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The colloidal systems are present everywhere in many varieties such as emulsions (liquid droplets dispersed in liquid), aerosols (liquid dispersed in gas), foam (gas in liquid), etc. Among several new methods for the preparation of colloids, the so-called miniemulsion technique has been shown to be one of the most promising. Miniemulsions are defined as stable emulsions consisting of droplets with a size of 50-500 nm by shearing a system containing oil, water, a surfactant, and a highly water insoluble compound, the so-called hydrophobe 1. In the first part of this work, dynamic crystallization and melting experiments are described which were performed in small, stable and narrowly distributed nanodroplets (confined systems) of miniemulsions. Both regular and inverse systems were examined, characterizing, first, the crystallization of hexadecane, secondly, the crystallization of ice. It was shown for both cases that the temperature of crystallization in such droplets is significantly decreased (or the required undercooling is increased) as compared to the bulk material. This was attributed to a very effective suppression of heterogeneous nucleation. It was also found that the required undercooling depends on the nanodroplet size: with decreasing droplet size the undercooling increases. 2. It is shown that the temperature of crystallization of other n-alkanes in nanodroplets is also significantly decreased as compared to the bulk material due to a very effective suppression of heterogeneous nucleation. A very different behavior was detected between odd and even alkanes. In even alkanes, the confinement in small droplets changes the crystal structure from a triclinic (as seen in bulk) to an orthorhombic structure, which is attributed to finite size effects inside the droplets. An intermediate metastable rotator phase is of less relevance for the miniemulsion droplets than in the bulk. For odd alkanes, only a strong temperature shift compared to the bulk system is observed, but no structure change. A triclinic structure is formed both in bulk and in miniemulsion droplets. 3. In the next part of the thesis it is shown how miniemulsions could be successfully applied in the development of materials with potential application in pharmaceutical and medical fields. The production of cross-linked gelatin nanoparticles is feasible. Starting from an inverse miniemulsion, the softness of the particles can be controlled by varying the initial concentration, amount of cross-link agent, time of cross-linking, among other parameters. Such particles show a thermo-reversible effect, e.g. the particles swell in water above 37 °C and shrink below this temperature. Above 37 °C the chains loose the physical cross-linking, however the particles do not loose their integrity, because of the chemical cross-linking. Those particles have potential use as drug carriers, since gelatin is a natural polymer derived from collagen. 4. The cross-linked gelatin nanoparticles have been used for the biomineralization of hydroxyapatite (HAP), a biomineral, which is the major constituent of our bones. The biomineralization of HAP crystals within the gelatin nanoparticles results in a hybrid material, which has potential use as a bone repair material. 5. In the last part of this work we have shown that layers of conjugated semiconducting polymers can be deposited from aqueous dispersion prepared by the miniemulsion process. Dispersions of particles of different conjugated semiconducting polymers such as a ladder-type poly(para-phenylene) and several soluble derivatives of polyfluorene could be prepared with well-controlled particle sizes ranging between 70 - 250 nm. Layers of polymer blends were prepared with controlled lateral dimensions of phase separation on sub-micrometer scales, utilizing either a mixture of single component nanoparticles or nanoparticles containing two polymers. From the results of energy transfer it is demonstrated that blending two polymers in the same particle leads to a higher efficiency due to the better contact between the polymers. Such an effect is of great interest for the fabrication of opto-electronic devices such as light emitting diodes with nanometer size emitting points and solar cells comprising of blends of electron donating and electron accepting polymers.
