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Die Umsatzbesteuerung staatlichen Handelns scheint widersinnig. Zum Schutz des freien Wettbewerbs kann dies jedoch geboten sein. Die steuerliche Definition des Wettbewerbsbegriffes, des Marktes sowie der wirtschaftlichen Tätigkeit führt dazu, dass staatliches und privates Handeln konsequent anhand des Wettbewerbskriteriums getrennt werden müssen. Für die Frage der Steuerbarkeit ist dann nicht mehr entscheidend, ob der Staat in Rechtsform einer GmbH als juristische Person des Privatrechts oder als juristische Person des öffentlichen Rechts gehandelt hat. Das in dieser Arbeit entwickelte Verständnis des Wettbewerbsbegriffs zeigt auch die Schwächen des neuen §2b Umsatzsteuergesetz auf und macht einen Rückgriff auf das Europarecht weiterhin zwingend notwendig.
Seismological agencies play an important role in seismological research and seismic hazard mitigation by providing source parameters of seismic events (location, magnitude, mechanism), and keeping these data accessible in the long term. The availability of catalogues of seismic source parameters is an important requirement for the evaluation and mitigation of seismic hazards, and the catalogues are particularly valuable to the research community as they provide fundamental long-term data in the geophysical sciences. This work is well motivated by the rising demand for developing more robust and efficient methods for routine source parameter estimation, and ultimately generation of reliable catalogues of seismic source parameters. Specifically, the aim of this work is to develop some methods to determine hypocentre location and temporal evolution of seismic sources based on regional and teleseismic observations more accurately, and investigate the potential of these methods to be integrated in near real-time processing.
To achieve this, a location method that considers several events simultaneously and improves the relative location accuracy among nearby events has been provided. This method tries to reduce the biasing effects of the lateral velocity heterogeneities (or equivalently to compensate for limitations and inaccuracies in the assumed velocity model) by calculating a set of timing corrections for each seismic station. The systematic errors introduced into the locations by the inaccuracies in the assumed velocity structure can be corrected without explicitly solving for a velocity model. Application to sets of multiple earthquakes in complex tectonic environments with strongly heterogeneous structure such as subduction zones and plate boundary region demonstrate that this relocation process significantly improves the hypocentre locations compared to standard locations.
To meet the computational demands of this location process, a new open-source software package has been developed that allows for efficient relocation of large-scale multiple seismic events using arrival time data. Upon that, a flexible location framework is provided which can be tailored to various application cases on local, regional, and global scales. The latest version of the software distribution including source codes, a user guide, an example data set, and a change history, is freely available to the community.
The developed relocation algorithm has been modified slightly and then its performance in a simulated near real-time processing has been evaluated. It has been demonstrated that applying the proposed technique significantly reduces the bias in routine locations and enhance the ability to locate the lower magnitude events using only regional arrival data.
Finally, to return to emphasis on global seismic monitoring, an inversion framework has been developed to determine the seismic source time function through direct waveform fitting of teleseismic recordings. The inversion technique can be systematically applied to moderate- size seismic events and has the potential to be performed in near real-time applications. It is exemplified by application to an abnormal seismic event; the 2017 North Korean nuclear explosion.
The presented work and application case studies in this dissertation represent the first step in an effort to establish a framework for automatic, routine generation of reliable catalogues of seismic event locations and source time functions.
Over the last decades, the Arctic regions of the earth have warmed at a rate 2–3 times faster than the global average– a phenomenon called Arctic Amplification. A complex, non-linear interplay of physical processes and unique pecularities in the Arctic climate system is responsible for this, but the relative role of individual processes remains to be debated. This thesis focuses on the climate change and related processes on Svalbard, an archipelago in the North Atlantic sector of the Arctic, which is shown to be a "hotspot" for the amplified recent warming during winter. In this highly dynamical region, both oceanic and atmospheric large-scale transports of heat and moisture interfere with spatially inhomogenous surface conditions, and the corresponding energy exchange strongly shapes the atmospheric boundary layer. In the first part, Pan-Svalbard gradients in the surface air temperature (SAT) and sea ice extent (SIE) in the fjords are quantified and characterized. This analysis is based on observational data from meteorological stations, operational sea ice charts, and hydrographic observations from the adjacent ocean, which cover the 1980–2016 period. It is revealed that typical estimates of SIE during late winter range from 40–50% (80–90%) in the western (eastern) parts of Svalbard. However, strong SAT warming during winter of the order of 2–3K per decade dictates excessive ice loss, leaving fjords in the western parts essentially ice-free in recent winters. It is further demostrated that warm water currents on the west coast of Svalbard, as well as meridional winds contribute to regional differences in the SIE evolution. In particular, the proximity to warm water masses of the West Spitsbergen Current can explain 20–37% of SIE variability in fjords on west Svalbard, while meridional winds and associated ice drift may regionally explain 20–50% of SIE variability in the north and northeast. Strong SAT warming has overruled these impacts in recent years, though.
In the next part of the analysis, the contribution of large-scale atmospheric circulation changes to the Svalbard temperature development over the last 20 years is investigated. A study employing kinematic air-back trajectories for Ny-Ålesund reveals a shift in the source regions of lower-troposheric air over time for both the winter and the summer season. In winter, air in the recent decade is more often of lower-latitude Atlantic origin, and less frequent of Arctic origin. This affects heat- and moisture advection towards Svalbard, potentially manipulating clouds and longwave downward radiation in that region. A closer investigation indicates that this shift during winter is associated with a strengthened Ural blocking high and Icelandic low, and contributes about 25% to the observed winter warming on Svalbard over the last 20 years. Conversely, circulation changes during summer include a strengthened Greenland blocking high which leads to more frequent cold air advection from the central Arctic towards Svalbard, and less frequent air mass origins in the lower latitudes of the North Atlantic. Hence, circulation changes during winter are shown to have an amplifying effect on the recent warming on Svalbard, while summer circulation changes tend to mask warming.
An observational case study using upper air soundings from the AWIPEV research station in Ny-Ålesund during May–June 2017 underlines that such circulation changes during summer are associated with tropospheric anomalies in temperature, humidity and boundary layer height.
In the last part of the analysis, the regional representativeness of the above described changes around Svalbard for the broader Arctic is investigated. Therefore, the terms in the diagnostic temperature equation in the Arctic-wide lower troposphere are examined for the Era-Interim atmospheric reanalysis product. Significant positive trends in diabatic heating rates, consistent with latent heat transfer to the atmosphere over regions of increasing ice melt, are found for all seasons over the Barents/Kara Seas, and in individual months in the vicinity of Svalbard. The above introduced warm (cold) advection trends during winter (summer) on Svalbard are successfully reproduced. Regarding winter, they are regionally confined to the Barents Sea and Fram Strait, between 70°–80°N, resembling a unique feature in the whole Arctic. Summer cold advection trends are confined to the area between eastern Greenland and Franz Josef Land, enclosing Svalbard.
Seit Jahrzehnten stellen die molekularen Schalter ein wachsendes Forschungsgebiet dar. Im Rahmen dieser Dissertation stand die Verbesserung der thermischen Stabilität, der Auslesbarkeit und Schaltbarkeit dieser molekularen Schalter in komplexen Umgebungen mithilfe computergestützter Chemie im Vordergrund.
Im ersten Projekt wurde die Kinetik der thermischen E → Z-Isomerisierung und die damit verbundene thermische Stabilität eines Azobenzol-Derivats untersucht. Dafür wurde Dichtefunktionaltheorie (DFT) in Verbindung mit der Eyring-Theorie des Übergangszustandes (TST) angewendet. Das Azobenzol-Derivat diente als vereinfachtes Modell für das Schalten in einer komplexen Umgebung (hier in metallorganischen Gerüsten). Es wurden thermodynamische und kinetische Größen unter verschiedenen Einflüssen berechnet, wobei gute Übereinstimmungen mit dem Experiment gefunden wurden. Die hier verwendete Methode stellte einen geeigneten Ansatz dar, um diese Größen mit angemessener Genauigkeit vorherzusagen.
Im zweiten Projekt wurde die Auslesbarkeit der Schaltzustände in Form des nichtlinearen optischen (NLO) Kontrastes für die Molekülklasse der Fulgimide untersucht. Die dafür benötigten dynamischen Hyperpolarisierbarkeiten unter Berücksichtigung der Elektronenkorrelation wurden mittels einer etablierten Skalierungsmethode berechnet. Es wurden verschiedene Fulgimide analysiert, wobei viele experimentelle Befunde bestätigt werden konnten. Darüber hinaus legte die theoretische Vorhersage für ein weiteres System nahe, dass insbesondere die Erweiterung des π-Elektronensystems ein vielversprechender Ansatz zur Verbesserung von NLO-Kontrasten darstellt. Die Fulgimide verfügen somit über nützliche Eigenschaften, sodass diese in Zukunft als Bauelemente in photonischen und optoelektronischen Bereichen Anwendungen finden könnten.
