Refine
Year of publication
- 2010 (1445) (remove)
Document Type
- Article (817)
- Doctoral Thesis (248)
- Monograph/Edited Volume (188)
- Review (54)
- Postprint (49)
- Conference Proceeding (25)
- Part of Periodical (18)
- Preprint (16)
- Master's Thesis (10)
- Other (6)
- Working Paper (5)
- Part of a Book (4)
- Habilitation Thesis (2)
- Moving Images (2)
- Lecture (1)
Language
- English (705)
- German (686)
- Spanish (21)
- French (13)
- Italian (9)
- Multiple languages (9)
- Polish (1)
- Portuguese (1)
Keywords
- Deutschland (20)
- Germany (19)
- Poland (18)
- Polen (18)
- Integration (17)
- Consolidation (15)
- European Union (15)
- Europäische Union (15)
- Vertiefung (15)
- Humboldt und Hispanoamerika (5)
Institute
- Institut für Biochemie und Biologie (162)
- Institut für Romanistik (103)
- Institut für Chemie (95)
- Institut für Geowissenschaften (90)
- Institut für Physik und Astronomie (90)
- Historisches Institut (80)
- Wirtschaftswissenschaften (76)
- Institut für Informatik und Computational Science (59)
- Institut für Jüdische Studien und Religionswissenschaft (54)
- Department Linguistik (52)
Dorothea M. Salzer untersucht die Verwendung von Bibelzitaten und -anspielungen in den hebraeischen und aramaeischen magischen Texten, die sich unter den aus der Kairoer Geniza geborgenen Handschriften finden. Die Texte datieren in die Zeit vom 10. bis zum 16. Jh. Anspielungen auf die Hebraeische Bibel spielen in fast allen diesen magischen Texten eine wichtige Rolle, sind aber bisher niemals Gegenstand einer grundlegenden und umfassenden Analyse gewesen. Vor dem Hintergrund der Intertextualitaetstheorie stellt die Autorin dar, wie die Verfasser der Texte biblische Zitate und andere Anspielungen zu magischen und rhetorischen Zwecken einsetzten und sie als magisch wirksames Mittel verwendeten. Sie erlaeutert damit, inwiefern diese Anspielungen fuer das Verstaendnis der magischen Texte bedeutsam sind. In einem Anhang werden die in den untersuchten Texten auftretenden biblischen Anspielungen uebersichtlich dargestellt.
Städtisches Realgymnasium
(2010)
Städtische Oberrealschule
(2010)
Große Stadtschule
(2010)
Schier, K., Die Bestandskraft staatskirchenrechtlicher Verträge; Duncker & Humblot, Berlin, 2009
(2010)
Eye-movement control during scene viewing can be represented as a series of individual decisions about where and when to move the eyes. While substantial behavioral and computational research has been devoted to investigating the placement of fixations in scenes, relatively little is known about the mechanisms that control fixation durations. Here, we propose a computational model (CRISP) that accounts for saccade timing and programming and thus for variations in fixation durations in scene viewing. First, timing signals are modeled as continuous-time random walks. Second, difficulties at the level of visual and cognitive processing can inhibit and thus modulate saccade timing. Inhibition generates moment-by-moment changes in the random walk's transition rate and processing-related saccade cancellation. Third, saccade programming is completed in 2 stages: an initial, labile stage that is subject to cancellation and a subsequent, nonlabile stage. Several simulation studies tested the model's adequacy and generality. An initial simulation study explored the role of cognitive factors in scene viewing by examining how fixation durations differed under different viewing task instructions. Additional simulations investigated the degree to which fixation durations were under direct moment-to-moment control of the current visual scene. The present work further supports the conclusion that fixation durations, to a certain degree, reflect perceptual and cognitive activity in scene viewing. Computational model simulations contribute to an understanding of the underlying processes of gaze control.
Synthesis of stimuli-responsive and switchable inorganic nanoparticles for biomedical applications
(2010)
3,4-Dihydro-2-H-pyran and oxalyl chloride react, depending on the conditions, to keto esters, a pyran-3- carboxylic acid or derivatives thereof, or to an hitherto unknown bicyclic acetal containing a vinyl chloride moiety. The structure of the latter product has been unambiguously elucidated by single-crystal X-ray structure analysis. A mechanism for its formation is proposed.
