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The occurrence of earthquakes is characterized by a high degree of spatiotemporal complexity. Although numerous patterns, e.g. fore- and aftershock sequences, are well-known, the underlying mechanisms are not observable and thus not understood. Because the recurrence times of large earthquakes are usually decades or centuries, the number of such events in corresponding data sets is too small to draw conclusions with reasonable statistical significance. Therefore, the present study combines both, numerical modeling and analysis of real data in order to unveil the relationships between physical mechanisms and observational quantities. The key hypothesis is the validity of the so-called "critical point concept" for earthquakes, which assumes large earthquakes to occur as phase transitions in a spatially extended many-particle system, similar to percolation models. New concepts are developed to detect critical states in simulated and in natural data sets. The results indicate that important features of seismicity like the frequency-size distribution and the temporal clustering of earthquakes depend on frictional and structural fault parameters. In particular, the degree of quenched spatial disorder (the "roughness") of a fault zone determines whether large earthquakes occur quasiperiodically or more clustered. This illustrates the power of numerical models in order to identify regions in parameter space, which are relevant for natural seismicity. The critical point concept is verified for both, synthetic and natural seismicity, in terms of a critical state which precedes a large earthquake: a gradual roughening of the (unobservable) stress field leads to a scale-free (observable) frequency-size distribution. Furthermore, the growth of the spatial correlation length and the acceleration of the seismic energy release prior to large events is found. The predictive power of these precursors is, however, limited. Instead of forecasting time, location, and magnitude of individual events, a contribution to a broad multiparameter approach is encouraging.
The paper studies catalytic super-Brownian motion on the real line, where the branching rate is controlled by a catalyst. D. A. Dawson, K. Fleischmann and S. Roelly showed, for a broad class of catalysts, that, as for constant branching, the processes are absolutely continuous measures. This paper considers a class of catalysts, called moderate, which must satisfy a uniform boundedness condition and a condition controlling the degree of singularity---essentially that the mass of catalyst in small balls should (uniformly) be of order r^a, where a>0. The main result of this paper shows that for this class of catalysts there is a continuous density field for the process. Moreover the density is the unique solution (in law) of an appropriate SPDE.
We present an excerpt of the document "Quantum Information Processing and Communication: Strategic report on current status, visions and goals for research in Europe", which has been recently published in electronic form at the website of FET (the Future and Emerging Technologies Unit of the Directorate General Information Society of the European Commission, http://www.cordis.lu/ist/fet/qipc-sr.htm). This document has been elaborated, following a former suggestion by FET, by a committee of QIPC scientists to provide input towards the European Commission for the preparation of the Seventh Framework Program. Besides being a document addressed to policy makers and funding agencies (both at the European and national level), the document contains a detailed scientific assessment of the state-of-the-art, main research goals, challenges, strengths, weaknesses, visions and perspectives of all the most relevant QIPC sub-fields, that we report here
We investigate the influence of spatial heterogeneities on various aspects of brittle failure and seismicity in a model of a large strike-slip fault. The model dynamics is governed by realistic boundary conditions consisting of constant velocity motion of regions around the fault, static/kinetic friction laws, creep with depth-dependent coefficients, and 3-D elastic stress transfer. The dynamic rupture is approximated on a continuous time scale using a finite stress propagation velocity ("quasidynamic model''). The model produces a "brittle- ductile'' transition at a depth of about 12.5 km, realistic hypocenter distributions, and other features of seismicity compatible with observations. Previous work suggested that the range of size scales in the distribution of strength-stress heterogeneities acts as a tuning parameter of the dynamics. Here we test this hypothesis by performing a systematic parameter-space study with different forms of heterogeneities. In particular, we analyze spatial heterogeneities that can be tuned by a single parameter in two distributions: ( 1) high stress drop barriers in near- vertical directions and ( 2) spatial heterogeneities with fractal properties and variable fractal dimension. The results indicate that the first form of heterogeneities provides an effective means of tuning the behavior while the second does not. In relatively homogeneous cases, the fault self-organizes to large-scale patches and big events are associated with inward failure of individual patches and sequential failures of different patches. The frequency-size event statistics in such cases are compatible with the characteristic earthquake distribution and large events are quasi-periodic in time. In strongly heterogeneous or near-critical cases, the rupture histories are highly discontinuous and consist of complex migration patterns of slip on the fault. In such cases, the frequency-size and temporal statistics follow approximately power-law relations
We show that realistic aftershock sequences with space-time characteristics compatible with observations are generated by a model consisting of brittle fault segments separated by creeping zones. The dynamics of the brittle regions is governed by static/kinetic friction, 3D elastic stress transfer and small creep deformation. The creeping parts are characterized by high ongoing creep velocities. These regions store stress during earthquake failures and then release it in the interseismic periods. The resulting postseismic deformation leads to aftershock sequences following the modified Omori law. The ratio of creep coefficients in the brittle and creeping sections determines the duration of the postseismic transients and the exponent p of the modified Omori law
Einfluss von Intraguild Predation auf die Dynamik der Planktonsukzession in einem sauren Bergbausee
(2005)
The military in Mexico started out as a revolutionary army that secured the regime of the governmental party PRI. The article discusses the change of this army into a national and hemispheric police force under the influence of the USA. Today, the functions of the Mexican army are a mix of fighting against drugs, organized delinquency, terrorism and counterinsurgency and cooperating with US as well as other Latin American forces.