Studies of the role of disturbance in vegetation or ecosystems showed that disturbances are an essential and intrinsic element of ecosystems that contribute substantially to ecosystem health, to structural diversity of ecosystems and to nutrient cycling at the local as well as global level. Fire as a grassland, bush or forest fire is a special disturbance agent, since it is caused by biotic as well abiotic environmental factors. Fire affects biogeochemical cycles and plays an important role in atmospheric chemistry by releasing climate-sensitive trace gases and aerosols, and thus in the global carbon cycle by releasing approximately 3.9 Gt C p.a. through biomass burning. A combined model to describe effects and feedbacks between fire and vegetation became relevant as changes in fire regimes due to land use and land management were observed and the global dimension of biomass burnt as an important carbon flux to the atmosphere, its influence on atmospheric chemistry and climate as well as vegetation dynamics were emphasized. The existing modelling approaches would not allow these investigations. As a consequence, an optimal set of variables that best describes fire occurrence, fire spread and its effects in ecosystems had to be defined, which can simulate observed fire regimes and help to analyse interactions between fire and vegetation dynamics as well as to allude to the reasons behind changing fire regimes. Especially, dynamic links between vegetation, climate and fire processes are required to analyse dynamic feedbacks and effects of changes of single environmental factors. This led us to the point, where new fire models had to be developed that would allow the investigations, mentioned above, and could help to improve our understanding of the role of fire in global ecology. In conclusion of the thesis, one can state that moisture conditions, its persistence over time and fuel load are the important components that describe global fire pattern. If time series of a particular region are to be reproduced, specific ignition sources, fire-critical climate conditions and vegetation composition become additional determinants. Vegetation composition changes the level of fire occurrence and spread, but has limited impact on the inter-annual variability of fire. The importance to consider the full range of major fire processes and links to vegetation dynamics become apparent under climate change conditions. Increases in climate-dependent length of fire season does not automatically imply increases in biomass burnt, it can be buffered or accelerated by changes in vegetation productivity. Changes in vegetation composition as well as enhanced vegetation productivity can intensify changes in fire and lead to even more fire-related emissions. --- Anmerkung: Die Autorin ist Trägerin des von der Mathematisch-Naturwissenschaftlichen Fakultät der Universität Potsdam vergebenen Michelson-Preises für die beste Promotion des Jahres 2002/2003.
Die Eifel ist eines der jüngsten vulkanischen Gebiete Mitteleuropas. Die letzte Eruption ereignete sich vor ungefähr 11000 Jahren. Bisher ist relativ wenig bekannt über die tieferen Mechanismen, die für den Vulkanismus in der Eifel verantwortlich sind. Erdbebenaktivität deutet ebenso darauf hin, dass die Eifel eines der geodynamisch aktivsten Gebiete Mitteleuropas ist. In dieser Arbeit wird die Receiver Function Methode verwendet, um die Strukturen des oberen Mantels zu untersuchen. 96 teleseismische Beben (mb > 5.2) wurden ausgewertet, welche von permanenten und mobilen breitbandigen und kurzperiodischen Stationen aufgezeichnet wurden. Das temporäre Netzwerk registrierte von November 1997 bis Juni 1998 und überdeckte eine Fläche von ungefähr 400x250 km². Das Zentrum des Netzwerkes befand sich in der Vulkaneifel. Die Auswertung der Receiver Function Analyse ergab klare Konversionen von der Moho und den beiden Manteldiskontinuitäten in 410 km und 660 km Tiefe, sowie Hinweise auf einen Mantel-Plume in der Region der Eifel. Die Moho wurde bei ungefähr 30 km Tiefe beobachtet und zeigt nur geringe Variationen im Bereich des Netzwerkes. Die beobachteten Variationen der konvertierten Phasen der Moho können mit lateralen Schwankungen in der Kruste zu tun haben, die mit den Receiver Functions nicht aufgelöst werden können. Die Ergebnisse der Receiver Function Methode deuten auf eine Niedriggeschwindigkeitszone zwischen 60 km bis 90 km in der westlichen Eifel hin. In etwa 200 km Tiefe werden im Bereich der Eifel amplitudenstarke positive Phasen von Konversionen beobachtet. Als Ursache hierfür wird eine Hochgeschwindigkeitszone vorgeschlagen, welche durch mögliches aufsteigendes, dehydrierendes Mantel-Material verursacht wird. Die P zu S Konversionen an der 410 km Diskontinuität zeigen einen späteren Einsatz als nach dem IASP91-Modell erwartet wird. Die migrierten Daten weisen eine Absenkung der 410 km Diskontinuität um bis zu 20 km Tiefe auf, was einer Erhöhung der Temperatur von bis zu etwa 140° Celsius entspricht. Die 660 km Diskontinuität weist keine Aufwölbung auf. Dies deutet darauf hin, dass kein Mantelmaterial direkt von unterhalb der 660 km Diskontinuität in der Eifel-Region aufsteigt oder, dass der Ursprung des Eifel-Plumes innerhalb der Übergangszone liegt.