Im dritten Projekt wurde die E → Z-Isomerisierung auf ein quantenmechanisch (QM) behandeltes Dimer mit molekularmechanischer (MM) Umgebung und zwei Fluorazobenzol-Monomeren durch Moleküldynamik simuliert. Dadurch wurde die Schaltbarkeit in komplexer Umgebung (hier selbstorgansierte Einzelschichten = SAMs) bzw. von Azobenzolderivaten analysiert. Mit dem QM/MM Modell wurden sowohl Van-der-Waals-Interaktionen mit der Umgebung als auch elektronische Kopplung (nur zwischen QM-Molekülen) berücksichtigt. Dabei wurden systematische Untersuchungen zur Packungsdichte durchgeführt. Es zeigte sich, dass bereits bei einem Molekülabstand von 4.5 Å die Quantenausbeute (prozentuale Anzahl erfolgreicher Schaltprozesse) des Monomers erreicht wird. Die größten Quantenausbeuten wurden für die beiden untersuchten Fluorazobenzole erzielt. Es wurden die Effekte des Molekülabstandes und der Einfluss von Fluorsubstituenten auf die Dynamik eingehend untersucht, sodass der Weg für darauf aufbauende Studien geebnet ist.
Cleft exhaustivity
(2020)
In this dissertation a series of experimental studies are presented which demonstrate that the exhaustive inference of focus-background it-clefts in English and their cross-linguistic counterparts in Akan, French, and German is neither robust nor systematic. The inter-speaker and cross-linguistic variability is accounted for with a discourse-pragmatic approach to cleft exhaustivity, in which -- following Pollard & Yasavul 2016 -- the exhaustive inference is derived from an interaction with another layer of meaning, namely, the existence presupposition encoded in clefts.
Geomechanical and petrological characterisation of exposed slip zones, Alpine Fault, New Zealand
(2020)
The Alpine Fault is a large, plate-bounding, strike-slip fault extending along the north-western edge of the Southern Alps, South Island, New Zealand. It regularly accommodates large (MW > 8) earthquakes and has a high statistical probability of failure in the near future, i.e., is late in its seismic cycle. This pending earthquake and associated co-seismic landslides are expected to cause severe infrastructural damage that would affect thousands of people, so it presents a substantial geohazard. The interdisciplinary study presented here aims to characterise the fault zone’s 4D (space and time) architecture, because this provides information about its rheological properties that will enable better assessment of the hazard
the fault poses.
The studies undertaken include field investigations of principal slip zone fault gouges exposed
along strike of the fault, and subsequent laboratory analyses of these outcrop and additional borehole samples. These observations have provided new information on (I) characteristic microstructures down to the nanoscale that indicate which deformation mechanisms operated within the rocks, (II) mineralogical information that constrains the fault’s geomechanical behaviour and (III) geochemical compositional information that allows the influence of fluid- related alteration processes on material properties to be unraveled.
Results show that along-strike variations of fault rock properties such as microstructures and mineralogical composition are minor and / or do not substantially influence fault zone architecture. They furthermore provide evidence that the architecture of the fault zone, particularly its fault core, is more complex than previously considered, and also more complex than expected for this sort of mature fault cutting quartzofeldspathic rocks. In particular our results strongly suggest that the fault has more than one principal slip zone, and that these form an anastomosing network extending into the basement below the cover of Quaternary sediments.
The observations detailed in this thesis highlight that two major processes, (I) cataclasis and (II) authigenic mineral formation, are the major controls on the rheology of the Alpine Fault. The velocity-weakening behaviour of its fault gouge is favoured by abundant nanoparticles
promoting powder lubrication and grain rolling rather than frictional sliding. Wall-rock fragmentation is accompanied by co-seismic, fluid-assisted dilatancy that is recorded by calcite cementation. This mineralisation, along with authigenic formation of phyllosilicates, quickly alters the petrophysical fault zone properties after each rupture, restoring fault competency. Dense networks of anastomosing and mutually cross-cutting calcite veins and intensively reworked gouge matrix demonstrate that strain repeatedly localised within the narrow fault gouge. Abundantly undeformed euhedral chlorite crystallites and calcite veins cross-cutting both fault gouge and gravels that overlie basement on the fault’s footwall provide evidence that the processes of authigenic phyllosilicate growth, fluid-assisted dilatancy and associated fault healing are processes active particularly close to the Earth’s surface in this fault zone.
Exposed Alpine Fault rocks are subject to intense weathering as direct consequence of abundant orogenic rainfall associated with the fault’s location at the base of the Southern Alps. Furthermore, fault rock rheology is substantially affected by shallow-depth conditions such as the juxtaposition of competent hanging wall fault rocks on poorly consolidated footwall sediments. This means microstructural, mineralogical and geochemical properties of the exposed fault rocks may differ substantially from those at deeper levels, and thus are not characteristic of the majority of the fault rocks’ history. Examples are (I) frictionally weak smectites found within the fault gouges being artefacts formed at temperature conditions, and imparting petrophysical properties that are not typical for most of fault rocks of the Alpine Fault, (II) grain-scale dissolution resulting from subaerial weathering rather than deformation by pressure-solution processes and (III) fault gouge geometries being more complex than expected for deeper counterparts.
The methodological approaches deployed in analyses of this, and other fault zones, and the major results of this study are finally discussed in order to contextualize slip zone investigations of fault zones and landslides. Like faults, landslides are major geohazards, which highlights the importance of characterising their geomechanical properties. Similarities between faults, especially those exposed to subaerial processes, and landslides, include mineralogical composition and geomechanical behaviour. Together, this ensures failure occurs predominantly by cataclastic processes, although aseismic creep promoted by weak phyllosilicates is not uncommon. Consequently, the multidisciplinary approach commonly used to investigate fault zones may contribute to increase the understanding of landslide faulting processes and the assessment of their hazard potential.
Hugo Greßmann (1877-1927) hat als einer der führenden Vertreter der Religionsgeschichtlichen Schule die religionsgeschichtliche Methode zur Geltung gebracht. Die biographisch-wissenschaftsgeschichtliche Studie stellt Greßmanns religionsgeschichtliches Programm dar, ordnet es in den wissenschaftshistorischen Kontext ein und zeigt seine Bedeutung für die weitere Wissenschaftsgeschichte auf.
Interactions involving biological interfaces such as lipid-based membranes are of paramount importance for all life processes. The same also applies to artificial interfaces to which biological matter is exposed, for example the surfaces of drug delivery systems or implants. This thesis deals with the two main types of interface interactions, namely (i) interactions between a single interface and the molecular components of the surrounding aqueous medium and (ii) interactions between two interfaces. Each type is investigated with regard to an important scientific problem in the fields of biotechnology and biology:
1.) The adsorption of proteins to surfaces functionalized with hydrophilic polymer brushes; a process of great biomedical relevance in context with harmful foreign-body-response to implants and drug delivery systems.
2.) The influence of glycolipids on the interaction between lipid membranes; a hitherto largely unexplored phenomenon with potentially great biological relevance.
Both problems are addressed with the help of (quasi-)planar, lipid-based model surfaces in combination with x-ray and neutron scattering techniques which yield detailed structural insights into the interaction processes. Regarding the adsorption of proteins to brush-functionalized surfaces, the first scenario considered is the exposure of the surfaces to human blood serum containing a multitude of protein species. Significant blood protein adsorption was observed despite the functionalization, which is commonly believed to act as a protein repellent. The adsorption consists of two distinct modes, namely strong adsorption to the brush grafting surface and weak adsorption to the brush itself. The second aspect investigated was the fate of the brush-functionalized surfaces when exposed to aqueous media containing immune proteins (antibodies) against the brush polymer, an emerging problem in current biomedical applications. To this end, it was found that antibody binding cannot be prevented by variation of the brush grafting density or the polymer length. This result motivates the search for alternative, strictly non-antigenic brush chemistries. With respect to the influence of glycolipids on the interaction between lipid membranes, this thesis focused on the glycolipids’ ability to crosslink and thereby to tightly attract adjacent membranes. This adherence is due to preferential saccharide-saccharide interactions occurring among the glycolipid headgroups. This phenomenon had previously been described for lipids with special oligo-saccharide motifs. Here, it was investigated how common this phenomenon is among glycolipids with a variety of more abundant saccharide-headgroups. It was found that glycolipid-induced membrane crosslinking is equally observed for some of these abundant glycolipid types, strongly suggesting that this under-explored phenomenon is potentially of great biological relevance.
In this dissertation, I describe the mechanisms involved in magmatic plumbing system establishment and evolution. Magmatic plumbing systems play a key role in determining volcanic activity style and recognizing its complexities can help in forecasting eruptions, especially within hazardous volcanic systems such as calderas. I explore the mechanisms of dike emplacement and intrusion geometry that shape magmatic plumbing systems beneath caldera-like topographies and how their characteristics relate to precursory activity of a volcanic eruption. For this purpose, I use scaled laboratory models to study the effect of stress field reorientation on a propagating dike induced by caldera topography. I construct these models by using solid gelatin to mimic the elastic properties of the earth's crust with a caldera on the surface. I inject water as the magma analog and track the evolution of the experiments through qualitative (geometry and stress evolution) and quantitative (displacement and strain computation) descriptions. The results show that a vertical dike deviates towards and outside of the caldera-like margin due to stress field reorientation beneath the caldera-like topography. The propagating intrusion forms a circumferential-eruptive dike when the caldera-like size is small, whereas a cone sheet develops beneath the large caldera-like topography.