Intramolecular deactivation processes in complexes of salicylic acid or glycolic acid with Eu(III)
(2010)
The complexation of Eu(III) by 2-hydroxy benzoic acid (2HB) or glycolic acid (GL) was investigated using steady- state and time-resolved laser spectroscopy. Experiments were carried out in H2O as well as in D2O in the temperature range of View the MathML source. The Eu(III) luminescence spectra and luminescence decay times were evaluated with respect to the temperature dependence of (i) the luminescence decay time ;, (ii) the energy of the View the MathML source transition, (iii) the width of the View the MathML source transition, and (iv) the asymmetry ratio calculated from the luminescence intensities of the View the MathML source and View the MathML source transition, respectively. The differences in ligand-related luminescence quenching are discussed. Based on the temperature dependence of the luminescence decay times an activation energy for the ligand-specific non-radiative deactivation in Eu(III)-2HB or Eu(III)-GL complexes was determined. It is stressed that ligand-specific quenching processes (other than OH quenching induced by water molecules) need to be determined and considered in detail, in order to extract speciation- relevant information from luminescence data (e.g., estimation of the number of water molecules nH2O in the first coordination sphere of Eu(III)). In case of 2HB, conclusions drawn from the evaluation of the Eu(III) luminescence are compared with results of a X-ray structure analysis.
Special p-forms are forms which have components phi_{mu_1...mu_p} equal to +1,-1 or 0 in some orthonormal basis. A p-form phiin Lambda^p R^d is called democratic if the set of nonzero components {phi_{mu_1...mu_p}} is symmetric under the transitive action of a subgroup of O(d,Z) on the indices {1,...,d}. Knowledge of these symmetry groups allows us to define mappings of special democratic p-forms in d dimensions to special democratic P-forms in D dimensions for successively higher P geq p and D geq d. In particular, we display a remarkable nested stucture of special forms including a U(3)-invariant 2-form in six dimensions, a G_2-invariant 3-form in seven dimensions, a Spin(7)- invariant 4-form in eight dimensions and a special democratic 6-form Omega in ten dimensions. The latter has the remarkable property that its contraction with one of five distinct bivectors, yields, in the orthogonal eight dimensions, the Spin(7)-invariant 4-form. We discuss various properties of this ten dimensional form.
Der Aufsatz befasst sich mit der Frage, was man aus der internationalen Forschung darüber weiß, welcher Unterricht und welches Lehrerverhalten Auswirkungen auf die Lernergebnisse der Schüler/innen hat und welche Möglichkeiten es gibt, solches Verhalten zu verstärken. Berücksichtigt werden nur Forschungsergebnisse, die hohen methodischen Anforderungen genügen, kausale Schlussfolgerungen erlauben und generalisierbar sind. Konsequenzen für die Lehrerbildung werden diskutiert. #81zISSN: 784260, Hopf, Diether, dhopf@uni-potsdam.de Es gibt eine wesentlich ausführlichere Langfassung hierzu, die zeitgleich mit dem genannten Aufsatz von der Zeitschrift ins Netz gestellt worden ist unter der Adresse: http://www.dds.uni-hannover.de/fileadmin/schulentwicklungsforschung/ H3_10_09_Hopf_Erfolgreiches_Lehren_Langfassung_Web.pdf
One of the earliest categorical distinctions to be made by preverbal infants is the animate-inanimate distinction. To explore the neural basis for this distinction in 7-8-month-olds, an equal number of animal and furniture pictures was presented in an ERP-paradigm. The total of 118 pictures, all looking different from each other, were presented in a semi-randomized order for 1000 ms each. Infants' brain responses to exemplars from both categories differed systematically regarding the negative central component (Nc: 400-600 ms) at anterior channels. More specifically, the Nc was enhanced for animals in one subgroup of infants, and for furniture items in another subgroup of infants. Explorative analyses related to categorical priming further revealed category-specific differences in brain responses in the late time window (650-1550 ms) at right frontal channels: Unprimed stimuli (preceded by a different-category item) elicited a more positive response as compared to primed stimuli (preceded by a same-category item). In sum, these findings suggest that the infant's brain discriminates exemplars from both global domains. Given the design of our task, we conclude that processes of category identification are more likely to account for our findings than processes of on-line category formation during the experimental session.