In this thesis, I investigated the factors influencing the growth and vertical distribution of planktonic algae in extremely acidic mining lakes (pH 2-3). In the focal study site, Lake 111 (pH 2.7; Lusatia, Germany), the chrysophyte, Ochromonas sp., dominates in the upper water strata and the chlorophyte, Chlamydomonas sp., in the deeper strata, forming a pronounced deep chlorophyll maximum (DCM). Inorganic carbon (IC) limitation influenced the phototrophic growth of Chlamydomonas sp. in the upper water strata. Conversely, in deeper strata, light limited its phototrophic growth. When compared with published data for algae from neutral lakes, Chlamydomonas sp. from Lake 111 exhibited a lower maximum growth rate, an enhanced compensation point and higher dark respiration rates, suggesting higher metabolic costs due to the extreme physico-chemical conditions. The photosynthetic performance of Chlamydomonas sp. decreased in high-light-adapted cells when IC limited. In addition, the minimal phosphorus (P) cell quota was suggestive of a higher P requirement under IC limitation. Subsequently, it was shown that Chlamydomonas sp. was a mixotroph, able to enhance its growth rate by taking up dissolved organic carbon (DOC) via osmotrophy. Therefore, it could survive in deeper water strata where DOC concentrations were higher and light limited. However, neither IC limitation, P availability nor in situ DOC concentrations (bottom-up control) could fully explain the vertical distribution of Chlamydomonas sp. in Lake 111. Conversely, when a novel approach was adopted, the grazing influence of the phagotrophic phototroph, Ochromonas sp., was found to exert top-down control on its prey (Chlamydomonas sp.) reducing prey abundance in the upper water strata. This, coupled with the fact that Chlamydomonas sp. uses DOC for growth, leads to a pronounced accumulation of Chlamydomonas sp. cells at depth; an apparent DCM. Therefore, grazing appears to be the main factor influencing the vertical distribution of algae observed in Lake 111. The knowledge gained from this thesis provides information essential for predicting the effect of strategies to neutralize the acidic mining lakes on the food-web.
One of the rules-of-thumb of colloid and surface physics is that most surfaces are charged when in contact with a solvent, usually water. This is the case, for instance, in charge-stabilized colloidal suspensions, where the surface of the colloidal particles are charged (usually with a charge of hundreds to thousands of e, the elementary charge), monolayers of ionic surfactants sitting at an air-water interface (where the water-loving head groups become charged by releasing counterions), or bilayers containing charged phospholipids (as cell membranes). In this work, we look at some model-systems that, although being a simplified version of reality, are expected to capture some of the physical properties of real charged systems (colloids and electrolytes). We initially study the simple double layer, composed by a charged wall in the presence of its counterions. The charges at the wall are smeared out and the dielectric constant is the same everywhere. The Poisson-Boltzmann (PB) approach gives asymptotically exact counterion density profiles around charged objects in the weak-coupling limit of systems with low-valent counterions, surfaces with low charge density and high temperature (or small Bjerrum length). Using Monte Carlo simulations, we obtain the profiles around the charged wall and compare it with both Poisson-Boltzmann (in the low coupling limit) and the novel strong coupling (SC) theory in the opposite limit of high couplings. In the latter limit, the simulations show that the SC leads in fact to asymptotically correct density profiles. We also compare the Monte Carlo data with previously calculated corrections to the Poisson-Boltzmann theory. We also discuss in detail the methods used to perform the computer simulations. After