., the presence of a companion star) on massive stars. For this purpose, massive binary systems in the Local Group, including OB-type binaries, high mass X-ray binaries (HMXBs), and Wolf-Rayet (WR) binaries, were investigated by means of spectral, orbital, and evolutionary analyses.
The spectral analyses were performed with the non-local thermodynamic equillibrium (non-LTE) Potsdam Wolf-Rayet (PoWR) model atmosphere code. Thanks to critical updates in the calculation of the hydrostatic layers, the code became a state-of-the-art tool applicable for all types of hot massive stars (Chapter 2). The eclipsing OB-type triple system δ Ori served as an intriguing test-case for the new version of the PoWR code, and provided key insights regarding the formation of X-rays in massive stars (Chapter 3). We further analyzed two prototypical HMXBs, Vela X-1 and IGR J17544-2619, and obtained fundamental conclusions regarding the dichotomy of two basic classes of HMXBs (Chapter 4). We performed an exhaustive analysis of the binary R 145 in the Large Magellanic Cloud (LMC), which was claimed to host the most massive stars known. We were able to disentangle the spectrum of the system, and performed an orbital, polarimetric, and spectral analysis, as well as an analysis of the wind-wind collision region. The true masses of the binary components turned out to be significantly lower than suggested, impacting our understanding of the initial mass function and stellar evolution at low metallicity (Chapter 5). Finally, all known WR binaries in the Small Magellanic Cloud (SMC) were analyzed. Although it was theoretical predicted that virtually all WR stars in the SMC should be formed via mass-transfer in binaries, we find that binarity was not important for the formation of the known WR stars in the SMC, implying a strong discrepancy between theory and observations (Chapter 6).
Das Buch bietet eine systematische Erklärung der bisher wenig beachteten Phänomene von Wandel und Stabilität legislativer Vetopunkte (VP) in parlamentarischen Demokratien.
Theoretisch ermöglichen die gemeinsame Betrachtung der Akteursstrategien auf Gesetzgebungs- und Reformebene und deren gegenseitige Beeinflussung die Identifikation institutioneller Gleichgewichte. Die Erklärung der Autorin betont die Bedeutung der Mehrheiten beschränkenden Wirkung von Vetoinstitutionen für die Reformpräferenzen der Akteure. Im Reformprozess wird die Legitimität der Vetopunkte als wesentlicher Faktor angenommen. Sie beeinflusst Kosten und Nutzen der Akteure durch eine potenzielle elektorale Bestrafung von Versuchen, legitime Vetopunkte zu schwächen bzw. illegitime Vetopunkte zu bewahren.
Empirisch wird die Erklärung mittels einer QCA–Analyse für 38 etablierte parlamentarische Demokratien sowie anhand vertiefender Fallstudien zur Entwicklung der Vetoinstitutionen in fünf Ländern überprüft.
Culture-driven innovation
(2017)
This cumulative dissertation deals with the potential of underexplored cultural sources for innovation.
Nowadays, firms recognize an increasing demand for innovation to keep pace with an ever-growing dynamic worldwide competition. Knowledge is one of the most crucial sources and resource, while until now innovation has been foremost driven by technology. But since the last years, we have been witnessing a change from technology's role as a driver of innovation to an enabler of innovation. Innovative products and services increasingly differentiate through emotional qualities and user experience. These experiences are hard to grasp and require alignment in innovation management theory and practice.
This work cares about culture in a broader matter as a source for innovation. It investigates the requirements and fundamentals for "culture-driven innovation" by studying where and how to unlock cultural sources. The research questions are the following: What are cultural sources for knowledge and innovation? Where can one find cultural sources and how to tap into them?
The dissertation starts with an overview of its central terms and introduces cultural theories as an overarching frame to study cultural sources for innovation systematically. Here, knowledge is not understood as something an organization owns like a material resource, but it is seen as something created and taking place in practices. Such a practice theoretical lens inheres the rejection of the traditional economic depiction of the rational Homo Oeconomicus. Nevertheless, it also rejects the idea of the Homo Sociologicus about the strong impact of society and its values on individual actions. Practice theory approaches take account of both concepts by underscoring the dualism of individual (agency, micro-level) and structure (society, macro-level). Following this, organizations are no enclosed entities but embedded within their socio-cultural environment, which shapes them and is also shaped by them.
Then, the first article of this dissertation acknowledges a methodological stance of this dualism by discussing how mixed methods support an integrated approach to study the micro- and macro-level. The article focuses on networks (thus communities) as a central research unit within studies of entrepreneurship and innovation.
The second article contains a network analysis and depicts communities as central loci for cultural sources and knowledge. With data from the platform Meetup.com about events etc., the study explores which overarching communities and themes have been evolved in Berlin's start up and tech scene.
While the latter study was about where to find new cultural sources, the last article addresses how to unlock such knowledge sources. It develops the concept of a cultural absorptive capacity, that is the capability of organizations to open up towards cultural sources. Furthermore, the article points to the role of knowledge intermediaries in the early phases of knowledge acquisition. Two case studies on companies working with artists illustrate the roles of such intermediaries and how they support firms to gain knowledge from cultural sources.
Overall, this dissertation contributes to a better understanding of culture as a source for innovation from a theoretical, methodological, and practitioners' point of view. It provides basic research to unlock the potential of such new knowledge sources for companies - sources that so far have been neglected in innovation management.