To corroborate the results obtained from the experimental models, this thesis also describes the results of a case study utilizing seismic monitoring data associated with the unrest period of the 2015 phreatic eruption of Lascar volcano. Lascar has a crater with a small-scale caldera-like topography and exhibited long-lasting anomalous evolution of the number of long-period (LP) events preceding the 2015 eruption. I apply seismic techniques to constrain the hypocentral locations of LP events and characterize their spatial distribution, obtaining an image of Lascar's plumbing system. I observe an agreement in shallow hypocentral locations obtained through four different seismic techniques; nevertheless, the cross-correlation technique provides the best results. These results depict a plumbing system with a narrow sub-vertical deep conduit and a shallow hydrothermal system, where most LP events are located. These two regions are connected through an intermediate region of path divergence, whose geometry and orientation likely is influenced by stress reorientation due to topographic effects of the caldera-like crater.
Finally, in order to further enhance the interpretations of the previous case study, the seismic data was analyzed in tandem with a complementary multiparametric monitoring dataset. This complementary study confirms that the anomalous LP activity occurred as a sign of unrest in the preparatory phase of the phreatic eruption. In addition, I show how changes observed in other monitored parameters enabled to detect further signs of unrest in the shallow hydrothermal system. Overall, this study demonstrates that detecting complex geometric regions within plumbing systems beneath volcanoes is fundamental to produce an effective forecast of eruptions that from a first view seem to occur without any precursory activity.
Furthermore, through the development of this research I show that combining methods that include both observations and models allows one to obtain a more precise interpretation of the volcanic processes.
Geomorphology seeks to characterize the forms, rates, and magnitudes of sediment and water transport that sculpt landscapes. This is generally referred to as earth surface processes, which incorporates the influence of biologic (e.g., vegetation), climatic (e.g., rainfall), and tectonic (e.g., mountain uplift) factors in dictating the transport of water and eroded material. In mountains, high relief and steep slopes combine with strong gradients in rainfall and vegetation to create dynamic expressions of earth surface processes. This same rugged topography presents challenges in data collection and process measurement, where traditional techniques involving detailed observations or physical sampling are difficult to apply at the scale of entire catchments. Herein lies the utility of remote sensing. Remote sensing is defined as any measurement that does not disturb the natural environment, typically via acquisition of images in the visible- to radio-wavelength range of the electromagnetic spectrum. Remote sensing is an especially attractive option for measuring earth surface processes, because large areal measurements can be acquired at much lower cost and effort than traditional methods. These measurements cover not only topographic form, but also climatic and environmental metrics, which are all intertwined in the study of earth surface processes. This dissertation uses remote sensing data ranging from handheld camera-based photo surveying to spaceborne satellite observations to measure the expressions, rates, and magnitudes of earth surface processes in high-mountain catchments of the Eastern Central Andes in Northwest Argentina. This work probes the limits and caveats of remote sensing data and techniques applied to geomorphic research questions, and presents important progress at this disciplinary intersection.
Organizing immigration
(2020)
Immigration constitutes a dynamic policy field with – often quite unpredictable – dynamics. This is based on immigration constituting a ‘wicked problem’ meaning that it is characterized by uncertainty, ambiguity and complexity. Due to the dynamics in the policy field, expectations towards public administrations often change. Following neo-institutionalist theory, public administrations depend on meeting the expectations in the organizational field in order to maintain legitimacy as the basis for, e.g., resources and compliance of stakeholders. With the dynamics in the policy field, expectations might change and public administrations consequently need to adapt in order to maintain or repair the then threatened legitimacy. If their organizational legitimacy is threatened by a perception of structures and processes being inadequate for changed expectations, an ‘institutional crisis’ unfolds. However, we know little about ministerial bureaucracies’ structural reactions to such crucial momentums and how this effects the quest for coordination within policy-making. Overall, the dissertation thus links to both policy analysis and public administration research and consists of five publications. It asks: How do structures in ministerial bureaucracies change in the context of institutional crises? And what effect do these changes have on ministerial coordination? The dissertation hereby focusses on the above described dynamic policy field of immigration in Germany in the period from 2005 to 2017 and pursues three objectives: 1) to identify the context and impulse for changes in the structures of ministerial bureaucracies, 2) to describe respective changes with regard to their organizational structures, and 3) to identify their effect on coordination. It hereby compares and contrasts institutional crises by incremental change and shock as well as changes and effects at federal and Länder level which allows a comprehensive answer to both of the research questions. Theoretically, the dissertation follows neo-institutionalist theory with a particular focus on changes in organizational structures, coordination and crisis management. Methodologically, it follows a comparative design. Each article (except for the literature review), focusses on ministerial bureaucracies at one governmental level (federal or Länder) and on an institutional crisis induced by either an incremental process or a shock. Thus, responses and effects can be compared and contrasted across impulses for institutional crises and governmental levels. Overall, the dissertation follows a mixed methods approach with a majority of qualitative single and small-n case studies based on document analysis and semi-structured interviews. Additionally, two articles use quantitative methods as they best suited the respective research question. The rather explorative nature of these two articles however fits to the overall interpretivist approach of the dissertation. Overall, the dissertation’s core argument is: Within the investigation period, varying dynamics and thus impulses for institutional crises took place in the German policy field of immigration. Respectively, expectations by stakeholders on how the politico-administrative system should address the policy problem changed. Ministerial administrations at both the federal and Länder level adapted to these expectations in order to maintain, or regain respectively, organizational legitimacy. The administration hereby referred to well-known recipes of structural changes. Institutional crises do not constitute fields of experimentation. The new structures had an immediate effect on ministerial coordination, with respect to both the horizontal and vertical dimension. Yet, they did not mean a comprehensive change of the system in place. The dissertation thus challenges the idea of the toppling effect of crises and rather shows that adaptability and persistence of public administrations constitute two sides of the same coin.
Hugo Greßmann (1877-1927) hat als einer der führenden Vertreter der Religionsgeschichtlichen Schule die religionsgeschichtliche Methode zur Geltung gebracht. Die biographisch-wissenschaftsgeschichtliche Studie stellt Greßmanns religionsgeschichtliches Programm dar, ordnet es in den wissenschaftshistorischen Kontext ein und zeigt seine Bedeutung für die weitere Wissenschaftsgeschichte auf.
Die wirtschaftliche Intensivierung des Profisports hat in den vergangenen Jahrzehnten zu einer Anpassung der Organisationsstrukturen des Sports geführt. Immer wieder wird hierbei die Frage aufgeworfen, inwiefern eine identitätsstiftende Rückkoppelung des Sports an seine Basis gewährleistet werden kann. In der Rechtspraxis steht hier die basisdemokratische Ausrichtung der im Sport vorherrschenden Rechtsform des eingetragenen Vereins im Spannungsverhältnis zu der Ausgliederung wirtschaftlicher Betätigung auf Kapitalgesellschaften.
Der Autor untersucht in diesem Kontext, inwiefern sich die Rechtsform der eingetragenen Genossenschaft als Rechtsform für den Sport eignet. Hierbei nimmer er Bezug auf die rechtliche Zulässigkeit, die Organisations- und Finanzverfassung, das mit der Rechtsform einhergehende genossenschaftliche Prüfwesen sowie die steuerrechtlichen Auswirkungen, und entwickelt konkrete Einsatzmöglichkeiten der eingetragenen Genossenschaft in der Organisationspyramide des Sports.
Wege zur Gesangskarriere
(2020)
Hybride Gestaltungen gehören zu den wichtigsten Aufbauelementen von grenzüberschreitenden Steuergestaltungsmodellen und sind eines der komplexesten Themen des Internationalen Steuerrechts. Mit der Anti Tax Avoidance Directive (ATAD) hat der Unionsgesetzgeber den Mitgliedstaaten die rechtliche Verpflichtung auferlegt, die mit hybriden Gestaltungen einhergehenden Besteuerungsinkongruenzen durch Korrespondenzregelungen zu neutralisieren.
Das Werk durchdringt die einschlägigen Richtlinienvorschriften grundlegend und greift dabei die OECD-Regelungsempfehlungen zu BEPS-Aktionspunkt 2 auf. Dabei werden bedeutsame Divergenzen aufgezeigt und Zweifelsfragen diskutiert. Die Vorarbeiten dienen als Beurteilungsrahmen für den nachfolgend durchgeführten Abgleich mit dem deutschen Rechtsrahmen. Auf dieser Grundlage wird der verbleibende gesetzgeberische Umsetzungsbedarf identifiziert. Zum Abschluss wird der Entwurf des ATAD-Umsetzungsgesetzes kritisch gewürdigt.
Die Reformation in Brandenburg gilt als Musterbeispiel einer obrigkeitlich initiierten und gesteuerten Fürstenreformation in einem nordostdeutschen Territorialstaat. Deshalb haben lange Zeit das Handeln und die Motive hauptsächlich der Landesherrschaft die Aufmerksamkeit der brandenburgischen Reformationsgeschichtsforschung auf sich vereinigt. Felix Engel erweitert diesen recht eng gesteckten Horizont, indem er die Perspektive »von unten« in seine Betrachtung einbezieht und systematisch ergründet, welche Mittel und Wege den städtischen Akteuren zu verschiedenen Phasen des Reformationsprozesses offenstanden, um die Umgestaltung ihrer kommunalen Kirchenwesen aktiv zu beeinflussen. Daher finden zunächst sowohl die strukturellen und ideellen Vorbedingungen als auch die Reformationsverläufe Berücksichtigung. Anschließend werden Kontinuitäten und Brüche sowie die Handlungsspielräume der beteiligten Protagonisten in zentralen Bereichen der städtischen Kirchenwesen analysiert.