studying the simple double layer in detail, we introduce a dielectric jump at the charged wall and investigate its effect on the counterion density distribution. As we will show, the Poisson-Boltzmann description of the double layer remains a good approximation at low coupling values, while the strong coupling theory is shown to lead to the correct density profiles close to the wall (and at all couplings). For very large couplings, only systems where the difference between the dielectric constants of the wall and of the solvent is small are shown to be well described by SC. Another experimentally relevant modification to the simple double layer is to make the charges at the plane discrete. The counterions are still assumed to be point-like, but we constraint the distance of approach between ions in the plane and counterions to a minimum distance D. The ratio between D and the distance between neighboring ions in the plane is, as we will see, one of the important quantities in determining the influence of the discrete nature of the charges at the wall over the density profiles. Another parameter that plays an important role, as in the previous case, is the coupling as we will demonstrate, systems with higher coupling are more subject to discretization effects than systems with low coupling parameter. After studying the isolated double layer, we look at the interaction between two double layers. The system is composed by two equally charged walls at distance d, with the counterions confined between them. The charge at the walls is smeared out and the dielectric constant is the same everywhere. Using Monte-Carlo simulations we obtain the inter-plate pressure in the global parameter space, and the pressure is shown to be negative (attraction) at certain conditions. The simulations also show that the equilibrium plate separation (where the pressure changes from attractive to repulsive) exhibits a novel unbinding transition. We compare the Monte Carlo results with the strong-coupling theory, which is shown to describe well the bound states of systems with moderate and high couplings. The regime where the two walls are very close to each other is also shown to be well described by the SC theory. Finally, Using a field-theoretic approach, we derive the exact low-density ("virial") expansion of a binary mixture of positively and negatively charged hard spheres (two-component hard-core plasma, TCPHC). The free energy obtained is valid for systems where the diameters d_+ and d_- and the charge valences q_+ and q_- of positive and negative ions are unconstrained, i.e., the same expression can be used to treat dilute salt solutions (where typically d_+ ~ d_- and q_+ ~ q_-) as well as colloidal suspensions (where the difference in size and valence between macroions and counterions can be very large). We also discuss some applications of our results.
Die intensive Auswertung unterschiedlicher schriftlicher und mündlicher Quellen sowie die Erschließung von damals "geheimer" Literatur für die Forschung heute ermöglicht eine differenzierte Rekonstruktion historischer Abläufe. Die vorliegende Arbeit nutzt diesen Zugang zur Darstellung von kleineren und größeren DDR-internen sportpolitischen Strukturwandlungen der 1960er und 1970er Jahre, die ihren Höhepunkt in einer dramatischen Umsteuerung des DDR-Hochleistungssports fanden. Es wird gezeigt, wie die Akteure unter Führung von Manfred EWALD, gewähltem Mitglied des SED-Zentralkomitees, einer Zentralfigur des DDR-Sports (vergleichbar mit der Bedeutung eines Willi DAUME im Westen) zwischen Systemzwängen und individueller Handlungsfreiheit innerhalb des Rahmens einer Diktatur in der Phase des Wechsels von Walter ULBRICHT zu Erich HONECKER eine Effektivierung des zentralistischen Modells durchsetzten (eine Parallele zum Ansatz von Monika KAISER). Im Gegensatz zu vielen kontroversen Erklärungsmodellen belegt der Verf., dass die Medaillenerfolge durch die zentrale Steuerung aller