Lignin valorization
(2017)
The topic of this project is the use of lignin as alternative source of aromatic building blocks and oligomers to fossil feedstocks. Lignin is known as the most abundant aromatic polymer in nature and is isolated from the lignocellulosic component of plants by different possible extraction treatments. Both the biomass source and the extraction method affect the structure of the isolated lignin, therefore influencing its further application. Lignin was extracted from beech wood by two different hydrothermal alkaline treatments, which use NaOH and Ba(OH)2 as base and by an acid-catalyzed organosolv process. Moreover, lignin was isolated from bamboo, beech wood and coconut by soda treatment of the biomasses. A comparison of the structural features of such isolated lignins was performed through the use of a wide range of analytical methods. Alkaline lignins resulted in a better candidate as carbon precursor and macromonomers for the synthesis of polymer than organosolv lignin. In fact, alkaline lignins showed higher residual mass after carbonization and higher content of the reactive hydroxy functionalities. In contrast, the lignin source turned out to slightly affect the lignin hydroxyl content.
One of the most common lignin modifications is its deconstruction to obtain aromatic molecules, which can be used as starting materials for the synthesis of fine chemicals. Lignin deconstruction leads to a complex mixture of aromatic molecules. A gas chromatographic analytical method was developed to characterize the mixture of products obtained by lignin deconstruction via heterogeneous catalytic hydrogenolysis. The analytical protocol allowed the quantification of three main groups of molecules by means of calibration curves, internal standard and a preliminary silylation step of the sample. The analytical method was used to study the influence of the hydrogenolysis catalyst, temperature and system (flow and batch reactor) on the yield and selectivity of the aromatic compounds.
Lignin extracted from beech wood by a hydrothermal process using Ba(OH)2 as base, was functionalized by aromatic nitration in order to add nitrogen functionalities. The final goal was the synthesis of a nitrogen doped carbon. Nitrated lignin was reduced to the amino form in order to compare the influence of different nitrogen functionalities on the porosity of the final carbon. The carbons were obtained by ionothermal treatment of the precursors in the presence of the eutectic salt mixture KCl/ZnCl2 Such synthesized carbons showed micro-, macro- and mesoporosity and were tested for their electrocatalytic activity towards the oxygen reduction reaction. Mesoporous carbon derived from nitro lignin displayed the highest electrocatalytic activity.
Lignins isolated from coconut, beech wood and bamboo were used as macromonomers for the synthesis of biobased polyesters. A condensation reaction was performed between lignin and a hyper branched poly(ester-amine), previously obtained by condensation of triethanolamine and adipic acid. The influence of the lignin source and content on the thermochemical and mechanical properties of the final material was investigated. The prepolymer showed adhesive properties towards aluminum and its shear strength was therefore measured. The gluing properties of such synthesized glues turned out to be independent from the lignin source but affected by the amount of lignin in the final material.
This work shows that, although still at a laboratory scale, the valorization of lignin can overcome the critical issues of lignin´s structure variability and complexity.
On the evidential use of English adverbials and their equivalents in Romance languages and Russian
(2017)
The present study investigates the use of equivalents of the English adverbials seemingly and apparently with a specific morphological structure in Romance languages and Russian, i.e. Spanish al parecer, Portuguese ao parecer and ao que parece, French avoir l’air de, Italian all’apparenza and in apparenza as well as Russian по-видимому. The underlying hypothesis is that the function and syntactic behaviour of these adverbial locutions are motivated by their morphological composition. It is to investigate whether the adverbials may be used sentence-initially, parenthetically, as an adverbial with broad or narrow scope or as a component of a modalised predication. The adverbial locutions are treated as means of expression where evidentiality and epistemic modality represent overlapping functional-semantic categories.
Die Rote Gefahr
(2017)
Editorial
(2017)
Natural hazards can have serious societal and economic impacts. Worldwide, around one third of economic losses due to natural hazards are attributable to floods. The majority of natural hazards are triggered by weather-related extremes such as heavy precipitation, rapid snow melt, or extreme temperatures. Some of them, and in particular floods, are expected to further increase in terms of frequency and/or intensity in the coming decades due to the impacts of climate change. In this context, the European Alps areas are constantly disclosed as being particularly sensitive.
In order to enhance the resilience of societies to natural hazards, risk assessments are substantial as they can deliver comprehensive risk information to be used as a basis for effective and sustainable decision-making in natural hazards management. So far, current assessment approaches mostly focus on single societal or economic sectors – e.g. flood damage models largely concentrate on private-sector housing – and other important sectors, such as the transport infrastructure sector, are widely neglected. However, transport infrastructure considerably contributes to economic and societal welfare, e.g. by ensuring mobility of people and goods. In Austria, for example, the national railway network is essential for the European transit of passengers and freights as well as for the development of the complex Alpine topography. Moreover, a number of recent experiences show that railway infrastructure and transportation is highly vulnerable to natural hazards. As a consequence, the Austrian Federal Railways had to cope with economic losses on the scale of several million euros as a result of flooding and other alpine hazards.
The motivation of this thesis is to contribute to filling the gap of knowledge about damage to railway infrastructure caused by natural hazards by providing new risk information for actors and stakeholders involved in the risk management of railway transportation. Hence, in order to support the decision-making towards a more effective and sustainable risk management, the following two shortcomings in natural risks research are approached: i) the lack of dedicated models to estimate flood damage to railway infrastructure, and ii) the scarcity of insights into possible climate change impacts on the frequency of extreme weather events with focus on future implications for railway transportation in Austria.
With regard to flood impacts to railway infrastructure, the empirically derived damage model Railway Infrastructure Loss (RAIL) proved expedient to reliably estimate both structural flood damage at exposed track sections of the Northern Railway and resulting repair cost. The results show that the RAIL model is capable of identifying flood risk hot spots along the railway network and, thus, facilitates the targeted planning and implementation of (technical) risk reduction measures. However, the findings of this study also show that the development and validation of flood damage models for railway infrastructure is generally constrained by the continuing lack of detailed event and damage data.