Some of the most frequent questions surrounding business negotiations address not only the nature of such negotiations, but also how they should be conducted. The answers given by business people from different cultural backgrounds to these questions are likely to differ from the standard answers found in business manuals.
In her book, Milene Mendes de Oliveira investigates how Brazilian and German business people conceptualize and act out business negotiations using English as a Lingua Franca. The frameworks of Cultural Linguistics, English as a Lingua Franca, World Englishes, and Business Discourse offer the theoretical and methodological grounding for the analysis of interviews with high-ranking Brazilian and German business people. Moreover, a side study on e-mail exchanges between Brazilian and German employees of a healthcare company serves as a test case for the results arising from the interviews, and helps understand other facets of authentic intercultural business communication.
Offering new insights on English as a Lingua Franca in international business contexts, Business Negotiations in ELF from a Cultural Linguistic Perspective simultaneously provides a detailed cultural-conceptual account of business negotiations from the viewpoint of Brazilian and German business people and a secondary analysis of their pragmatic aspects.
Cells and tissues are sensitive to mechanical forces applied to them. In particular, bone forming cells and connective tissues, composed of cells embedded in fibrous extracellular matrix (ECM), are continuously remodeled in response to the loads they bear. The mechanoresponses of cells embedded in tissue include proliferation, differentiation, apoptosis, internal signaling between cells, and formation and resorption of tissue.
Experimental in-vitro systems of various designs have demonstrated that forces affect tissue growth, maturation and mineralization. However, the results depended on different parameters such as the type and magnitude of the force applied in each study. Some experiments demonstrated that applied forces increase cell proliferation and inhibit cell maturation rate, while other studies found the opposite effect. When the effect of different magnitudes of forces was compared, some studies showed that higher forces resulted in a cell proliferation increase or differentiation decrease, while other studies observed the opposite trend or no trend at all.
In this study, MC3T3-E1 cells, a cell line of pre-osteoblasts (bone forming cells), was used. In this cell line, cell differentiation is known to accelerate after cells stop proliferating, typically at confluency. This makes this cell line an interesting subject for studying the influence of forces on the switch between the proliferation stage of the precursor cell and the differentiation to the mature osteoblasts.
A new experimental system was designed to perform systematic investigations of the influence of the type and magnitude of forces on tissue growth. A single well plate contained an array of 80 rectangular pores. Each pore was seeded with MC3T3-E1 cells. The culture medium contained magnetic beads (MBs) of 4.5 μm in diameter that were incorporated into the pre-osteoblast cells. Using an N52 neodymium magnet, forces ranging over three orders of magnitude were applied to MBs incorporated in cells at 10 different distances from the magnet. The amount of formed tissue was assessed after 24 days of culture. The experimental design allowed to obtain data concerning (i) the influence of the type of the force (static, oscillating, no force) on tissue growth; (ii) the influence of the magnitude of force (pN-nN range); (iii) the effect of functionalizing the magnetic beads with the tripeptide Arg-Gly-Asp (RGD). To learn about cell differentiation state, in the final state of the tissue growth experiments, an analysis for the expression of alkaline phosphatase (ALP), a well - known marker of osteoblast differentiation, was performed.
The experiments showed that the application of static magnetic forces increased tissue growth compared to control, while oscillating forces resulted in tissue growth reduction. A statistically significant positive correlation was found between the amount of tissue grown and the magnitude of the oscillating magnetic force. A positive but non-significant correlation of the amount of tissue with the magnitude of forces was obtained when static forces were applied. Functionalizing the MBs with RGD peptides and applying oscillating forces resulted in an increase of tissue growth relative to tissues incubated with “plain” epoxy MBs. ALP expression decreased as a function of the magnitude of force both when static and oscillating forces were applied. ALP stain intensity was reduced relative to control when oscillating forces were applied and was not significantly different than control for static forces.
The suggested interpretation of the experimental findings is that larger mechanical forces delay cell maturation and keep the pre-osteoblasts in a more proliferative stage characterized by more tissue formed and lower expression of ALP. While the influence of the force magnitude can be well explained by an effect of the force on the switch between proliferation and differentiation, the influence of force type (static or oscillating) is less clear. In particular, it is challenging to reconcile the reduction of tissue formed under oscillating forces as compared to controls with the simultaneous reduction of ALP expression. To better understand this, it may be necessary to refine the staining protocol of the scaffolds and to include the amount and structure of ECM as well as other factors that were not monitored in the experiment and which may influence tissue growth and maturation.
The developed experimental system proved well suited for a systematic and efficient study of the mechanoresponsiveness of tissue growth, it allowed a study of the dependence of tissue growth on force magnitude ranging over three orders of magnitude, and a comparison between the effect of static and oscillating forces. Future experiments can explore the multiple parameters that affect tissue growth as a function of the magnitude of the force: by applying different time-dependent forces; by extending the force range studied; or by using different cell lines and manipulating the mechanotransduction in the cells biochemically.
The ability of a company to innovate and to launch innovation is a critical competitive edge to remain competitive in the 21st century. Large organizations therefore increasingly recognize employees as a significant factor and critical source of innovation. Several studies assert the fact that every employee has to offer certain skills and knowledge and can contribute to innovation. Hence, every employee has a certain ‘entrepreneurial potential’. This potential can be expressed in the form of entrepreneurial behaviour and can occur in many ways, from monopersonal innovation championing to several small scale contributions, where several individuals team up for innovation. To support entrepreneurial behaviour of their employees, large organizations increasingly rely on Corporate Entrepreneurship. They set up organizational structures and venturing units, offer vehicles and tools to their employees to be more entrepreneurial. The evolvement of new tools and technologies thereby allow for new ways of employee involvement, also allowing for more radical innovation to be developed collaboratively. Yet, many of such offerings fail to achieve the desired outcome. While some employees immediately opt-in for innovation, others do not and their entrepreneurial potential remains untapped. This research explores how large organizations can better support their employees to express their entrepreneurial potential, thus moving from non-entrepreneurial behaviour or not wanting to be involved, to actually expressing entrepreneurial behaviour. The underlying research therefore is two-fold. While focusing on the individual level and the entrepreneurial behaviour of employees, this research also takes the organizational perspective into account in order to identify how non-entrepreneurial behaviour can be stimulated towards entrepreneurial behaviour. Using an empirical qualitative research design based on pragmatism and abduction, data is collected by means of qualitative interviews as well as a longitudinal use case setting. Grounded theory is then applied for analysis and sense making. The main outcome is a theoretical model of why employees are expressing or not expressing their entrepreneurial potential and how non-expression can potentially be triggered towards entrepreneurial behaviour. The results indicate that there is no one-size-fits all model of Corporate Entrepreneurship. This research therefore argues that organizations can achieve higher levels of entrepreneurial behaviour when addressing employees differently. By developing a theoretical model as well as suggestions of how this model can be applied in practice, this research contributes to theory and practice alike. This document closes suggesting future research areas around supporting employees to express their entrepreneurial potential.
Die Arbeit beschäftigt sich mit Einwirkungen des Unionsrechts auf Doppelbesteuerungsabkommen. Werden Doppelbesteuerungsabkommen zwischen Staaten geschlossen, die zugleich Mitglied der Europäischen Union sind, haben diese zusätzlich das Unionsrecht, insbesondere die Grundfreiheiten und Richtlinien, zu beachten. Die Arbeit beschäftigt sich mit der Frage, wie das grundsätzlich vorrangige Unionsrecht auf die Regelungen der Doppelbesteuerungsabkommen einwirkt, wann diese Regelungen dennoch anzuwenden sind und wie die Vorschriften für das jeweils nationale Steuerrecht sowie die Doppelbesteuerungsabkommen ausgestaltet werden dürfen.
Auf der Grundlage verschiedener Entscheidungen des Europäischen Gerichtshofs schafft die Arbeit eine Grundlage für die verlässliche Beurteilung vorliegender und künftiger Fälle, findet dabei einen Ausgleich zwischen dem Unionsrecht und dem jeweils nationalen Steuerrecht und zeigt Möglichkeiten für die Staaten auf, Steuervermeidungsmodelle zu verhindern.
Early numeracy is one of the strongest predictors for later success in school mathematics (e.g., Duncan et al., 2007). The main goal of first grade mathematics teachers should therefore be to provide learning opportunities that enable all students to develop sound early numeracy skills. Developmental models, or learning progressions, can describe how early numerical understanding typically develops. Assessments that are aligned to empirically validated learning progressions can support teachers to understand their students learning better and target instruction accordingly. To date, there have been no progression-based instruments made available for German teachers to monitor their students’ progress in the domain of early numeracy. This dissertation contributes to the design of such an instrument. The first study analysed the suitability of early numeracy assessments currently used in German primary schools at school entry to identify students’ individual starting points for subsequent progress monitoring. The second study described the development of progression-based items and investigated the items in regards to main test quality criteria, such as reliability, validity, and test fairness, to find a suitable item pool to build targeted tests. The third study described the construction of the progress monitoring measure, referred to as the learning progress assessment (LPA). The study investigated the extent to which the LPA was able to monitor students’ individual learning progress in early numeracy over time. The results of the first study indicated that current school entry assessments were not able to provide meaningful information about the students’ initial learning status. Thus, the MARKO-D test (Ricken, Fritz, & Balzer, 2013) was used to determine the students’ initial numerical understanding in the other two studies, because it has been shown to be an effective measure of conceptual numerical understanding (Fritz, Ehlert, & Leutner, 2018). Both studies provided promising evidence for the quality of the LPA and its ability to detect changes in numerical understanding over the course of first grade. The studies of this dissertation can be considered an important step in the process of designing an empirically validated instrument that supports teachers to monitor their students’ early numeracy development and to adjust their teaching accordingly to enhance school achievement.