Ecologists carry a well-stocked toolbox with a great variety of sampling methods, statistical analyses and modelling tools, and new methods are constantly appearing. Evaluation and optimisation of these methods is crucial to guide methodological choices. Simulating error-free data or taking high-quality data to qualify methods is common practice. Here, we emphasise the methodology of the 'virtual ecologist' (VE) approach where simulated data and observer models are used to mimic real species and how they are 'virtually' observed. This virtual data is then subjected to statistical analyses and modelling, and the results are evaluated against the 'true' simulated data. The VE approach is an intuitive and powerful evaluation framework that allows a quality assessment of sampling protocols, analyses and modelling tools. It works under controlled conditions as well as under consideration of confounding factors such as animal movement and biased observer behaviour. In this review, we promote the approach as a rigorous research tool, and demonstrate its capabilities and practical relevance. We explore past uses of VE in different ecological research fields, where it mainly has been used to test and improve sampling regimes as well as for testing and comparing models, for example species distribution models. We discuss its benefits as well as potential limitations, and provide some practical considerations for designing VE studies. Finally, research fields are identified for which the approach could be useful in the future. We conclude that VE could foster the integration of theoretical and empirical work and stimulate work that goes far beyond sampling methods, leading to new questions, theories, and better mechanistic understanding of ecological systems.
A series of nitrogen ligand (L)/copper complexes of the type [(CuL)-L-I](+), [(CuL)-L-II(X)](+) and [(CuL2)-L- I](+) (X = Cl-, BF4-, acac(-), CH3COO- and SO3CF3-) was studied in the gas phase by electrospray ionization mass spectrometry. The following ligands (L) were employed: 1,12-diazaperylene (dap), 1,1'-bisiso-quinoline (bis), 2,2'-bipyridine (bpy), 1,10-phenanthroline (phen), 2,11-disubstituted 1,12-diazaperylenes (dap), 3,3'- disubstituted 1,1'-bisisoquinoline (bis), 5,8-dimethoxy-substituted diazaperylene (meodap), 6,6'-dimethoxy- substituted bisisoquinoline (meobis) and 2,9-dimethyl-1,10-phenanthroline (dmphen). Collision-induced decomposition measurements were applied to evaluate the relative stabilities of the different copper complexes. The influence of the spatial arrangement of the ligands, of the type of substituents and of the counter ion of the copper salts employed for the complexation was examined. Correlations were found between the binding constants of the [ML2](+) complexes in solution and the relative stabilities of the analogous complexes in the gas phase. Furthermore, complexation with the ligands 2,11-dialkylated 1,12-diazaperylenes [alkyl = ethyl (dedap) and isopropyl (dipdap)] was studied in the solvents CH3OH and CH3CN.
In terms of the constructivist-orientated sociology of knowledge the social change of Christian religion turns out to be a reconstruction of central forms of knowledge. Mission and Ecumenism are two cornerstones of development This will be demonstrated using, Protestantism as an example. While the recourse on the notion of mission is enabling Christian religion to objectify itself as an integrative world religion against its societal environment, the Ecumenical leitmotif focuses on the denominational fragmented inner relations. Thereby Mission and Ecumenism are not only acting as semantics of,self-description. As distinct knowledge systems they are also standing for a programmatic change of the theological reservoir of knowledge.
We consider the suppression of spatiotemporal chaos in the complex Ginzburg-Landau equation by a combined global and local time-delay feedback. Feedback terms are implemented as a control scheme, i.e., they are proportional to the difference between the time-delayed state of the system and its current state. We perform a linear stability analysis of uniform oscillations with respect to space-dependent perturbations and compare with numerical simulations. Similarly, for the fixed-point solution that corresponds to amplitude death in the spatially extended system, a linear stability analysis with respect to space-dependent perturbations is performed and complemented by numerical simulations.
We investigate the characteristics of time-delay systems in the presence of Gaussian noise. We show that the delay time embedded in the time series of time-delay system with constant delay cannot be estimated in the presence noise for appropriate values of noise intensity thereby forbidding any possibility of phase space reconstruction. We also demonstrate the existence of complete synchronization between two independent identical time-delay systems driven by a common noise without explicitly establishing any external coupling between them.
Light switching of the activity of a coiled-coil protein, the AP-1 transcription factor, in living cells was made possible by the introduction of a designed azobenzene-cross-linked dominant negative peptide, XAFosW (red and yellow in the picture). In the dark, XAFosW showed decreased helical content and decreased affinity for target Jun proteins (green); irradiation at 365 nm enhanced helicity and target affinity.