In order to provide flood risk information on the large scale to support strategic flood risk management, the RAIL model was applied for the Austrian Mur River catchment using three different hydraulic scenarios as input as well as considering an increased risk aversion of the railway operator. Results indicate that the model is able to deliver comprehensive risk information also on the catchment level. It is furthermore demonstrated that the aspect of risk aversion can have marked influence on flood damage estimates for the study area and, hence, should be considered with regard to the development of risk management strategies.
Looking at the results of the investigation on future frequencies of extreme weather events jeopardizing railway infrastructure and transportation in Austria, it appears that an increase in intense rainfall events and heat waves has to be expected, whereas heavy snowfall and cold days are likely to decrease. Furthermore, results indicate that frequencies of extremes are rather sensitive to changes of the underlying thresholds. It thus emphasizes the importance to carefully define, validate, and — if needed — to adapt the thresholds that are used to detect and forecast meteorological extremes. For this, continuous and standardized documentation of damaging events and near-misses is a prerequisite.
Overall, the findings of the research presented in this thesis agree on the necessity to improve event and damage documentation procedures in order to enable the acquisition of comprehensive and reliable risk information via risk assessments and, thus, support strategic natural hazards management of railway infrastructure and transportation.
This essay reads Sam Selvon’s novel The Lonely Londoners (1956) as a milestone in the decolonisation of British fiction. After an introduction to Selvon and the core composition of the novel, it discusses the ways in which the narrative takes on issues of race and racism, how it in the tradition of the Trinidadian carnival confronts audiences with sexual profanation and black masculine swagger, and not least how the novel, especially through its elaborate use of creole Englishes, reimagines London as a West Indian metropolis. The essay then turns more systematically to the ways in which Selvon translates Western literary models and their isolated subject positions into collective modes of narrative performance taken from Caribbean orature and the calypsonian tradition. The Lonely Londoners breathes entirely new life into the ossified conventions of the English novel, and imbues it with unforeseen aesthetic, ethical, political and epistemological possibilities.
Aus dem Inhalt:
- Themenschwerpunkt: „Gefährdungen der Menschenrechte und Demokratie am Beispiel von TTIP“
◦ TTIP und die Funktionsbedingungen moralisch rechtfertigbarer Märkte
◦ Ist TTIP alternativlos? Ein Problemaufriss aus sozialliberaler Perspektive
◦ Freihandelsabkommen und Steuergerechtigkeit: eine menschenrechtliche Perspektive
- Die Europäische Union im Menschenrechtsrat der Vereinten Nationen
Vom Handeln und Schmusen
(2017)
„Gelobt seist du, Ewiger!“
(2017)
‚Ma‘oz tsur jeshu‘ati‘
(2017)
„Sei es Dein Wille, Herr“
(2017)
Arbeit vor Rente
(2017)
Schon vor der Staatsgründung legte die SED die Grundlagen für ein neues System der sozialen Sicherung und wandelte den traditionellen Wohlfahrtsstaat in einen "workfarestate" um. Carolin Wiethoff richtet den Blick auf die Auswirkungen dieser Politik auf die Menschen, die aufgrund einer Erwerbsminderung nicht mehr oder nur noch eingeschränkt arbeiten konnten. Ihre Studie untersucht über einen Zeitraum von 40 Jahren hinweg die soziale Sicherung bei Invalidität und sozialpolitische Initiativen zur beruflichen Rehabilitation. Die beiden Bereiche waren eng miteinander verbunden, weil es den politisch Verantwortlichen in der DDR stets darum ging, möglichst viele Bürger in den Arbeitsprozess zu integrieren und eine dauerhafte Invalidisierung zu vermeiden. Im Mittelpunkt der Untersuchung steht neben dem stellenweise konfliktreichen Zusammenspiel der einzelnen Akteure im Partei-und Staatsapparat die betriebliche Praxis, denn in der DDR war Sozialpolitik besonders stark auf die Betriebe zentriert. Anhand des Eisenhüttenkombinates Ost, einem Schwerpunktbetrieb der DDR, werden die Organisation des betrieblichen Gesundheits- und Sozialwesens und Schwierigkeiten bei der Umsetzung staatlicher Vorgaben deutlich.
Konzepte, nach denen sich die demokratische Mitwirkung der Bürger vornehmlich in Wahlen erschöpft, gehören spätestens seit „Stuttgart 21“ der Vergangenheit an. Indes ist die Bürgerbeteiligung auch jenseits solcher Großprojekte längst zu einem beherrschenden Thema der Zeit herangewachsen. Das gilt zumal für die kommunale Ebene. Dort werden traditionsreiche Partizipationsformen nicht nur intensiv genutzt, sondern zunehmend um neue Beteiligungsvarianten ergänzt und in innovativen Modellprojekten fortentwickelt. Dabei treten zwei Antriebskräfte besonders hervor. Zum einen fordern die Bürger nach den Maximen „Mitmachen, Mitwirken, Mitentscheiden“ deutlich verbesserte Partizipationsmöglichkeiten ein. Zum anderen setzen die Kommunen verstärkt auf bürgerschaftliches Engagement zur Erschließung Ressourcen privater Akteure für die Bereitstellung öffentlicher Leistungen. Übergreifende Perspektive ist die Ausbildung einer Neuen Partizipationskultur in der Bürgerkommune zur Optimierung des Gemeinwohls.
Für die kommunale Praxis ist das partizipationsgestützte Miteinander von Verwaltung. Politik und Bürgerschaft in Systementwürfen, Leitbildern, Organisations- und Verfahrensmodellen sowie lokalen Beteiligungsformaten konkretisiert. Doch verbinden sich mit den alten und neuen Ansätzen der Bürgerbeteiligung noch eine ganze Reihe offener Fragen – so etwa nach den rechtlichen Möglichkeiten und Grenzen der neuen kommunalen Beteiligungskultur, nach Erfolgsbedingungen und konkreten Erfahrungen mit der Umsetzung von Partizipationsmodellen.