Abläufe gewährleistet wurden. Ohne SED-Auftrag wurde 1967 die "Leistungssportkommission der DDR" (LSK der DDR) gebildet. Im Unterschied zu den zahlreichen vom Verf. erstmals dargestellten Vorgängermodellen war diese SED-LSK "oberhalb des DTSB" angesiedelt und erteilte ihm Parteiaufträge - die Unterordnung des organisierten Sports unter die Autorität des Zentralkomitee machte angesichts der "Nationalen Fronten" von Armeesportvereinigung "Vorwärts" und Sportvereinigung "Dynamo" (SPITZER) jegliche zentrale Sportpolitik erst durchsetzbar. Zur "LSK der DDR" waren SED-Mitglieder abgeordnet, welche ihr Sachgebiet vertraten und nach gemeinsamer Beschlussfassung die Ergebnisse der LSK-Arbeit wiederum in ihrem jeweiligen Tätigkeitsfeld durchzusetzen hatten, was in der Diss. ausgeführt wird. Sportvertreter ebenso wie hochrangige Abgesandte der Ministerien, die mit der Produktion von Gütern für den Hochleistungssport befasst waren, gehörten den LSK-Gremien an, die auch die DDR-Sportwissenschaft steuerten; es lässt sich sogar nachweisen, dass die Herrschaft über diesen wichtigen Apparat sowie die Dopingforschung ein Hauptmotiv der LSK-Bildung gewesen ist. Durch seine Quellenorientierung und die Fülle an Belegen gibt die vorliegende Arbeit neue Anreize zur Auseinandersetzung mit dem Phänomen der Steuerung des Hochleistungssports in der DDR - auch über den Untersuchungszeitraum hinaus. Die Untersuchung wurde von der Humanwissenschaftlichen Fakultät der Universität Potsdam als Dissertation angenommen. Sie geht auf ein Stipendium dieser Universität zurück; das Verfahren konnte mit einem Prädikat abgeschlossen werden. Gutachter waren Prof. Dr. Dr. Gertrud PFISTER, Kopenhagen, Prof. Dr. Christoph KLEßMANN, Potsdam, und der Betreuer, Steady Visiting Prof. Univ. Odense, Priv.-Doz. Dr. habil. Giselher SPITZER, Berlin / Potsdam / Odense (Dänemark).
In der vorliegenden Dissertation wird die Bedeutung von Brachen für Artenvielfalt und Stabilität von Blüte-Bestäuber-Nahrungsnetzen in agrarisch genutzten Landschaften anhand ausgewählter blütenbesuchender Insektengruppen (Syrphidae, Lepidoptera) untersucht. Die Freilandarbeiten fanden von 1998-2000 im Raum der Feldberger Seenlandschaft, Mecklenburg-Vorpommern, statt. Es werden die beiden Hauptnahrungsquellen Nektar und Pollen betrachtet, dabei fanden Untersuchungen zur Intensität der Blüte-Bestäuber-Interaktion auf Stilllegungsflächen, zum flächenbezogenen quantitativen Nektarangebot im Jahresverlauf, zur individuellen Pollennutzung bei Syrphiden und zur Breite und Überlappung der Nahrungsnischen bei den dominanten Arten Episyrphus balteatus, Metasyrphus corollae, Syritta pipiens und Sphaerophoria scripta statt. Im Ergebnis zeigt sich eine hohe Bedeutung der Brachflächen für die Stabilität des Blüte-Bestäuber-Netzes, während die Diversität von anderen, eher landschaftsbezogenen Faktoren abhängig ist.
In der nichtlinearen Datenreihenanalyse hat sich seit etwa 10 Jahren eine Monte-Carlo-Testmethode etabliert, die Theiler-surrogatmethode, mit Hilfe derer entschieden werden kann, ob eine Datenreihe nichtlinearen Ursprungs sei. Diese Methode wird kritisiert, modifiziert und verallgemeinert. Das, was Theiler untersuchen will braucht andere Surrogatmethoden, die hier konstruiert werden. Und das, was Theiler untersucht braucht gar keine Monte-Carlo-Methoden. Mit Hilfe des in der Arbeit eingeführten Begriffs des Phasensignals werden Testmöglichkeiten dargelegt und Beziehungen zwischen den nichtlinearen Eigenschaften der Zeitreihe und deren Phasenspektrum erforscht. Das Phasensignal wird aus dem Phasenspektrum der Zeitreihe hergeleitet und registriert außerordentliche Geschehnisse im Zeitbereich sowie Phasenkopplungen im Frequenzbereich. Die gewonnenen Erkenntnisse werden auf das Problem der Polbewegung angewendet. Die Hypothese einer nichtlinearen Beziehung zwischen der atmosphärischen Erregung und der Polbewegung wird untersucht. Eine nichtlineare Behandlung wird nicht für nötig gehalten.