We study the random-field Ising chain in the limit of strong exchange coupling. In order to calculate the free energy we apply a continuous Langevin-type approach. This continuous model can be solved exactly, whereupon we are able to locate the crossover between an exponential and a power-law decay of the free energy with increasing coupling strength. In terms of magnetization, this crossover restricts the validity of the linear scaling. The known analytical results for the free energy are recovered in the corresponding limits. The outcomes of numerical computations for the free energy are presented, which confirm the results of the continuous approach. We also discuss the validity of the replica method which we then utilize to investigate the sample-to-sample fluctuations of the finite size free energy
Hauptanliegen der Dissertation ist es, einen Entwurf einer praktischen Ästhetik zu lancieren, der an der Schnittstelle zwischen philosophischer Ästhetik und Kunst – genauer Performancekunst - im Zeichen der Bezugsgrösse der Verletzbarkeit steht. In jüngeren Ästhetikansätzen hat sich eine Auffassung herauskristallisiert, die nicht über, sondern mit Kunst reflektiert. Die Pointe im ‚Mit’ liegt darin, dass diese Ästhetiken die Kunst nicht erklären, sie bestimmen und damit ihre Bedeutung festlegen, sondern dass diese entlang der Kunst die Brüche, Widerstände und Zäsuren zwischen Wahrnehmen und Denken markieren und diese als produktiv bewerten. Diese Lesart etabliert ein Denken, das nicht aus der Distanz auf etwas schaut (theoria), sondern ästhetisch-reflektierend (zurückwendend, auch selbstkritisch) mit der Kunst denkt. Die Disziplin der Ästhetik - als aisthesis: Lehre der sinnlichen Wahrnehmung - nimmt innerhalb der Philosophie eine besondere Stellung ein, weil sie auf ebendiese Differenz verweist und deshalb sinnliche und nicht nur logisch-argumentatorische Denkfiguren stärkt. Als eine Möglichkeit, die Kluft, das Nicht-Einholbare, die brüchige Unzulänglichkeit des begrifflich Denkenden gegenüber ästhetischer Erfahrung zu stärken, schlage ich die Bezugsgrösse der Verletzbarkeit vor. Eine solche Ästhetik besteht aus dem Kreieren verletzbarer Orte, wobei diese auf zweierlei Weisen umkreist werden: Zum einen aus der Kunstpraxis heraus anhand der ästhetischen Figur des verletzbaren Körpes, wie er sich in der zeitgenössischen Performance zeigt. Zum anderen als ein Kreieren von Begriffen im Bewusstsein ihrer Verletzbarkeit. Ausgangspunkte sind die Denkentwürfe von Gilles Deleuze und Hans Blumenberg: Die Ästhetik von Gilles Deleuze entwirft eine konkrete Überschneidungsmöglichkeit von Kunst und Philosophie, aus der sich meine These des Mit-Kunst-Denkens entwickeln lässt. Sie kann aus der Grundvoraussetzung des Deleuzeschen Denkens heraus begründet werden, die besagt, dass nicht nur die Kunst, sondern auch die Philosophie eine schöpferische Tätigkeit ist. Beide Disziplinen beruhen auf dem Prinzip der creatio continua, durch welche die Kunst Empfindungen und die Philosophie Begriffe schöpft, wobei eben genau dieser schöpferische Prozess Kunst und Philosophie in ein produktives Verhältnis zueinander treten lässt. Wie Deleuze seine Begriffsarbeit entlang künstlerischer Praxis entwickelt, wird anhand der Analyse des bis heute wenig rezipierten Textes Ein Manifest weniger in Bezug auf das Theater von Carmelo Bene analysiert. Eine ganz anderen Zugang zum Entwurf einer praktischen Ästhetik liefert Hans Blumenberg, der eine Theorie der Unbegrifflichkeit in Aussicht stellt. Im Anschluss an seine Forderung, die Metapher wieder vermehrt in die philosophische Denkpraxis zu integrieren, radikalisiert er seine Forderung, auch das Nichtanschauliche zu berücksichtigen, indem er das gänzlich Unbegriffliche an die Seite des Begrifflichen stellt. Definitorische Schwäche zeigt sich als wahrhaftige Stärke, die in der Unbegrifflichkeit ihren Zenit erreicht. Der Schiffbruch wird von mir als zentrale Metapher – gewissermassen als Metapher der Metapher – verstanden, die das Auf-Grund-Laufen des Allwissenden veranschaulicht. Im Schiffbruch wird die produktive Kollision von Theorie und Praxis deutlich. Deleuze und Blumenberg zeigen über ‚creatio continua’ und ‚Unbegrifflichkeit’ die Grenzen des Begreifens, indem sie betonen, dass sich Ästhetik nicht nur auf künstlerische Erfahrungen bezieht, sondern selber in das Gegenwärtigmachen von Erfahrungen involviert ist. Daraus folgt, dass ästhetische Reflexion nicht nur begrifflich agieren muss. Die praktische Ästhetik animiert dazu, andere darstellerische Formen (Bilder, Töne, Körper) als differente und ebenbürtige reflexive Modi anzuerkennen und sie als verletzbarmachende Formate der Sprache an die Seite zu stellen. Diese Lesart betont den gestalterischen Aspekt der Ästhetik selber. Zur Verdeutlichung dieser Kluft zwischen (Körper-)Bild und Begriff ist der von mir mitgestaltete Film Augen blickeN der Dissertation als Kapitel beigefügt. Dieser Film zeigt Performer und Performerinnen, die sich bewusst entschieden haben, ihren ‚abweichenden’ Körper auf der Bühne zu präsentieren. Das Wort Verletzbarkeit verweist auf die paradoxe Situation, etwas Brüchiges tragfähig zu machen und dadurch auch auf eine besondere Beziehungsform und auf ein existenzielles Aufeinander-Verwiesensein der Menschen. Verletzbarkeit geht alle an, und stiftet deshalb eine Gemeinsamkeit besonderer Art. In diesem Sinne sind verletzbare Orte nicht nur ästhetische, sondern auch ethische Orte, womit die politische Dimension des Vorhabens betont wird.