Auf der 21. Fachtagung des Kommunalwissenschaftlichen Instituts (KWI) der Universität Potsdam wurden Schlüsselthemen der Neuen Partizipationskultur in der Bürgerkommune, namentlich der normativen Rahmenbedingungen und politischen Direktiven, Modernisierungsimpulse und Aktivierungsstrategien, Erfolgsbedingungen und spezifische Problemlagen einschließlich der Fallstricke in der Praxis und nicht zuletzt ausgewählter Einsatzfelder mit den dazugehörigen Erfahrungen diskutiert.
The Indian Ocean
(2017)
Die digitale Entwicklung durchdringt unser Bildungssystem, doch Schulen sind auf die Veränderungen kaum vorbereitet: Überforderte Lehrer/innen, infrastrukturell schwach ausgestattete Unterrichtsräume und unzureichend gewartete Computernetzwerke sind keine Seltenheit. Veraltete Hard- und Software erschweren digitale Bildung in Schulen eher, als dass sie diese ermöglichen: Ein zukunftssicherer Ansatz ist es, die Rechner weitgehend aus den Schulen zu entfernen und Bildungsinhalte in eine Cloud zu überführen.
Zeitgemäßer Unterricht benötigt moderne Technologie und eine zukunftsorientierte Infrastruktur. Eine Schul-Cloud (https://hpi.de/schul-cloud) kann dabei helfen, die digitale Transformation in Schulen zu meistern und den fächerübergreifenden Unterricht mit digitalen Inhalten zu bereichern. Den Schüler/innen und Lehrkräften kann sie viele Möglichkeiten eröffnen: einen einfachen Zugang zu neuesten, professionell gewarteten Anwendungen, die Vernetzung verschiedener Lernorte, Erleichterung von Unterrichtsvorbereitung und Differenzierung. Die Schul-Cloud bietet Flexibilität, fördert die schul- und fächerübergreifende Anwendbarkeit und schafft eine wichtige Voraussetzung für die gesellschaftliche Teilhabe und Mitgestaltung der digitalen Welt. Neben den technischen Komponenten werden im vorliegenden Bericht ausgewählte Dienste der Schul-Cloud exemplarisch beschrieben und weiterführende Schritte aufgezeigt.
Das in Zusammenarbeit mit zahlreichen Expertinnen und Experten am Hasso-Plattner-Institut (HPI) entwickelte und durch das Bundesministerium für Bildung und Forschung (BMBF) geförderte Konzept einer Schul-Cloud stellt eine wichtige Grundlage für die Einführung Cloud-basierter Strukturen und -Dienste im Bildungsbereich dar. Gemeinsam mit dem nationalen Excellence-Schulnetzwerk MINT-EC als Kooperationspartner startet ab sofort die Pilotphase. Aufgrund des modularen, skalierbaren Ansatzes der Schul-Cloud kommt dem infrastrukturellen Prototypen langfristig das Potential zu, auch über die begrenzte Anzahl an Pilotschulen hinaus bundesweit effizient eingesetzt zu werden.
Kurz vor ihrem sechzigsten Geburtstag ist die europäische Union mit inneren und äußeren Herausforderungen konfrontiert und befindet sich in einer tiefen Krise. Am 1. März 2017 legte Kommissionspräsident Juncker das „Weißbuch über die Zukunft der Europäischen Union“ vor, in dem er verschiedene Szenarien darlegt und zur Diskussion über die anste-henden Entscheidungen einlädt. Diese Papier versteht sich als ein solcher Diskussionsbei-trag.
L'exil comme patrie
(2017)
Die Esche ist nicht nur als Weltenbaum Yggdrasil aus der germanischen Mythologie bekannt. Ihr Holz wird für Möbel, Parkett und Werkzeuge genutzt, und sie ist ein wichtiger Faktor für die Neuaufforstung. Doch die Esche ist vom Aussterben bedroht. Das Eschentriebsterben wird ausgelöst durch einen Pilz (Falsches Weißes Stengelbecherchen) und verursacht ein großflächiges Absterben von Altbeständen und jungen Bäumen in allen Teilen Deutschlands.
Diese umweltsoziologische Untersuchung geht der Frage nach, ob die Diskrepanz zwischen der gesellschaftlichen, ökonomischen und ökologischen Bedeutung dieser Baumgattung und ihrem möglichen Verlust zu gesellschaftlichen Diskussionsprozessen über die Esche und das Eschentriebsterben führt.
Anhand der Wissenssoziologischen Diskursanalyse und der Grounded Theory Method wird gezeigt, dass sich zwar Expertinnen und Experten einig sind, dass die Esche vermutlich aussterben wird, ihre gesellschaftliche Bedeutung jedoch nicht groß genug ist, sodass ihr Aussterben als hinreichend problematisch eingestuft wird und folglich politische Handlungskonsequenzen gefordert werden.
Genisa-Blätter II
(2017)
In den acht Beiträgen der „Genisa-Blätter II“ werden Funde aus verschiedenen fränkischen Genisot vorgestellt. Sie wurden im Rahmen eines interdisziplinären Workshops im Genisaprojekt Veitshöchheim von Nachwuchswissenschaftlerinnen und -wissenschaftlern aus ganz Deutschland bearbeitet. Die edierten Quellen sowie deren Einordnung durch die Autorinnen und Autoren geben vielfältige Einblicke in die Komplexität des historischen Judentums in Franken. Der Schwerpunkt dieser Ausgabe liegt auf Text- und Textilfunden aus dem Bereich der Religion.
Introduction: Adequate cognitive function in patients is a prerequisite for successful implementation of patient education and lifestyle coping in comprehensive cardiac rehabilitation (CR) programs. Although the association between cardiovascular diseases and cognitive impairments (CIs) is well known, the prevalence particularly of mild CI in CR and the characteristics of affected patients have been insufficiently investigated so far.