This work presents a new design for programming environments that promote the exploration of domain-specific software artifacts and the construction of graphical tools for such program comprehension tasks. In complex software projects, tool building is essential because domain- or task-specific tools can support decision making by representing concerns concisely with low cognitive effort. In contrast, generic tools can only support anticipated scenarios, which usually align with programming language concepts or well-known project domains.
However, the creation and modification of interactive tools is expensive because the glue that connects data to graphics is hard to find, change, and test. Even if valuable data is available in a common format and even if promising visualizations could be populated, programmers have to invest many resources to make changes in the programming environment. Consequently, only ideas of predictably high value will be implemented. In the non-graphical, command-line world, the situation looks different and inspiring: programmers can easily build their own tools as shell scripts by configuring and combining filter programs to process data.
We propose a new perspective on graphical tools and provide a concept to build and modify such tools with a focus on high quality, low effort, and continuous adaptability. That is, (1) we propose an object-oriented, data-driven, declarative scripting language that reduces the amount of and governs the effects of glue code for view-model specifications, and (2) we propose a scalable UI-design language that promotes short feedback loops in an interactive, graphical environment such as Morphic known from Self or Squeak/Smalltalk systems.
We implemented our concept as a tool building environment, which we call VIVIDE, on top of Squeak/Smalltalk and Morphic. We replaced existing code browsing and debugging tools to iterate within our solution more quickly. In several case studies with undergraduate and graduate students, we observed that VIVIDE can be applied to many domains such as live language development, source-code versioning, modular code browsing, and multi-language debugging. Then, we designed a controlled experiment to measure the effect on the time to build tools. Several pilot runs showed that training is crucial and, presumably, takes days or weeks, which implies a need for further research.
As a result, programmers as users can directly work with tangible representations of their software artifacts in the VIVIDE environment. Tool builders can write domain-specific scripts to populate views to approach comprehension tasks from different angles. Our novel perspective on graphical tools can inspire the creation of new trade-offs in modularity for both data providers and view designers.
With rising complexity of today's software and hardware systems and the hypothesized increase in autonomous, intelligent, and self-* systems, developing correct systems remains an important challenge. Testing, although an important part of the development and maintainance process, cannot usually establish the definite correctness of a software or hardware system - especially when systems have arbitrarily large or infinite state spaces or an infinite number of initial states. This is where formal verification comes in: given a representation of the system in question in a formal framework, verification approaches and tools can be used to establish the system's adherence to its similarly formalized specification, and to complement testing.
One such formal framework is the field of graphs and graph transformation systems. Both are powerful formalisms with well-established foundations and ongoing research that can be used to describe complex hardware or software systems with varying degrees of abstraction. Since their inception in the 1970s, graph transformation systems have continuously evolved; related research spans extensions of expressive power, graph algorithms, and their implementation, application scenarios, or verification approaches, to name just a few topics.
This thesis focuses on a verification approach for graph transformation systems called k-inductive invariant checking, which is an extension of previous work on 1-inductive invariant checking. Instead of exhaustively computing a system's state space, which is a common approach in model checking, 1-inductive invariant checking symbolically analyzes graph transformation rules - i.e. system behavior - in order to draw conclusions with respect to the validity of graph constraints in the system's state space. The approach is based on an inductive argument: if a system's initial state satisfies a graph constraint and if all rules preserve that constraint's validity, we can conclude the constraint's validity in the system's entire state space - without having to compute it.
However, inductive invariant checking also comes with a specific drawback: the locality of graph transformation rules leads to a lack of context information during the symbolic analysis of potential rule applications. This thesis argues that this lack of context can be partly addressed by using k-induction instead of 1-induction. A k-inductive invariant is a graph constraint whose validity in a path of k-1 rule applications implies its validity after any subsequent rule application - as opposed to a 1-inductive invariant where only one rule application is taken into account. Considering a path of transformations then accumulates more context of the graph rules' applications.
As such, this thesis extends existing research and implementation on 1-inductive invariant checking for graph transformation systems to k-induction. In addition, it proposes a technique to perform the base case of the inductive argument in a symbolic fashion, which allows verification of systems with an infinite set of initial states. Both k-inductive invariant checking and its base case are described in formal terms. Based on that, this thesis formulates theorems and constructions to apply this general verification approach for typed graph transformation systems and nested graph constraints - and to formally prove the approach's correctness.
Since unrestricted graph constraints may lead to non-termination or impracticably high execution times given a hypothetical implementation, this thesis also presents a restricted verification approach, which limits the form of graph transformation systems and graph constraints. It is formalized, proven correct, and its procedures terminate by construction. This restricted approach has been implemented in an automated tool and has been evaluated with respect to its applicability to test cases, its performance, and its degree of completeness.
Largescale patterns of global land use change are very frequently accompanied by natural habitat loss. To assess the consequences of habitat loss for the remaining natural and semi-natural biotopes, inclusion of cumulative effects at the landscape level is required. The interdisciplinary concept of vulnerability constitutes an appropriate assessment framework at the landscape level, though with few examples of its application for ecological assessments. A comprehensive biotope vulnerability analysis allows identification of areas most affected by landscape change and at the same time with the lowest chances of regeneration.
To this end, a series of ecological indicators were reviewed and developed. They measured spatial attributes of individual biotopes as well as some ecological and conservation characteristics of the respective resident species community. The final vulnerability index combined seven largely independent indicators, which covered exposure, sensitivity and adaptive capacity of biotopes to landscape changes. Results for biotope vulnerability were provided at the regional level. This seems to be an appropriate extent with relevance for spatial planning and designing the distribution of nature reserves.
Using the vulnerability scores calculated for the German federal state of Brandenburg, hot spots and clusters within and across the distinguished types of biotopes were analysed. Biotope types with high dependence on water availability, as well as biotopes of the open landscape containing woody plants (e.g., orchard meadows) are particularly vulnerable to landscape changes. In contrast, the majority of forest biotopes appear to be less vulnerable. Despite the appeal of such generalised statements for some biotope types, the distribution of values suggests that conservation measures for the majority of biotopes should be designed specifically for individual sites. Taken together, size, shape and spatial context of individual biotopes often had a dominant influence on the vulnerability score.
The implementation of biotope vulnerability analysis at the regional level indicated that large biotope datasets can be evaluated with high level of detail using geoinformatics. Drawing on previous work in landscape spatial analysis, the reproducible approach relies on transparent calculations of quantitative and qualitative indicators. At the same time, it provides a synoptic overview and information on the individual biotopes. It is expected to be most useful for nature conservation in combination with an understanding of population, species, and community attributes known for specific sites. The biotope vulnerability analysis facilitates a foresighted assessment of different land uses, aiding in identifying options to slow habitat loss to sustainable levels. It can also be incorporated into planning of restoration measures, guiding efforts to remedy ecological damage. Restoration of any specific site could yield synergies with the conservation objectives of other sites, through enhancing the habitat network or buffering against future landscape change.
Biotope vulnerability analysis could be developed in line with other important ecological concepts, such as resilience and adaptability, further extending the broad thematic scope of the vulnerability concept. Vulnerability can increasingly serve as a common framework for the interdisciplinary research necessary to solve major societal challenges.
Das bayerisch-ligistische Kriegskommissariat kontrollierte das weitestgehend autonome Söldnerheer im Dreißigjährigen Krieg. Es gilt daher als ein beispielhaftes Forschungsobjekt zur fürstlichen Macht dieser Zeit. Während sich die Forschung bisher auf die normative Ebene beschränkte, unternimmt diese Arbeit durch die Auswertung von Feldakten und Privatkorrespondenzen sowie anhand der Methoden der Prosopographie und Netzwerkanalyse eine multiperspektivische Annäherung an das Thema. Die Verwicklungen verschiedener Kompetenzen und Funktionen des sozialen Netzwerks für die Amtsausführung des Kriegskommissariats werden zu Tage gefördert. Damit trägt die Arbeit zur Erfassung der Vielfältigkeit der Herrschaft in der Frühen Neuzeit bei.
In dieser Arbeit wurden Nano-Elektroden-Arrays zur Einzel-Objekt-Immobilisierung mittels Dielektrophorese verwendet. Hierbei wurden fluoreszenzmarkierte Nano-Sphären als Modellsystem untersucht und die gewonnenen Ergebnisse auf biologische Proben übertragen. Die Untersuchungen in Kombination mit verschiedenen Elektrodenlayouts führten zu einer deterministischen Vereinzelung der Nano-Sphären ab einem festen Größenverhältnis zwischen Nano-Sphäre und Durchmesser der Elektrodenspitzen. An den Proteinen BSA und R-PE konnte eine dielektrophoretische Immobilisierung ebenfalls demonstriert und R-PE Moleküle zur Vereinzelung gebracht werden. Hierfür war neben einem optimierten Elektrodenlayout, das durch Feldsimulationen den Feldgradienten betreffend gesucht wurde, eine Optimierung der Feldparameter, insbesondere von Spannung und Frequenz, erforderlich.