Objectives: This study investigated the psychological as well as neuroendocrine stress response across one week before an important sport competition, introducing the cortisol awakening response (CAR) to sport psychological research. Methods: On three days in the week before the German Nationals, martial artists (N = 17) reported their competitive state anxiety and collected five samples of salivary cortisol during the first hour after awakening. Results: Hierarchic-linear models and multiple regressions were conducted. Despite a significant rise in "somatic anxiety" (p < .05), the increment of CAR across the week remained non-significant. A moderator function of competitive anxiety on the released amount of cortisol in the morning was not found significant. Results did not show any significant regression of changes in the neuroendocrine response on changes in state anxiety. Conclusion: Non- significant increments of CAR with a closer proximity to the competition may be interpreted as a possible habituation of basal hypothalamus-pituitary-adrenal activity. Moreover, athletes appear to have a lower CAR than found in norm studies, which points to further investigation of interindividual and situational effects on the temporal pattern of the neuroendocrine response to sport competitions.
Genexpression in Plastiden: Funktionen plastidärer Introns und Produktion Zellwand-abbauender Enzyme
(2010)
Transport von Proteinen und mikro RNAs im Pholoem von Brassica napus und Arabidopsis thaliana
(2010)
e movements during the reading of multi-line pages of texts were analyzed to determine the trajectory of reading saccades. The results of two experiments showed that the trajectory of the majority of forward-directed saccades was negatively biased, i.e., the trajectory fell below the start and end location of the saccadic movement. This is attributed to a global top-to-bottom orienting of attention. The curvature size and the proportion of negative trajectories were diminished when linguistic processing demands were high and when the beginning lines of a page were read. Longer pre-saccadic fixations also yielded smaller saccadic curvatures, and they resulted in fewer negatively curved forward-directed saccades in Experiment 1 although not in Experiment 2. These findings indicate that the top-to- bottom pull of saccadic trajectories is modulated by processing demands and processing opportunities. The results are in general agreement with a time-locked attraction-inhibition hypothesis, according to which the horizontal movement component of a saccade is initially subject to an automatic top-to-bottom orienting of attention that is subsequently inhibited.
Until well into the twentieth century, Jews and Christians had no mutual basis for discourse. The Christian- Jewish dialogue and the rapprochement between the Holy See and the State of Israel are owed in essence to feelings of shame regarding the Shoah. The Second Vatican Council and the pontificate of John Paul II signified substantial breakthroughs. Since then, though, the sense of guilt has eased, and the Roman Catholic Church's awareness of the injustice of its role as fellow traveller to, and henchman of, the Third Reich has diminished. Under the current Pope, Benedict XVI, the relationship between Jews and Catholics has noticeably deteriorated. After five years of his pontificate, Joseph Ratzinger has lost a great deal of trust, and not only among Jews.
Eye movements in reading are sensitive to foveal and parafoveal word features. Whereas the influence of orthographic or phonological parafoveal information on gaze control is undisputed, there has been no reliable evidence for early parafoveal extraction of semantic information in alphabetic script. Using a novel combination of the gaze- contingent fast-priming and boundary paradigms, we demonstrate semantic preview benefit when a semantically related parafoveal word was available during the initial 125 ms of a fixation on the pretarget word (Experiments 1 and 2). When the target location was made more salient, significant parafoveal semantic priming occurred only at 80 ms (Experiment 3). Finally, with short primes only (20, 40, 60 ms), effects were not significant but were numerically in the expected direction for 40 and 60 ms (Experiment 4). In all experiments, fixation durations on the target word increased with prime durations under all conditions. The evidence for extraction of semantic information from the parafoveal word favors an explanation in terms of parallel word processing in reading.
Selective adenosine A1 receptor antagonists targeting renal microcirculation are novel pharmacologic agents that are currently under development for the treatment of acute heart failure as well as for chronic heart failure. Despite several studies showing improvement of renal function and/or increased diuresis with adenosine A1 antagonists, particularly in chronic heart failure, these findings were not confirmed in a large phase III trial in acute heart failure patients. However, lessons can be learned from these and other studies, and there might still be a potential role for the clinical use of adenosine A1 antagonists. We review the role of adenosine A1 receptors in the regulation of renal function, and emerging data regarding the safety and efficacy of A1 adenosine receptor antagonists based on all available completed and reported clinical trials using A1 adenosine receptor antagonists. The majority of trials were done in heart failure patients. However, there is clear clinical evidence for a role of this new class in hepatorenal syndrome, hypotension on dialysis, and radiocontrast media-induced nephropathy.