Methods: In this prospective observational study, 496 patients (54.5 ± 6.2 years, 79.8% men) with coronary artery disease following an acute coronary event (ACE) were analyzed. Patients were enrolled within 14 days of discharge from the hospital in a 3-week inpatient CR program. Patients were tested for CI using the Montreal Cognitive Assessment (MoCA) upon admission to and discharge from CR. Additionally, sociodemographic, clinical, and physiological variables were documented. The data were analyzed descriptively and in a multivariate stepwise backward elimination regression model with respect to CI.
Results: At admission to CR, the CI (MoCA score < 26) was determined in 182 patients (36.7%). Significant differences between CI and no CI groups were identified, and CI group was associated with high prevalence of smoking (65.9 vs 56.7%, P = 0.046), heavy (physically demanding) workloads (26.4 vs 17.8%, P < 0.001), sick leave longer than 1 month prior to CR (28.6 vs 18.5%, P = 0.026), reduced exercise capacity (102.5 vs 118.8 W, P = 0.006), and a shorter 6-min walking distance (401.7 vs 421.3 m, P = 0.021) compared to no CI group. The age- and education-adjusted model showed positive associations with CI only for sick leave more than 1 month prior to ACE (odds ratio [OR] 1.673, 95% confidence interval 1.07–2.79; P = 0.03) and heavy workloads (OR 2.18, 95% confidence interval 1.42–3.36; P < 0.01).
Conclusion: The prevalence of CI in CR was considerably high, affecting more than one-third of cardiac patients. Besides age and education level, CI was associated with heavy workloads and a longer sick leave before ACE.
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(2017)
תקציר
מצוות הפריון הינה אחת מן המצוות החשובות ביהדות ומגדירה במובנים רבים את מהות קיומו של האדם היהודי הדתי. זוגות דתיים אשר סובלים מבעיית פריון נקרעים לא פעם בין מחוייבותם הדתית והלחץ החברתי בקהילתם לבין אי יכולתם להביא ילדים לעולם בדרך טבעית. החל מאמצע המאה ה 20- הפכו טכנולוגיות פריון רפואיות לנגישות לציבור הרחב בישראל ובעולם והובילו למהפכה חברתית אשר אפשרה לזוגות חשוכי ילדים להגשים את חלומם בפעם הראשונה ולהפוך להורים. פריצת דרך רפואית זו לא נעלמה מעיני הציבור הדתי על זרמיו השונים וגרמה לטלטלה בתפיסת עולמם של מנהיגיהם, אשר נדרשו לתת מענה הלכתי הולם המאזן בין רווחת קהילותיהם לבין שמירה על ערכי ומצוות הדת היהודית. על רקע תמורות אלו התפתח שיח הלכתי ואקדמי חשוב ומעניין באשר למקומה של טכנולוגיה מודרנית בחברה המתנהלת על פי קודים מסורתיים. עם זאת, הדיאלוג החי המתקיים בין מנהיגי היהדות לבין קהילותיהם, אשר מתועד כאוסף שאלות ותשובות (שו"ת) לבעיות הלכתיות אקטואליות בתחום הפריון, לא נחקר דיו.
עבודתנו עוסקת במחקר ספרות השו"ת ובגישת פוסקי ההלכה להסתייעות בטכנולוגיית ההזרעה המלאכותית ובטיפולי פוריות חדשניים נוספים שהתפתחו בעקבותיה כגון הפריה חוץ גופית, פונדקאות ותרומת ביציות. העבודה סוקרת את התגבשות ועיצוב ההלכה בשאלה זו, כפי שעולה מספרות השו"ת החל מתקופת הראשונים (המאות ה 11- עד ה- 16 ) ועד לפוסקים מתקופת האחרונים (המאה ה- 16 ואילך), ומתמקדת בעיקר בתקופה המודרנית של המאה האחרונה. במרכז העבודה יעמדו מעמדם ההלכתי של האם והוולד בעקבות שימוש בהזרעה והפריה מלאכותית וכן השלכותיהן ההלכתיות של השימוש הרפואי בזרע.
תרומתו של מחקר זה הינה בהצגת וניתוח התמודדות הפוסקים עם העימות הערכי וההלכתי שמעוררות תמורות במבנה המשפחה ובדפוסי הורות מסורתיים כתוצאה משימוש הולך וגובר בטכנולוגיות פריון מתקדמות בחברה המודרנית. יתר על כן, מחקר זה מרחיב את הדיון ההלכתי אל מעבר לעמדות הפוסקים ביהדות האורתודוקסית, הנצמדים לעקרונות ההלכה ההיסטורית, ומציג לראשונה אף את קשת הדעות של רבנים המשתייכים לזרמי היהדות המתקדמת והקונסרבטיבית, הדוגלים בפיתוח ההלכה והתאמתה למציאות החיים המשתנה. כך, מעניקה עבודת מחקר זו תמונה שלמה ומקיפה יותר באשר להתמודדות הרבנים עם שאלת ההזרעה המלאכותית ומציגה את רב גוניותה של ההלכה כפי שמשתקפת בזרמי היהדות השונים בישראל ובתפוצות.
העבודה מחולקת לשישה חלקים אשר יפורטו בקצרה להלן.
חלק ראשון - מבוא לשאלת ההזרעה המלאכותית בספרות השו"ת
חלק זה מהווה מבוא והקדמה תיאורטית ומחקרית לשאלת ההזרעה המלאכותית ומטרתו לצייד את הקורא ברקע ההיסטורי ובכלים המחקריים הדרושים להמשך העבודה. הפרק הראשון סוקר מצוות דתיות והשקפות תרבותיות בנוגע לילודה בחברה היהודית ואילו הפרק השני מניח יסודות מתודולוגיים והיסטוריים הנחוצים לחקר שאלת ההזרעה המלאכותית בספרות השו"ת.