Neben der Dielektrophorese erfolgten auch Beobachtungen anderer Effekte des elektrischen Feldes, wie z.B. Elektrolyse an Nano-Elektroden und Strömungen über dem Elektroden-Array, hervorgerufen durch Joulesche Wärme und AC-elektroosmotischen Fluss. Zudem konnte Dielektrophorese an Silberpartikeln beobachtet werden und mittels Fluoreszenz-, Atom-Kraft-, Raster-Elektronen-Mikroskopie und energiedispersiver Röntgenspektroskopie untersucht werden. Schließlich wurden die verwendeten Objektive und Kameras auf ihre Lichtempfindlichkeit hin analysiert, so dass die Vereinzelung von Biomolekülen an Nano-Elektroden nachweisbar war.
Festzuhalten bleibt also, dass die Vereinzelung von Nano-Objekten und Biomolekülen an Nano-Elektroden-Arrays gelungen ist. Durch den parallelen Ansatz erlaubt dies, Aussagen über das Verhalten von Einzelmolekülen mit guter Statistik zu treffen.
Crowdinvesting
(2020)
Finanzierung durch den Schwarm Crowdinvesting - auch bekannt als Schwarmfinanzierung - hat in den letzten Jahren deutlich an Relevanz gewonnen. Crowdinvesting bietet Startup- und Wachstumsunternehmen aber auch Entwicklern von Immobilienprojekten eine echte Alternative zum klassischen Bankdarlehen. Hierbei rufen die Unternehmen über das Internet zur Finanzierung auf und eine Vielzahl von Kleinanlegern und Business Angels können sich mit kleinen oder großen Beträgen an der Finanzierung beteiligen.
Das Werk beleuchtet dabei grundlegende Fragen wie:
- Ist Crowdinvesting dasselbe wie Crowdfunding? Gibt es noch weitere Formen der Schwarmfinanzierung?
- Welche Vorteile und Rechte erhalten die Anleger beim Crowdinvesting?
- Welche gesetzlichen Rahmenbedingungen gelten für Crowdinvesting-Finanzierungen?
- Gibt es Bestrebungen für einen EU-weit einheitlichen Rechtsrahmen?
- Wie sind Einkünfte aus einer Crowdinvesting-Finanzierung zu versteuern? Muss Umsatzsteuer abgeführt werden?
Klar strukturiert und verständlich formuliert
Das Werk bietet dem Leser eine umfassende Darstellung zum Begriff des Crowdinvesting und Abgrenzung von ähnlichen Schwarmfinanzierungen. Darüber hinaus werden die rechtlichen Beziehungen der verschiedenen Beteiligten beim Crowdinvesting zivilrechtlich eingeordnet. Anschließend wird der aktuelle aufsichtsrechtliche Rahmen des Crowdinvesting dargestellt und kritisch anhand ökonomischer Theorien (insb. Erkenntnisse der behavioral finance) hinterfragt sowie auf seine verfassungsrechtliche Zulässigkeit untersucht. Auch die aktuellen Entwicklungen eines europäischen Rechtsrahmens für Crowdinvesting werden diskutiert. Abschließend gibt das Werk Antworten auf ertrags- und umsatzsteuerliche Fragen.
Vorteile auf einen Blick
- umfassende Darstellung eines aktuellen und (volks-)wirtschaftlich relevanten Themas
- Nachschlagewerk für zivilrechtliche, aufsichtsrechtliche und steuerliche Fragestellungen beim Crowdinvesting
- auch ohne Vorkenntnisse gut verständlich
Zielgruppe
Für Rechtsanwälte, Unternehmen, Wissenschaftler, Betriebs- und Volkswirte sowie alle am Thema Schwarmfinanzierung Interessierte.
La cabrona aquí soy yo
(2020)
La última década ha visto un interés creciente en el fenómeno del narcotráfico en México a nivel global. Las diversas expresiones de violencia extrema que acompañan al negocio ilegal de drogas se narran en artefactos mediáticos que provocan fascinación e intriga. Así, la literatura y el cine, la música y la televisión presentan imágenes e historias sobre el narcotráfico que alimentan el imaginario colectivo. En este contexto, a nivel global hay representaciones mediáticas de la mujer mexicana narcotraficante que reproducen estereotipos femeninos donde la mujer se cosifica, exagerando los atributos sexuales del cuerpo de las mujeres. Esta representación cultural hace de la mujer un objeto de deseo, cuya belleza sirve como una marca de prestigio y ostentación para el hombre narcotraficante. La cultura del narcotráfico impone a las mujeres un ideal estético particular distintivo, que las mujeres reproducen meticulosamente para emular esta representación. Aunado a la belleza física, la mujer es retratada violenta y sin escrúpulos, usa su belleza y poder de seducción para acumular dinero y poder a costa de los hombres que conquista. Para los que no pertenecen al mundo del narcotráfico, este tipo de mujer, hipersexualizada, inspira juicios negativos, discriminación, desconfianza y temor. La intención de la pregunta y objetivos de investigación de este trabajo fue rebasar estas representaciones para observar las complejidades de las experiencias de vida de estas mujeres. El propósito de esta tesis de doctorado fue explorar cómo cambian las vidas de las mujeres mexicanas cuando se involucran en la narcocultura, en la frontera México-Estados Unidos. En específico, la investigación analizó las transformaciones en la corporalidad y en las subjetividades de estas mujeres, y cómo estas transformaciones influían en el lugar que ocupan en el espacio social y cultural que configura el narcotráfico. Además, se analizó qué márgenes de negociación tienen las mujeres en la narcocultura, para poder actuar y definirse a sí mismas. Las preguntas que guiaron el trabajo indagaban sobre cómo las mujeres cambiaban su cuerpo para encarnar el ideal estético y qué significados se atribuían a estos cambios. Fue importante analizar qué dinámicas de poder se ponían en juego a partir de estos cuerpos femeninos, en las relaciones con los hombres y con otras mujeres. También, otro objetivo fue qué procesos de subjetivación operaban en las mujeres que participan en la narcocultura, y qué márgenes de negociación tenían para actuar y definirse a sí mismas. Esta es una investigación inscrita dentro de los estudios culturales y con una perspectiva feminista interseccional. La investigación se realizó en la frontera mexicana con Estados Unidos, en el noroeste, específicamente en las ciudades de Mexicali, Tijuana y San Diego, California. La frontera, en esta tesis, se observa como un espacio con múltiples contextos de interpretación, polisémico y heterogéneo. Estas cualidades hacen que los fenómenos culturales que ocurren en él sean diversos y contradictorios. Para entender los fenómenos culturales que emergen de la frontera norte de México, fue útil el concepto de transfrontera de José Valenzuela Arce (2014). La propuesta de este académico es que las transfronteras son “espacios que se niegan a una sola de las condiciones o los lados que la integran” (p. 9). Así, el concepto habla de los procesos de conectividad y simultaneidad que la globalización genera y que redefinen a los Estados-territorio. Al mismo tiempo, habla también de los límites que estos mismos Estados utilizan para sostener narrativas nacionales que son “referentes organizadores de adscripciones identitarias y culturales” (p. 18) que crean diferencias y desigualdades. Si esto es así, una frontera no se explica completamente desde la demarcación territorial o desde la diferenciación jerárquica que incluye a algunos y excluye a otros, pero tampoco puede entenderse si nos concentramos solamente en los procesos de hibridación cultural que ocurren en esos espacios. Por eso, para Valenzuela las fronteras son entre espacios y entre tiempos. Este concepto ayuda a entender cómo se intersecta lo global y local en los sistemas semióticos que componen el universo cultural del narcotráfico mexicano, al mismo tiempo que explica cómo se estructuran mecanismos de exclusión y jerarquías a partir del género, la posición social y otras marcas de diferenciación social. En última instancia, ayuda a localizar estos procesos culturales, materializados en el cuerpo de las mujeres. El concepto de narcocultura también fue una herramienta heurística útil. La cultura aquí se entiende como un proceso de producción y reproducción de modelos simbólicos, materializados en artefactos o representaciones y, además, interiorizados en lógicas de vida, sistemas de valores y creencias, que circulan a través de las prácticas individuales y colectivas de mujeres y hombres, en contextos históricos y espaciales específicos. La narcocultura sería entonces el sistema semiótico producido en torno al negocio transnacional de tráfico ilegal de drogas, tal como se vive en la frontera norte de México. La narcocultura, tal como se define en este trabajo es un sistema semiótico con límites difusos. Así, las distinciones entre el mundo ilegal del narcotráfico y el mundo de la legalidad externo a este negocio, en el mejor de los casos son borrosas, en el peor, ficticias. La narcocultura trasciende límites territoriales, es un fenómeno cultural transnacional. Fue necesario delinear las características de los estudios culturales latinoamericanos y los Kulturwissenschaften en Alemania, para distinguir las genealogías de estas dos diferentes perspectivas, entender sus diferencias, pero, sobre todo, encontrar los puntos en común entre ellas. La coincidencia central fue el carácter transdisciplinario de estas dos tradiciones académicas. Los estudios culturales entonces se entienden como un espacio de articulación entre disciplinas (Castro Gómez, 2002), que no tiene como objetivo la unificación sino la pluralización de significados, actitudes y modos de percepción (Bachmann-Medick, 2016). La transdisciplina permite trazar las complejidades de los fenómenos culturales, creando puentes entre diferentes formas de conocimiento y prácticas de investigación. El feminismo interseccional es una perspectiva central en el trabajo de investigación. Una contribución del feminismo a los estudios culturales que influye