Objective: The prevalence of unknown impaired fasting glucose (IFG), impaired glucose tolerance (IGT), or type 2 diabetes mellitus (T2DM) is high. Numerous studies demonstrated that IFG, IGT, or T2DM are associated with increased cardiovascular risk, therefore an improved identification strategy would be desirable. The objective of this study was to create a simple and reliable tool to identify individuals with impaired glucose metabolism (IGM). Design and methods: A cohort of 1737 individuals (1055 controls, 682 with previously unknown IGM) was screened by 75 g oral glucose tolerance test (OGTT). Supervised machine learning was used to automatically generate decision trees to identify individuals with IGM. To evaluate the accuracy of identification, a tenfold cross-validation was performed. Resulting trees were subsequently re-evaluated in a second, independent cohort of 1998 individuals (1253 controls, 745 unknown IGM). Results: A clinical decision tree included age and systolic blood pressure (sensitivity 89.3%, specificity 37.4%, and positive predictive value (PPV) 48.0%), while a tree based on clinical and laboratory data included fasting glucose and systolic blood pressure (sensitivity 89.7%, specificity 54.6%, and PPV 56.2%). The inclusion of additional parameters did not improve test quality. The external validation approach confirmed the presented decision trees. Conclusion: We proposed a simple tool to identify individuals with existing IGM. From a practical perspective, fasting blood glucose and blood pressure measurements should be regularly measured in all individuals presenting in outpatient clinics. An OGTT appears to be useful only if the subjects are older than 48 years or show abnormalities in fasting glucose or blood pressure.
Aim: The aim of this cross-sectional study was to assess the frequency of tendinopathy-typical Doppler sonographic changes in the Achilles tendons of long distance runners and to correlate these findings with anamnestic and anthropometric data of the subjects. Materials and Methods: 1906 Achilles tendons of 953 long distance runners were examined by ultrasound and power Doppler (Toshiba Aplio SSA-770A/80 12 MHz). Ultrasound images (spindle-shaped thickening, hypoechoic/hyperechoic lesions, neovascularizations) were analyzed in relation to the runners' anthropometrical data and history of Achilles tendon complaints. Results: In asymptomatic runners as well as in the overall group, there was a statistically significant correlation between tendon thickness and age, height and weight (CC 0.24 - 0.38, p < 0.001). Runners with current or healed Achilles tendon complaints displayed a statistically significant thickening of the tendons, as well as an increase in hypoechoic lesions and neovascularizations (p < 0.001). While grayscale abnormalities were rarely found in asymptomatic runners (< 10%), neovascularization was detected in 35% of healthy test persons using the high-resolution power Doppler "Advanced Dynamic Flow". Conclusion: Contrary to frequent assumption, neovascularization is often found in tendons of asymptomatic runners, using modern power Doppler equipment. The pathological relevance of single microvessels in asymptomatic tendons must, therefore, be critically discussed.
Explaining the presence of normal faults in overall compressive settings is a challenging problem in understanding the tectonics of active mountain belts. The Himalayan-Tibetan orogenic system is an excellent setting to approach this problem because it preserves one of the most dramatic records of long-term, contemporaneous shortening and extension. Over the past decades, several studies have described extensional features, not only in the Tibetan Plateau, but also in the Himalaya. For a long time, the favored model explained the function of the Southern Tibetan detachment system, a major fault zone in the Himalaya, as a decoupling horizon between the regime of crustal shortening forming the Himalayan wedge to the south and the extensional regime of the Tibetan Plateau to the north. However, in recent years, increasing evidence has shown that N-S-trending normal faults in the Central Himalaya crosscut not only the Southern Tibetan detachment system, but also the Main Central thrust. Here, we present new structural data and geologic evidence collected within the NW Indian Himalaya and combine them with previously published seismicity data sets in order to document pervasive E-W extension accommodated along N-S-trending faults extending as far south as the footwall of the Main Central thrust. We conducted a kinematic analysis of fault striations on brittle faults, documented and mapped fault scarps in Quaternary sedimentary deposits using satellite imagery, and made field observations in the Greater Sutlej region (Spiti, Lahul, Kinnaur) and the Garhwal Himalaya. Studies of extensional features within the regionally NW- SE-trending NW Indian Himalaya provide the advantage that arc-parallel and E-W extension can be separated, in contrast to the Central Himalaya. Therefore, our observations of E-W extension in the Indian NW Himalaya are well suited to test the applicability of current tectonic models for the whole Himalaya. We favor the interpretation of E-W extension in the NW Indian Himalaya as a propagation of extension driven by collapse of the Tibetan Plateau.