Today, analytical chemistry does not longer consist of only the big measuring devices and methods which are time consuming and expensive, which can furthermore only be handled by the qualified staff and in addition the results can also only be evaluated by this qualified staff. Usually, this technique, which shall be described in the following as 'classic analytic measuring technique', requires also rooms equipped especially and often a relative big quantity of the test compounds which should be prepared especially. Beside this classic analytic measuring technique, limited on definite substance groups and requests, a new measuring technique has gained acceptance particularly within the last years, which one can often be used by a layman, too. Often the new measuring technique has very little pieces of equipment. The needed sample volumes are also small and a special sample preparation isn't required. In addition, the new measuring instruments are simple to handle. They are cheap both in their production and in the use and they permit even a continuous measurement recording usually. Numerous of this new measuring instruments base on the research in the field of Biosensorik during the last 40 years. Since Clark and Lyon in the year 1962 were able to measure glucose with a simple oxygen electrode, completed by an enzyme the development of the new measuring technique did not have to be held back any longer. Biosensors, special pickups which consists of a combination from a biological component (permits a specific recognition of the analyte also without purification of the sample previously) and a physical pickup (convert the primary physicochemical effect into an electronically measurable signal), conquered the market. In the context of this thesis different tyrosinasesensors were developed which fulfilling the various requests, depending on origin and features of the used tyrosinase. One of the tyrosinasesensors for example was used for quantification of phenolic compounds in river and sea water and the results could correlated very well with the corresponding DIN-test for the determination of phenolic compounds. An other developed tyrosinasesensor showed a very high sensitiveness for catecholamines, substances which are of special importance in the medical diagnostics. In addition, the investigations of two different tyrosinases, which were carried out also in the context of this thesis, have shown, that a special tyrosinase (tyrosinase from Streptomyces antibioticus) will be the better choice as tyrosinase from Agaricus bisporus, which is used in the area of biosensor research till now, if one wants to develop in future even more sensitive tyrosinasesensors. Furthermore, first successes became reached on a molecular biological field, the production of tyrosinasemutants with special, before well-considered features. These successes can be used to develop a new generation of tyrosinasesensors, tyrosinasesensors in which tyrosinase can be bound directionally both to the corresponding physical pickup or also to another enzyme. From this one expects to achieve ways minimized which the substance to be determined (or whose product) otherwise must cover. Finally, this should result in an clearly visible increase of sensitivity of the Biosensor.