en esta investigación es cuestionar “Hombre” y “Mujer” como esencias naturales dadas e inmutables, desde la premisa que “los signos "hombre" y "mujer" son construcciones discursivas que el lenguaje de la cultura proyecta e inscribe en el escenario de los cuerpos, disfrazando sus montajes de signos tras la falsa apariencia de que lo masculino y lo femenino son verdades naturales, ahistóricas” (Richard, 2009, p. 77). Los estudios culturales feministas suponen que estos signos se construyen en un sistema de representaciones que articulan subjetividades en mundos culturales concretos. Su objetivo entonces es develar en las prácticas significantes, los elementos ideológicos que configuran los signos y los conflictos que se suscitan a través del uso e interpretación de éstos. Estos signos adquieren múltiples significados y lecturas de acuerdo con especificidades que se distinguen en la diferencia. La interseccionalidad, dentro del feminismo es un discurso teórico y metodológico que aboga por reconocer que el signo “mujer” no es una categoría absoluta, y por lo tanto no puede explicar por sí misma las variadas experiencias vitales de las mujeres. Las diferencias se vuelven legibles cuando se ponen en juego con otras categorías sociales como la posición social, la raza, la edad y la discapacidad. Las diferencias sociales están fincadas en diferentes discursos que naturalizan los diferentes atributos de estas categorías sociales cuando, para esta perspectiva, son socialmente construidos y cambiantes. El objetivo de una perspectiva interseccional es identificar cómo interactúan diferentes categorías sociales en instituciones, prácticas y subjetividades, para entender cómo se materializan las desigualdades a través del tiempo. Los conceptos teóricos que guían esta tesis son cuerpo y subjetividad. Para esta tesis, el cuerpo se entiende como un sitio de articulación, donde se materializan códigos culturales y el orden social. El cuerpo puede entenderse como una frontera dinámica y mutable, donde convergen lo físico, lo simbólico y lo social. Sujeto y cuerpo son mutuamente constitutivos; el cuerpo es el medio a través del cual el sujeto vive experiencias en el mundo social, y son esas experiencias las que llevan al sujeto a encarnar las diferencias sociales, materializadas en género, sexo, clase social y raza. A pesar de esta relación indisociable, para facilitar el análisis, una parte se concentra en el cuerpo y otra en la subjetividad. Así, para entender la dimensión corporal se puso en tensión la representación con la experiencia vivida, a través del análisis audiovisual y la observación etnográfica leída en conjunto. En el caso de la subjetividad, se puso en tensión la vida en la narrativa de ficción con las narraciones de vida en entrevistas, para también encontrar los puentes entre las representaciones y la experiencia vital. Esta investigación fue un estudio cualitativo y transdisciplinario. Se utilizaron diversos recursos metodológicos para construir el análisis. Se realizó observación etnográfica en diversos bares y clubs a ambos lados de la frontera, que son frecuentados por personas que se adscriben al mundo de la narcocultura o bien, que trabajan dentro de las redes del narcotráfico. En las incursiones a estos sitios, se observó el físico de las mujeres: su manera de vestir, su arreglo personal, sus formas corporales. Se observó la conducta: las gestualidades y las interacciones con otros sujetos en el espacio. Además, se observó el espacio, para ver cómo se establecían reglas, límites y jerarquizaciones en la disposición física de los lugares visitados. Se analizaron tres videos de narcocorridos a través de la video hermenéutica, para determinar cómo se representan las mujeres en estos artefactos culturales, usando los mismos criterios físicos y conductuales que mencioné anteriormente. El análisis de los videos de la mano del trabajo etnográfico ayudó a profundizar en los significados atribuidos a la corporalidad femenina, y también a los impactos que estos significados tienen en las vivencias y relaciones de estas mujeres. Se realizaron 5 entrevistas semi estructuradas con mujeres que se identificaban con la narcocultura. Algunas sólo simpatizan con el estilo de vida, otras estuvieron involucradas de alguna manera en el negocio ilegal de drogas. En las entrevistas se exploraron narraciones sobre sus vidas donde se revelaban discursos sobre qué es lo femenino, qué significa ser mujer y cómo se vive el ser mujer en el mundo del narcotráfico. Adicionalmente, utilicé las narraciones de dos textos literarios de la narrativa sobre narcotráfico del norte de México. En estos dos textos, los personajes principales son mujeres. Analicé cómo se construye al sujeto femenino en la narración y qué discursos se transparentan en el texto sobre la feminidad y ser una mujer en el mundo del narco. Aquí también se puso en tensión la representación y la experiencia de vida, buscando en el análisis de la narración literaria y las experiencias narradas por las mujeres, discursos comunes que explicaran los procesos de subjetivación femenina dentro de la narcocultura mexicana. La primera parte del análisis articuló la observación etnográfica con el material audiovisual para entender las exigencias estéticas que la narcocultura demanda a las mujeres y las maneras en que ellas transforman su cuerpo para complacer esta demanda. La narcocultura impone a las mujeres un ideal estético que se convierte en un medio de acceso a un tipo de poder. Este ideal exige un tipo particular de fisonomía y de apariencia personal, que las mujeres intentan reproducir a través de intervenciones en el cuerpo, con el maquillaje y el peinado y/o la cirugía estética. Además, demanda cierto estilo de moda, en ropa y accesorios, de marcas de lujo de consumo global. Entre más fielmente se reproduzca este ideal, las mujeres están en posibilidad de acceder a beneficios económicos y sociales que les dan márgenes de acción dentro de este entorno social. El cuerpo de las mujeres se convierte en el recurso primario para la movilidad social y la agencia dentro de este mundo. El cuerpo es el signo principal para determinar el lugar de las mujeres dentro de los sistemas de jerarquización, de inclusión y exclusión en los espacios físicos y sociales que fabrica el narcotráfico. Estos mecanismos de diferencia reproducen las desigualdades sociales, de género, edad, posición social y raza que se observan en otros ámbitos de la sociedad mexicana. La observación etnográfica y el análisis audiovisual revelan que las posibilidades para performar la feminidad está confinado a limites muy estrechos. Alicia Gaspar de Alba llama a esto The Three Maria Syndrome, que ella define como “the patriarchal social discourse of Chicano/Mexicano culture that constructs women’s gender and sexuality according to three Biblical archetypes -virgins, mothers and whores-” (Gaspar de Alba, 2014, pos.3412). Estas representaciones femeninas son alegorías a las constricciones que la cultura machista mexicana impone sobre las mujeres, sometiéndolas a un repertorio restringido de opciones de vida y al control social de su sexualidad. Las mujeres dentro de la narcocultura tienen un lugar en él en función de su belleza física, el cuerpo es el referente principal para definirse como sujetos. Las mujeres son objetos de deseo, cuya belleza es una joya más para la corona de un narcotraficante, una posesión más para ostentar su poderío. Al mismo tiempo, aparecen cada vez más las representaciones femeninas como sujetos activos, participando del negocio y de la violencia a la par de los hombres. Se observan transgresiones al ideal de feminidad que se exige a la mujer tradicional en la cultura mexicana. La docilidad, la suavidad y la sumisión que se espera, el recato y la compostura, no está presente. Las mujeres adoptan cualidades consideradas masculinas, tomando para sí el ejercicio de la violencia y la agresividad sexual para demostrar que ellas también pueden navegar un mundo agresivo e hipermasculino. A pesar de esto, esta mujer guerrera y valiente está dentro de los confines limitados que la cultura patriarcal impone al régimen heterosexual. Siguen al pie de la letra la prescripción del Three Maria Syndrome. Esto queda patente un sistema de jerarquización a través de la cual se evalúa a las mujeres dentro de la narcocultura. Las mujeres son juzgadas a partir de criterios que intersectan componentes raciales, de género y de clase. Aunque las maneras en las que estas marcas de diferencia se encarnan en un cuerpo femenino de manera muy diversa, se puede identificar, a través de las representaciones y la observación etnográfica, que las mujeres más privilegiadas, son mujeres que encarnan los signos de una posición económica alta: tienen tez clara, son atractivas y cuidan su apariencia para presentar signos de feminidad de manera discreta, y su conducta proyecta compostura y respetabilidad, en función de su restricción, particularmente en la expresión de la sexualidad. A las mujeres que encarnan estos signos de feminidad se les respeta y se consideran valiosas. Su valor se formaliza a través de la respetabilidad del contrato matrimonial: este tipo de performance de género lo reproducen, por lo general, mujeres esposas de narcotraficantes. En el otro extremo del espectro están las mujeres menos valoradas: son mujeres morenas, que utilizan una estética asociada con la clase trabajadora, por lo general ostentosa y recargada de decoraciones. La conducta de estas mujeres se