The application of the architectural concept of service-oriented architectures (SOA) in combination with open standards when building distributed, 3D geovisualization systems offers the potential to cover and take advantage of the opportunities and demands created by the rise of ubiquitous computer networks and the Internet as well as to overcome prevalent interoperability barriers. In this paper, based on a literature study and our own experiences, we discuss the potential and challenges that arise when building standards-based, distributed systems according to the SOA paradigm for 3D geovisualization, with a particular focus on 3D geovirtual environments and virtual 3D city models. First, we briefly introduce fundamentals of the SOA paradigm, identify requirements for service-oriented 3D geovisualization systems, and present an architectural framework that relates SOA concepts, geovisualization concepts, and standardization proposals by the Open Geospatial Consortium in a common frame of reference. Next, we discuss the potential and challenges driven by the SOA paradigm on four different levels of abstraction, namely service fundamentals, service composition, interaction services, performance, and overarching aspects, and we discuss those driven by standardization. We further exemplify and substantiate the discussion in the scope of a case study and the image-based provisioning of and interaction with visual representations of remote virtual 3D city models.
The apparent isotope enrichment factor epsilon(macrophyte) of submerged plants (epsilon(macrophyte-DIC) = delta C-13(macrophyte) - delta C-13(DIC)) is indicative of dissolved inorganic carbon (DIC) supply in neutral to alkaline waters and is related to variations in aquatic productivity (Papadimitriou et al. in Limnol Oceanogr 50:1084-1095, 2005). This paper aims to evaluate the usage of epsilon(macrophyte) inferred from isotopic analyses of submerged plant fossils in addition to analyses of lake carbonate as a palaeolimnological proxy for former HCO3 (-) concentrations. Stable carbon isotopic analysis of modern Potamogeton pectinatus leaves and its host water DIC from the Tibetan Plateau and Central Yakutia (Russia) yielded values between -23.3 and +0.4aEuro degrees and between +14.0 and +6.5aEuro degrees, respectively. Values of epsilon (Potamogeton-DIC) (range -15.4 to +1.1aEuro degrees) from these lakes are significantly correlated with host water HCO3 (-) concentration (range 78-2,200 mg/l) (r = -0.86; P < 0.001), thus allowing for the development of a transfer function. Palaeo-epsilon (Potamogeton-ostracods) values from Luanhaizi Lake on the NE Tibetan Plateau, as inferred from the stable carbon isotope measurement of fossil Potamogeton pectinatus seeds (range -24 to +2.8aEuro degrees) and ostracods (range -7.8 to +7.5%) range between -14.8 and 1.6aEuro degrees. Phases of assumed disequilibrium between delta C-13(DIC) and delta C-13(ostracods) known to occur in charophyte swards (as indicated by the deposition of charophyte fossils) were excluded from the analysis of palaeo-epsilon. The application of the epsilon (Potamogeton-DIC)-HCO3 (-) transfer function yielded a median palaeo-HCO3 (-) -concentration of 290 mg/l. Variations in the dissolved organic carbon supply compare well with aquatic plant productivity changes and lake level variability as inferred from a multiproxy study of the same record including analyses of plant macrofossils, ostracods, carbonate and organic content.
This paper aims to highlight the potential of using elemental and stable isotope analyses of aquatic macrophytes in palaeolimnological studies. Potamogeton pectinatus material was collected from modem plants (n=68) and from late glacial and Holocene-aged sediments from Koucha Lake (northeastern Tibetan Plateau; 34.0 degrees N; 97.2 degrees E; 4540 m a.s.l.). It was analyzed for delta C-13(Potamogeton) (modern: -23 to 0 parts per thousand, fossil: -19 to -4 parts per thousand) and delta N-15(Potamogeton) (modern: -11.0 to +13.8 parts per thousand, fossil: -9.5 to +6.7 parts per thousand) in addition to elemental carbon and nitrogen (modem C/N-Potamogeton: 7 to 29; fossil: 13 to 68) and sulfur (fossil: 188-899 mu mol/g dry weight). Fossil data were interpreted in terms of palaeo-nutrient availability and palaeo-productivity based on the modem relationships between various proxies and certain environmental data. Productivity of Potamogeton pectinatus mats at Koucha Lake as indicated by palaeo-epsilon(Potamogeton-TIC) (i.e. the enrichment of delta C-13(Potamogeton) relative to the delta(CTIC)-C-13) was reduced during periods of high conductivity, especially between 10.3 and 7.4 cal kyr BP. Potamogeton pectinatus material from these periods was also characterized by high S-Potamogeton indicating high sulfide concentrations and anoxic conditions within the sediments. However, C/N- Potamogeton ratios and delta N-15(Potamogeton) from the lower core section were found to have been altered by decompositional processes. A pronounced shift in the aquatic productivity of Lake Koucha occurred at similar to 7.4 cal kyr BP when the hydrological conditions shifted towards an open lake system and water depth increased. At this time a strong increase in productivity led to a strong decrease in the water HCO3- concentration as inferred from the application of a epsilon-(Potamogeton-TIC)-InHCO3- transfer function. A comparison of reconstructed productivity changes from Koucha Lake with further environmental proxies suggests that primary productivity changes are probably a function of internal lake dynamics and were only indirectly triggered by climate change.