פרק ראשון - מצוות דתיות והשקפות תרבותיות בנוגע לילודה בחברה היהודית
פרק זה מציג את המשנה האידיאולוגית העומדת בבסיס ההצדקה ההלכתית להתרתם של טיפולי הפוריות. הפרק דן בחשיבות מצוות הפריון כפי שעולה ממקורות הלכתיים קדומים וברקע ההיסטורי והתרבותי למרכזיותה של מצווה זו ומצוות נלוות לה בדת היהודית. הפרק מדגים כיצד עיצבה חשיבות המצווה את דפוס המשפחה היהודית לאורך ההיסטוריה ועד לימינו ומסתיים בדיון קצר בשאלות רפואיות מוסריות העולות מהנגשת טכנולוגיות פריון מתקדמות במדינת ישראל המודרנית.
פרק שני - יסודות מתודולוגיים והיסטוריים בחקר שאלת ההזרעה המלאכותית בספרות השו"ת
בפרק זה מוצגים תחילה מטרות ושיטות המחקר אשר נבחרו לשם ניתוח הפסיקה בשאלת ההזרעה המלאכותית. מכיוון שהעבודה עוסקת בשאלה רפואית חדשנית והשפעתה על העולם הדתי, יערך מחקר זה תוך שימוש בניתוח רב מימדי המשלב מספר שיטות מחקר ובראשן השיטה הדוגמטית-היסטורית, כמו גם בניתוח ביקורתי של שיקולי המדיניות העומדים בבסיס שיקולי הפוסקים לפי אסוכלת הריאליזים ההלכתי. לאחר מכן נסקרים ונידונים המקורות ההיסטוריים העיקריים אשר עוסקים בהתעברות על טבעית באמבט או באמצעות שכיבה על סדינים והעומדים בבסיס הכרעות הפוסקים בהשלכות הזרעה מלאכותית על מעמדם ההלכתי של האישה והילוד.
חלק שני- ספרות השו"ת האורתודוקסית בשאלת הזרעה מלאכותית מן הבעל
חלקו שני של המחקר עוסק בניתוח ספרות השו"ת האורתודוקסית בשאלת הזרעה מלאכותית מן הבעל ובוחן את התפתחותו הרעיונית של איסור השחתת זרע ואת עמדות הפוסקים בשאלת הזרעה מלאכותית מן הבעל כפי שנידונה בספרות השו"ת.
פרק ראשון - התפתחותו הרעיונית של איסור השחתת זרע
בפרק זה נסקרים מקורותיו ההיסטוריים של האיסור להשחתת זרע. איסור זה נושק לכל תחומי חייו של הזוג הדתי ובעיקר לתחום המיניות והפריון ובעל השפעה מהותית על מגבלות הצניעות שהוחלו בעקבותיו על המיניות הגברית. קיים ויכוח בין החוקרים האם נובע האיסור מן המקורות העתיקים כגון התלמוד או לחילופין התעצם בעקבות החמרות הרבנים. מחקרינו מציע כי האפשרות השניה היא הסבירה יותר. חכמי התלמוד מפגינים גישה מקלה כלפי האיסור אך מביעים סלידה מהוצאת זרע לבטלה מתוך חשיבה חסידית או אמונה כי עיסוק בעינוג מיני עצמי עלול להסיט את האדם מקיום מצוות הפריון. לעומת זאת, בספרות הקבלה ובמיוחד בזוהר ניכרת החמרה במימדי האיסור החודרת מאוחר יותר אל עולם ההלכה.
פרק שני - דיון בהזרעה מן הבעל בספרות השו"ת
הפרק דן בפסיקותיהם של רבנים בולטים בזרם האורתודוקסי בשאלת ההזרעה מן הבעל. בספרות השו"ת האורתודוקסית ניכרת השפעתו של איסור הוצאת זרע לבטלה על שיקולי הפוסקים באם להתיר את הטיפול בהזרעה מלאכותית מן הבעל. פוסקים מקלים כגון הרבנים פיינשטיין, נבנצל ויוסף מייחסים משקל רב יותר לחשיבות מצוות הפריון ומצמצמים בשל כך את תחולת האיסור. לעומתם, פוסקים מחמירים ובראשם הרבנים טננבוים, קוק, עוזיאל, הדאיה ולדנברג מתנגדים לטיפולי פוריות מחשש השחתת זרע ובשל השלכותיה הרוחניות של העבירה על האיסור. שאלה מהותית נוספת בשיח ההלכתי בה נחלקו הרבנים הינה באשר לאפשרות קיומה של מצוות הפריה והרביה באמצעות הריון שהושג בסיוע רפואי. פוסקים מדור האחרונים, כגון הרבנים טננבוים, סגל ואזולאי (החיד"א), ובעקבותיהם פוסקים בולטים במאה ה- 20 וה- 21 כמו הרבנים עוזיאל, הדאיה, ולדנברג וקניבסקי סברו כי ניתן לקיים את המצווה באופן טבעי בלבד. לעומת זאת, הרבנים נבנצל, יוסף, וינברג ואוירבך ייחסו חשיבות רבה יותר לכוונת העושה ולתוצאה המיוחלת של ההריון אשר מגשימה לדעתם את הרציונל העומד בבסיס מצוות הפרייה הרבייה ובמצוות ישוב העולם.
שאלה נוספת המתעוררת בעניין הזרעה מן הבעל ונידונה בפרק זה עוסקת בבעיית העקרות ההלכתית. התעקשות הרבנים לשמור על הלכות הנידה במתכונתן המסורתית חושפת נשים דתיות לאי ודאות באשר לטהרתן ומכפיפה את חיי המין והפריון של משפחות שלמות למרות הסמכות הרבנית.