juzga como vulgar y sin restricciones. A las mujeres que encarnan este tipo de feminidad se les discrimina y cosifica, son las más vulnerables a la violencia en función del poco valor que tienen dentro del mundo del narcotráfico. La buchona representa una versión devaluada de la feminidad, que choca con el decoro y la discreción que exigen las normas tradicionales de género. Son mujeres que se consideran vulgares, porque sus cuerpos portan signos de una sexualidad agresiva, porque adoptan conductas que irrumpen las restricciones sociales impuestas a las mujeres, porque sus prácticas y consumos culturales están asociadas a las clases trabajadoras y rurales. En las mujeres que entrevisté hay un conflicto entre la atractiva libertad que promete la transgresión de ser buchona y el deseo de respetabilidad que otorga ser una mujer que cumple con lo que la sociedad exige. Uno de los dilemas al centro de performar el cuerpo buchón es la batalla entre una feminidad aceptada socialmente, pero restrictiva y una feminidad que otorga poder, pero castiga. Por este motivo, las mujeres que entrevisté rechazaban ser nombradas como buchonas y preferían llamarse a sí mismas cabronas. En este contexto particular, la palabra cabrona es una resignificación de un término coloquial castellano, usado para ofender. Aquí, la mujer cabrona se convierte en un eje articulador para la constitución de subjetividades femeninas dentro de la narcocultura. La cabrona es un tropo femenino que entrelaza narrativas sobre ser mujer que circulan a nivel global con narrativas locales sobre la feminidad. Asumirse “cabrona”, se convierte en un recurso para enfrentar un mundo violento y encontrar estrategias de acción en un espacio claramente dominado por los hombres. La cabrona representa independencia y fuerza, autonomía y acción. La cabrona confronta los discursos tradicionales de una feminidad abnegada y dócil, con diferentes matices, aparentemente interpelando la dominación masculina. Por lo mismo, carga un fuerte estigma. La cultura de masas también produce representaciones sobre la cabrona. Se transmiten en discursos de género que circulan a través de imágenes en las redes sociales, en libros y workshops del mercado de autoayuda en el mundo entero, y que promueven una idea de mujer indócil frente a la gente de su entorno, suscrita al consumo y al individualismo de la cultura capitalista. En estas representaciones culturales contemporáneas, la mujer es fuerte e insumisa, pero conservando códigos corporales y prácticas femeninas. En el contexto concreto de la narcocultura, los discursos globales sobre una mujer fuerte e independiente con poder económico y a cargo de su sexualidad, se encuentran con las condiciones particulares del norte mexicano. La violencia extrema, el machismo, las desigualdades sociales pronunciadas y la crisis de legitimidad del Estado intervienen para que estos discursos globales sobre la mujer muten en la representación de la buchona y la cabrona, interpretaciones locales de un discurso de género global. Para las mujeres, asumirse cabrona es un recurso para enfrentar un mundo violento y encontrar estrategias de acción en un espacio claramente dominado por los hombres. Ayuda a enfrentar la violencia perpetrada sobre ella, abre la posibilidad a ser la victimaria. La cabrona es la reacción que provoca el cuerpo femenino vulnerable y vulnerado, pero también, es la posibilidad de apropiarse de la violencia para ejercerla sobre otros cuerpos. Implica independencia, libertad sexual y éxito económico, evidenciadas por el consumo y el estilo de vida. Cuando niegan ser buchonas, están rechazando todos los estigmas que acarrea la palabra. No se reconocen en la discriminación de clase, las connotaciones raciales y los prejuicios sexistas que contiene. Prefieren cabrona porque es una manera de escindirse de los discursos negativos que se vuelcan sobre ellas, es un camino de acceso a una feminidad global que los medios de comunicación masiva presentan como ideal. El análisis exploró qué elementos componían este tropo femenino a través de las entrevistas a mujeres y de personajes femeninos en novelas sobre narcotráfico, para encontrar puentes entre la ficción y la experiencia vital. La belleza y la capacidad de seducir tiene una utilidad ambivalente. Por un lado, todo el tiempo, dinero y cuidado que se invierte en apropiarse de un ideal estético, es para convertirse en una mujer que un narco pueda presumir. Para las mujeres es un motivo de orgullo saberse deseadas y puestas en aparador. Las mujeres están sometidas a las presiones que genera la creencia de que, para sobrevivir, hay que ser bella. En los textos literarios y en las entrevistas, se transparenta una naturalización del lugar de la mujer como objeto de ostentación para el hombre y, además, la validación que sienten las mujeres al ser reconocidas como bellas. La ficción y la vida nos presentan la precaria condición del sujeto femenino en la narcocultura. Es una subjetividad anclada a los discursos que demandan un ideal de belleza imposible para las mujeres y que encajonan el ser mujer a los caprichos y necesidades del hombre. Sin embargo, la belleza femenina tiene otra faceta. La subjetividad femenina en la narcocultura no sólo es resultado del sometimiento de la mujer a los discursos que regulan su apariencia y su conducta. La belleza también es un instrumento al servicio de las mujeres para acceder a dinero y poder. La belleza y el poder de seducción femenino se convierten en estrategias de subsistencia, y esto transforma a la mujer de un objeto sometido a un sujeto que somete. La belleza y la seducción podrán dar a las mujeres ciertos márgenes de acción, pero esto tiene límites muy claros. Aunque estas estrategias femeninas muevan la balanza de poder hacía el sujeto femenino, hay que recordar el contexto. Están insertas en un mundo violento y machista, así que ejercer ese poder es un ejercicio de equilibrio muy delicado y arriesgado. Las mujeres que habitan la narcocultura están inmersas es un mundo de violencia, y no conocer y respetar las reglas y límites significa un riesgo de muerte. La muerte violenta es una consecuencia muy real por cometer errores en este mundo. Esto lleva a tercer componente de ser cabrona: el riesgo. Para los hombres y mujeres que se involucran en el mundo cultural del narcotráfico, perseguir el riesgo es parte integral de vivir y es una parte importante de la constitución de subjetividades en la narcocultura. En las narraciones de las entrevistas y en las narraciones literarias, hay muchos momentos donde las mujeres viven situaciones de riesgo que ponen en peligro hasta sus vidas. A través de las narraciones se asoma la manera en qué ellas interpretan su papel en la situación y cómo se ven a sí mismas en función de esas experiencias. El riesgo le da sentido al carácter recio y atrevido que demanda asumir el rol de una cabrona, pero también expone la vulnerabilidad de la condición de las mujeres en un mundo violento. Tomar riesgos es otra manera de afirmarse como mujeres fuertes y poner distancia con las disposiciones de género que les exigen ser dóciles y pasivas. Tienen que demostrar lo que valen frente a un mundo dominado por hombres y el control de sus emociones juega un rol fundamental en lograr esto. Sin embargo, el reconocimiento del miedo y vulnerabilidad es, paradójicamente, lo que las ayuda a sobrevivir. Detrás de los discursos de fuerza y poder femenino, se revela la fragilidad de unas vidas sumergidas en un mundo donde la violencia y el machismo deja a las mujeres en el filo de la vida y de la muerte. Para el caso que nos compete, el vacío institucional para garantizar seguridad a las mujeres en México deja a estas mujeres absolutamente expuestas, y cobra sentido la adopción del discurso de la cabrona como estrategia de persistencia. Al investirse como cabronas, encuentran una manera de enfrentarse al mundo violento al que deciden pertenecer, aunque al final de cuentas, permanecen atrapadas en él.
Arbeitnehmer werden in der heutigen Informationsgesellschaft immer häufiger, genauer und dadurch intensiver überwacht. Die moderne Technik bietet dem Arbeitgeber qualitativ und quantitativ immer bessere Kontrollmechanismen. Dabei werden die verschiedenen Überwachungsmethoden nicht selten heimlich angewandt, was das Persönlichkeitsrecht des Arbeitnehmers stark beeinträchtigt und sich oft in einer rechtlichen Grauzone abspielt.
Das Thema der Überwachung am Arbeitsplatz und der Datenschutz stehen in Deutschland insbesondere seit dem Inkrafttreten der DSGVO im Mittelpunkt juristischer Diskussionen. Im Gegensatz zum deutschen Recht fand die Diskussion zur Überwachung am Arbeitsplatz und zum Arbeitnehmerdatenschutz in der Türkei trotz der Regelung von Art. 419 tOR und der Verabschiedung des türkischen Datenschutzgesetzes im Jahr 2016 ihren verdienten Platz noch nicht.
Die Autorin nimmt zu den zentralen Streitfragen um die heimliche Überwachung am Arbeitsplatz in Deutschland und in der Türkei rechtsvergleichend Stellung und will somit zum einen in beiden Ländern das Bewusstsein für Persönlichkeits- und Datenschutz am Arbeitsplatz stärken, zum anderen herausfinden, ob die deutsche Vorgehensweise bei diesem Thema dem türkischen Gesetzgeber Lösungsalternativen bieten kann. Im Vordergrund der Untersuchungen stehen dabei die in der Praxis häufigsten heimlichen Überwachungsmethoden, die heimliche Videoüberwachung, die Überwachung durch Detektive, die Standortüberwachung durch GPS-Empfänger sowie die E-Mail-Überwachung.