Combined structural and magnetotelluric investigation across the West Fault Zone in northern Chile
(2002)
The characterisation of the internal architecture of large-scale fault zones is usually restricted to the outcrop-based investigation of fault-related structural damage on the Earth's surface. A method to obtain information on the downward continuation of a fault is to image the subsurface electrical conductivity structure. This work deals with such a combined investigation of a segment of the West Fault, which itself is a part of the more than 2000 km long trench-linked Precordilleran Fault System in the northern Chilean Andes. Activity on the fault system lasted from Eocene to Quaternary times. In the working area (22°04'S, 68°53'W), the West Fault exhibits a clearly defined surface trace with a constant strike over many tens of kilometers. Outcrop condition and morphology of the study area allow ideally for a combination of structural geology investigation and magnetotelluric (MT) / geomagnetic depth sounding (GDS) experiments. The aim was to achieve an understanding of the correlation of the two methods and to obtain a comprehensive view of the West Fault's internal architecture. Fault-related brittle damage elements (minor faults and slip-surfaces with or without striation) record prevalent strike-slip deformation on subvertically oriented shear planes. Dextral and sinistral slip events occurred within the fault zone and indicate reactivation of the fault system. Youngest deformation increments mapped in the working area are extensional and the findings suggest a different orientation of the extension axes on either side of the fault. Damage element density increases with approach to the fault trace and marks an approximately 1000 m wide damage zone around the fault. A region of profound alteration and comminution of rocks, about 400 m wide, is centered in the damage zone. Damage elements in this central part are predominantly dipping steeply towards the east (70-80°). Within the same study area, the electrical conductivity image of the subsurface was measured along a 4 km long MT/GDS profile. This main profile trends perpendicular to the West Fault trace. The MT stations of the central 2 km were 100 m apart from each other. A second profile with 300 m site spacing and 9 recording sites crosses the fault a few kilometers away from the main study area. Data were recorded in the frequency range from 1000 Hz to 0.001 Hz with four real time instruments S.P.A.M. MkIII. The GDS data reveal the fault zone for both profiles at frequencies above 1 Hz. Induction arrows indicate a zone of enhanced conductivity several hundred meters wide, that aligns along the WF strike and lies mainly on the eastern side of the surface trace. A dimensionality analysis of the MT data justifies a two dimensional model approximation of the data for the frequency range from 1000 Hz to 0.1 Hz. For this frequency range a regional geoelectric strike parallel to the West Fault trace could be recovered. The data subset allows for a resolution of the conductivity structure of the uppermost crust down to at least 5 km. Modelling of the MT data is based on an inversion algorithm developed by Mackie et al. (1997). The features of the resulting resistivity models are tested for their robustness using empirical sensitivity studies. This involves variation of the properties (geometry, conductivity) of the anomalies, the subsequent calculation of forward or constrained inversion models and check for consistency of the obtained model results with the data. A fault zone conductor is resolved on both MT profiles. The zones of enhanced conductivity are located to the east of the West Fault surface trace. On the dense MT profile, the conductive zone is confined to a width of about 300 m and the anomaly exhibits a steep dip towards the east (about 70°). Modelling implies that the conductivity increase reaches to a depth of at least 1100 m and indicates a depth extent of less than 2000 m. Further conductive features are imaged but their geometry is less well constrained. The fault zone conductors of both MT profiles coincide in position with the alteration zone. For the dense profile, the dip of the conductive anomaly and the dip of the damage elements of the central part of the fault zone correlate. This suggests that the electrical conductivity enhancement is causally related to a mesh of minor faults and fractures, which is a likely pathway for fluids. The interconnected rock-porosity that is necessary to explain the observed conductivity enhancement by means of fluids is estimated on the basis of the salinity of several ground water samples (Archie's Law). The deeper the source of the water sample, the more saline it is due to longer exposure to fluid-rock interaction and the lower is the fluid's resistivity. A rock porosity in the range of 0.8% - 4% would be required at a depth of 200 m. That indicates that fluids penetrating the damaged fault zone from close to the surface are sufficient to explain the conductivity anomalies. This is as well supported by the preserved geochemical signature of rock samples in the alteration zone. Late stage alteration processes were active in a low temperature regime (<95°C) and the involvement of ascending brines from greater depth is not indicated. The limited depth extent of the fault zone conductors is a likely result of sealing and cementation of the fault fracture mesh due to dissolution and precipitation of minerals at greater depth and increased temperature. Comparison of the results of the apparently inactive West Fault with published studies on the electrical conductivity structure of the currently active San Andreas Fault, suggests that the depth extent and conductivity of the fault zone conductor may be correlated to fault activity. Ongoing deformation will keep the fault/fracture mesh permeable for fluids and impede cementation and sealing of fluid pathways.