חלק שלישי- ספרות השו"ת האורתודוקסית בשאלת הזרעה מלאכותית מתורם
חלקו השלישי של המחקר עוסק בדיון ההלכתי האורתודוקסי בשאלת ההזרעה המלאכותית מתורם יהודי או נוכרי לאישה נשואה. מרבית הפוסקים הסתייגו מתרומת זרע לאישה נשואה מתורם יהודי כמו גם מנוכרי משיקולים הלכתיים ואידיאולוגיים.
פרק ראשון - שאלת ההזרעה המלאכותית מתורם יהודי
תרומת זרע מתורם יהודי זר מעלה חששות הלכתיים רבים לגבי מעמדה ההלכתי של האישה כגון ניאוף וקיום מצוות הייבום והחליצה. כמו כן הועלו חששות לגבי יחוסו וכשרותו ההלכתית של הקטין כגון חשש ממזרות, גילוי עריות בין ילדי התורם, פגיעה במעמד הכהונה ובעיות בתחום המעמד האישי בשל אי ודאות לגבי זהות התורם. בנוסף, משליכה הכרעה בשאלות אלה על זכאות הקטין לזכויות סוציאליות המגיעות לו מאביו, כגון הזכות למזונות ולירושה. פסיקת ההלכה במאה האחרונה אימצה את עמדתו של הרב פיינשטיין, לפיה רק הריון הנובע ממגע מיני ישיר בין אישה נשואה לגבר זר, בניגוד להזרעה מלאכותית, יכול לפגוע במעמד האישה והילוד. עם זאת, פוסקים רבים אסרו לבצע הזרעה מלאכותית מגבר יהודי מטעמי זהירות, בגין חששות אלו.
פרק שני - הזרעה מלאכותית מתורם לא יהודי לאישה נשואה
על אף שבמקרה של תרומת זרע מנוכרי נעדר הילוד יחוס לאביו הנוכרי וכשרותו נקבעת על פי מעמד האם בלבד, מסתייגים פוסקים רבים מן הפעולה. הפוסקים מונים טיעונים רבים לאיסור תרומת זרע מגבר נוכרי וביניהם חילול השם, פגיעה בביצוע מנהג הייבום והחליצה, ספקות לגבי זכויות הירושה, עידוד ההפקרות המינית ופגיעה ביציבות התא המשפחתי המסורתי. בנוסף חוששים הם מבלבול לגבי זהות אבי הילוד ופגיעה במעמד הכהונה. במהלך המאה ה- 20 ניכרת מגמה בקרב פוסקים העוסקים בקבלה לייחוס תכונות שליליות לזרע נוכרי, אשר עוברות לילוד ובאופן זה פוגעות בקדושת העם היהודי. מעבר לשאלות ההלכתיות מועלים בפרק זה קשיים אתיים אשר מעוררת תרומת זרע אנונימית, המונעת מן הילוד לברר את שורשיו הביולוגיים.
חלק רביעי- יחס הפסיקה האורתודוקסית לשינויים במבנה המשפחה המסורתית
בעקבות שימוש בטכנולוגיות פריון חלק זה מנתח את יחס הפסיקה האורתודוקסית לשינויים במבנה המשפחה המסורתית בעקבות שימוש בטכנולוגיות פריון ומורכב משלושה פרקים: הזרעה מלאכותית לאישה פנויה, הפריה חוץ גופית והקמת משפחה אלטרנטיבית בפרספקטיבה הלכתית אורתודוקסית.
פרק ראשון - הזרעה מלאכותית לאישה פנויה
המוסכמה ההלכתית הינה כי ילדה של אישה פנויה לא ייחשב לממזר, אפילו אם אביו הביולוגי הוא יהודי. למרות זאת אסרו פוסקים מסויימים על הזרעה מלאכותית במקרה זה בגין חששות לייחוס הילוד, גילוי עריות וגזילת ירושת שאר האחים. חלק מן הפוסקים קוראים לאסור הזרעה מלאכותית לאישה פנויה בשם טובת הילד ולא מסיבות הלכתיות. אפשרות נוספת אשר השלכותיה ההלכתיות נידונות בפרק זה הינה ביצוע הזרעה מלאכותית באישה רווקה או אלמנה באמצעות שימוש בזרעו של אדם שנפטר. חשוב לציין כי השימוש בטכנולוגיה זו שנוי במחלוקת בקרב הרבנים בגין החשיבות אותה מייחסת היהדות לערך כבוד המת.
פרק שני - הפריה חוץ גופית
הפריית מבחנה יכולה להתבצע בין בני זוג נשואים בסיוע או ללא היזקקות לתרומת ביצית או זרע. פוסקים אשר התירו את השימוש בטכנולוגיה זו הביעו את חששותיהם בנוגע להשלכותיה ההלכתיות של הפריה החוץ גופית בשל הקושי לפקח על התהליך, הנעשה מחוץ לגוף האדם. מתנגדי הפריית המבחנה סברו כי היא מתערבת במלאכת הבריאה האלוהית ועשויה לדרדר את האנושות מבחינה מוסרית לתכנון ולשיבוט בני אדם.
הפריה חוץ גופית מעוררות שאלות הלכתיות חדשניות ובראשן שאלת הגדרת האמהות, כגון במקרי פונדקאות ותרומת ביציות, מהן הסתייגו מרבית פוסקי הדור במאה ה 20- . הקביעה שאומצה בשיח ההלכתי העכשווי גורסת כי אמו של התינוק תהיה האישה שילדה אותו, גם אם נולד מתרומת ביצית. הכרעה זו מובלעת ברציונל החוקים המסדירים את הפונדקאות במדינת ישראל ואשר מטילים מגבלות הלכתיות על בחירת הפונדקאית לשם מניעת חשש ממזרות או שאלה לגבי יהדותו של הילוד.