Aim: Fossil pollen spectra from lake sediments on the Tibetan Plateau have been used for qualitative climate reconstruction, but no modern pollen-climate calibration set based on lake sediments is available to infer past climate quantitatively. This study aims to develop such a dataset and apply it to fossil data. Location: The Tibetan Plateau, between 30 and 40 degrees N and 87 and 103 degrees E. Methods: We collected surface sediments from 112 lakes and analysed them palynologically. The lakes span a wide range of mean annual precipitation (P-ann; 31-1022 mm), mean annual temperature (T-ann; -6.5 to 1 degrees C), and mean July temperature (T-July; 2.6-19.7 degrees C). Redundancy analysis showed that the modern pollen spectra are characteristic of their respective vegetation types and local climate. Transfer functions for P-ann, T-ann and T-July were developed with weighted averaging partial least squares. Model performance was assessed by leave-one-out cross-validation. Results: The root mean square errors of prediction (RMSEP) were 104 mm (P-ann), 1.18 degrees C (T-ann) and 1.17 degrees C (T-July). The RMSEPs, when expressed as percentages of the gradient sampled, were 10.6% (P-ann), 15.7% (T-ann) and 11.9% (T-July). These low values indicate the good performance of our models. An application of the models to fossil pollen spectra covering the last c. 50 kyr yielded realistic results for Luanhaizi Lake in the Qilian Mountains on the north-eastern Tibetan Plateau (modern P-ann 480 mm; T-ann-1 degrees C). T-ann and P-ann values similar to present ones were reconstructed for late Marine Isotope Stage 3, with minimum values for the Last Glacial Maximum (c. 300 mm and 2 degrees C below present), and maximum values for the early Holocene (c. 70 mm and 0.5 degrees C greater than present). Main conclusions: The modern pollen-climate calibration set will potentially be useful for quantitative climate reconstructions from lake-sediment pollen spectra from the Tibetan Plateau, an area of considerable climatic and biogeographical importance.
Aim: Atmospheric CO2 concentrations depend, in part, on the amount of biomass locked up in terrestrial vegetation. Information on the causes of a broad-scale vegetation transition and associated loss of biomass is thus of critical interest for understanding global palaeoclimatic changes. Pollen records from the north-eastern Tibet-Qinghai Plateau reveal a dramatic and extensive forest decline beginning c. 6000 cal. yr bp. The aim of this study is to elucidate the causes of this regional-scale change from high-biomass forest to low-biomass steppe on the Tibet-Qinghai Plateau during the second half of the Holocene. Location: Our study focuses on the north-eastern Tibet-Qinghai Plateau. Stratigraphical data used are from Qinghai Lake (3200 m a.s.l., 36 degrees 32'-37 degrees 15' N, 99 degrees 36'-100 degrees 47' E). Methods: We apply a modern pollen-precipitation transfer function from the eastern and north-eastern Tibet-Qinghai Plateau to fossil pollen spectra from Qinghai Lake to reconstruct annual precipitation changes during the Holocene. The reconstructions are compared to a stable oxygen-isotope record from the same sediment core and to results from two transient climate model simulations. Results: The pollen-based precipitation reconstruction covering the Holocene parallels moisture changes inferred from the stable oxygen-isotope record. Furthermore, these results are in close agreement with simulated model-based past annual precipitation changes. Main conclusions: In the light of these data and the model results, we conclude that it is not necessary to attribute the broad-scale forest decline to human activity. Climate change as a result of changes in the intensity of the East Asian Summer Monsoon in the mid-Holocene is the most parsimonious explanation for the widespread forest decline on the Tibet-Qinghai Plateau. Moreover, climate feedback from a reduced forest cover accentuates increasingly drier conditions in the area, indicating complex vegetation-climate interactions during this major ecological change.