פרק שלישי - הקמת משפחה אלטרנטיבית בפרספקטיבה הלכתית אורתודוקסית
קיימת בעיה הלכתית מהותית במיסוד הקשר החד-מיני ביהדות האורתודוקסית. ספרות השו"ת האורתודוקסית אינה עוסקת במפורש בשאלת השימוש בהזרעה מלאכותית לצורך הקמת המשפחה החד- מינית. עם זאת, ניתן ללמוד רבות על גישת האורתודוקסיה משו"תים עכשוויים העוסקים בתופעת ההומוסקסואליות ובקיום מצוות הפריון במקרה זה. הדעה הרווחת היום בקרב הפוסקים הינה כי קשר חד- מיני אסור, כמו גם מיסודו וקיום מצוות פרו ורבו במסגרת זו. בשל כך ניתן להסיק כי הרבנים לא יתירו שימוש בהזרעה מלאכותית לצורך קיום מצוות הפריון במשפחה חד-מינית.
חלק חמישי- עמדת רבני הזרם רפורמי והקונסרבטיבי בשאלת ההזרעה המלאכותית
חלק זה מתמקד בזרמי היהדות הרפורמית והקונסרבטיבית ומציג את עמדות רבני זרמים אלו בעניין ההזרעה המלאכותית תוך עימותן עם עמדות פוסקים אורתודוקסיים.
פרק ראשון - עמדת הרבנות הרפורמית בשאלת ההזרעה המלאכותית
חשיבות מצוות הפריון מודגשת בספרות השו"ת הרפורמית, אולם טיפולי פוריות אינם מתפרשים כדרך היחידה לקיומה. על מנת שלא לפגוע במרקם החיים המשפחתי מוצעת לא אחת חלופת האימוץ לטיפולי פוריות מייגעים, תרומת זרע והיזקקות לפונדקאות ותרומת ביציות. שאלת השחתת הזרע, המעסיקה רבות את רבני הזרם האורתודוקסי, כמעט שאינה נידונה על ידי רבני הזרם הרפורמי. באשר לשאלות של כשרות וייחוס, רווחת הדעה בקרב רבנים רפורמיים בולטים כגון הרב הומולקה ורומיין, כי מעמד הממזרות איננו רלוונטי עוד בימינו ולכן ממילא לא נשקפת לילד הסכנה שזכויותיו הדתיות ייפגעו.
ועד הרבנים הרפורמיים התיר לחבריו לפעול לפי שיקול דעתם בעניין עריכת טקס נישואין דתי בין בני זוג בני אותו המין, תוך הדגשת הויכוח הפנימי בתנועה ומורת הרוח הקיימת מצד הזרמים האחרים ביהדות.
פרק שני - עמדת הרבנות הקונסרבטיבית בשאלת ההזרעה המלאכותית
עמדת רבני היהדות הקונסרבטיבית גורסת כי טיפולי פוריות מהווים רשות, אך אינם בגדר חובה עבור זוגות הרוצים לקיים את מצוות הפריה והרבייה ומתקשים בכך. בדומה לביטולה של גזירת הממזרות בזרם הרפורמי, בוטל מעמד זה לאחרונה גם ביהדות הקונסרבטיבית. אוננות במסגרת טיפולי פוריות הינה מותרת ואיננה מוגדרת כהשחתת זרע לבטלה ואף מותרת גם לשם תרומת זרע של יהודי לאישה לא יהודיה. כמו בזרם הרפורמי גם כאן מונחת אופציית האימוץ על סדר היום.
כנסת הרבנים הקונסרבטיבים בארצות הברית קיבלה החלטה ברוב זעום להכרה אזרחית בהומוסקסואלים, אך עם זאת השאירה על כנו את האיסור לקדש זוגות אלה. אין בהחלטה זו הכרה הלכתית בזוגיות החד-מינית אלא קבלתם החברתית של זוגות אלה ועידודם להשתלב בקהילות הקונסרבטיביות.
חלק שישי - סיכום ודיון בהשלכות המחקר
בחלקו השישי והאחרון בעבודת מחקר זו נסכם ונדון בהשלכותיה האתיות והגלובליולת של הפסיקה ההלכית בשאלה הנידונה.
כפי שניתן לראות מעבודת מחקר זו, הרבנים האורתודוקסיים מסתמכים בהכרעותיהם בעיקר על שיקולים הלכתיים ופחות על שיקולים אתיים ואוניברסליים. מחד, מסתייגים פוסקים אורתודוקסיים מסויימים משימוש לרעה בטיפולי פוריות, אך מאידך מוכנים הם בשם עקרונות דתיים להתיר שימוש בטכנולוגיות אלו במקרים שאינם מצריכים זאת משיקולים רפואיים. במיוחד בולט העדר התייחסותם של הפוסקים האורתודוקסיים לשיקולים מוסריים חברתיים, כמו גם לרצונה ולרווחתה של האישה העוברת טיפולי פוריות. לעומתם מביעים רבני הזרם הרפורמי והקונסרבטיבי את דאגתם להשלכותיהם של טיפולים אלו על נשים הנזקקות להתערבות רפואית מעין זו לשם התעברות ואלו העובדות בתעשיית הפריון. יש לציין כי הדיון ההלכתי עוסק בהיבט צר בלבד של שאלת ההזרעה המלאכותית ואינו נוגע ברבות מן השאלות המורכבות שמעוררות טכנולוגיות פריון מתקדמות. עם זאת הדיון ההלכתי הינו חשוב ביותר ומציף אף שאלות נוספות בדבר הסכנה הצפויה מהפיכתן של טכנולוגיות אלה לכלי שרת בידי אידאולוגיות דתיות או פוליטיות.