Pollen taxa of known indicator value are of great potential in the qualitative interpretation of pollen diagrams. Here we apply several numerical approaches to a lake-sediment based pollen data-set from the eastern and central Tibetan Plateau (112 samples) to assess the indicator value of Tibetan pollen taxa for modem vegetation types and for modern climate. Results from Multi-Response Permutation Procedures indicate that the differences between groups of pollen spectra originating from the same vegetation type (temperate desert, temperate steppe, alpine desert, alpine steppe, high-alpine meadow, subalpine shrub, and patchy forest) are statistically significant. Indicator Species Analyses identify several indicator taxa for most vegetation types. Multivariate regression tree analysis indicates that about 390 mm of annual precipitation is the most critical threshold for the modern pollen spectra. This roughly separates desert and steppe vegetation from high-alpine meadow, subalpine shrub, and patchy forest vegetation. A strong pollen-climate relationship on the Tibetan Plateau is confirmed by the large number of statistically significant pollen taxa-climate (annual precipitation or/and annual temperature) relationships as evaluated by statistical response- modelling, involving generalised linear models.
We experimentally demonstrate efficient switching of the hard x-ray Bragg reflectivity of a SrRuO3 /SrTiO3 superlattice by optical excitation of large-amplitude coherent acoustic superlattice phonons. The rocking curve changes drastically on a 1 ps timescale. The (0 0 116) reflection is almost extinguished (Delta R/R-0=-0.91), while the (0 0 118) reflection increases by more than an order of magnitude (Delta R/R-0=24.1). The change of the x-ray structure factor depends nonlinearly on the phonon amplitude, allowing manipulation of the x-ray response on a timescale considerably shorter than the phonon period. Numerical simulations for a superlattice with slightly changed geometry and realistic parameters predict a switching-contrast ratio Delta R/R-0 of 700 with high reflectivity.
Growth and body height have always been topics interesting to the public. In particular, the stupendous increase of some 15-19 cm in final adult height during the last 150 years in most European countries (the "secular trend"), the concomitant changes in body and head proportions, the tendency towards early onset of sexual maturation, the changes in the age when final height is being reached, and the very recent trend in body mass index, have generated much scientific literature. The marked plasticity of growth in height and weight over time causes problems. Child growth references differ between nations, they tend to quickly become out of date, and raise a number of questions regarding fitting methods, effects caused by selective drop-out, etc. New findings contradict common beliefs about the primary importance of nutritional and health related factors for secular changes in growth. There appears to be a broad age span from mid-childhood to early adolescence that is characterised by a peculiar insusceptibility. Environmental factors that are known to influence growth during this age span appear to have only little or no impact on final height. Major re- arrangements in height occur at an age when puberty has almost been completed and final height has almost been reached, implying that factors, which drive the secular trend in height, are limited to early childhood and late adolescence.
Retinol-binding protein 4 (RBP4) is elevated in patients with chronic kidney disease (CKD) and has been discussed as marker of kidney function. In addition to an elevated concentration, the existence of truncated RBP4 species, RBP4-L (truncated at last C-terminal leucine) and RBP4-LL (truncated at both C-terminal leucines), has been reported in serum of hemodialysis patients. Since little is known about the occurrence of RBP4 species during the progression of CKD it was the aim of this study to analyse this possible association. The presence of RBP4, RBP4-L, RBP4- LL and transthyretin (TTR) was assessed in serum of 45 healthy controls and 52 patients with stage 2-5 of CKD using ELISA and RBP4 immunoprecipitation with subsequent MALDI-TOF-MS analysis. A reduction of glomerular filtration rate was accompanied by a gradual elevation of RBP4 serum levels and relative amounts of RBP4-LL. Correlation analysis revealed a strong association of the RBP4-TTR ratio with parameters of lipid metabolism and with diabetes-related factors. In conclusion, RBP4 serum concentration and the appearance of RBP4-LL seem to be influenced by kidney function. Furthermore, the RBP4-TTR ratio may provide diagnostic potential with regard to metabolic complications in CKD patients.
Inelastic x-ray scattering spectra excited at the 1s(-1) pi* resonance of gas phase O-2 have been recorded with an overall energy resolution that allows for well-resolved vibrational progressions. The nuclear wave packet dynamics in the intermediate state is reflected in vibrational excitations of the electronic ground state, and by fine-tuning the excitation energy the dissociation dynamics in the predissociative B' (3) Pi(g) final state is controlled.