Thermobarometrical and mineral-chemical investigations by electron microprobe and LA-ICP-MS on a sillimanite- bearing pegmatoid from the Reinbolt Hills provide important constraints on the P-T-X-age relations of part of East Antarctica during Pan-African tectonism. U-Th-total Pb ages of monazite imply that the pegmatoid of originally Grenvillan age (zircon U-Pb age of ca. 900 Ma) underwent a major, late Pan-African (Cambrian) regional, granulite-facies metamorphism between 500 and 550 Ma. Most of the monazite formed during this event, as result of apatite metasomatism owing to infiltration of high-grade metamorphic fluids. Apatite-biotite and other mineral thermobarometers define the peak metamorphic temperatures and pressures with 850-950 degrees C and 0.8-1.0 GPa. The F-Cl-OH relations in apatite, and biotite, the chemistry of fluid inclusions and the presence of K-feldspar microveins suggest that the metasomatising fluid was a CO2-bearing, diluted KCl brine. The pegmatoid is the first record of monazite-(Ce) formed from fluorapatite that is rich in U (up to 2.6 Wt% UO2) and possesses Th/U ratios <1 (0.09 on average). These chemical signatures are direct reflection of the U and Th concentration patterns in the parental fluorapatite
Auf seinen Reisen traf Alexander von Humboldt wiederholt Personen, die später die zufällige Begegnung oder eine flüchtige Bekanntschaft mit ihm für ihren sozialen bzw. gesellschaftlichen Aufstieg zu nutzen versuchten. So war es auch mit Karolina Jaenisch (1810-1893), der späteren K. Karlovna Pavlova, der Tochter eines in Russland ansässigen deutschen Hochschullehrers. Humboldt begegnete ihr 1829 in Moskau bei einer Soiree, und er soll sie zu weiterem literarischen (dichterischen) Schaffen ermuntern haben. Humboldt nahm damals ein Bruchstück des von ihr aus dem Polnischen ins Deutsche übersetzten Poems „Konrad Wallenrod“ von Adam Mickiewicz, dem späteren polnischen prince des poètes, mit, und übergab es Goethe. Zu jener Zeit war Karolina sehr eng mit Mickiewicz befreundet und beteuerte ihm in Briefen ihre grenzlose und ewige Liebe. Mickiewicz war aber fest entschlossen, Russland für immer zu verlassen. Das tat er 1829. In ihrem Sonett „An Alexander von Humboldt“ drückte sie, nach Meinung von Literaturkritikern, ihren unstillbaren Schmerz über den Verlust des geliebten Mickiewicz aus. Humboldt traf Karolina noch einmal 30 Jahre später in Berlin.
This thesis is concerned with the solution of the blind source separation problem (BSS). The BSS problem occurs frequently in various scientific and technical applications. In essence, it consists in separating meaningful underlying components out of a mixture of a multitude of superimposed signals. In the recent research literature there are two related approaches to the BSS problem: The first is known as Independent Component Analysis (ICA), where the goal is to transform the data such that the components become as independent as possible. The second is based on the notion of diagonality of certain characteristic matrices derived from the data. Here the goal is to transform the matrices such that they become as diagonal as possible. In this thesis we study the latter method of approximate joint diagonalization (AJD) to achieve a solution of the BSS problem. After an introduction to the general setting, the thesis provides an overview on particular choices for the set of target matrices that can be used for BSS by joint diagonalization. As the main contribution of the thesis, new algorithms for approximate joint diagonalization of several matrices with non-orthogonal transformations are developed. These newly developed algorithms will be tested on synthetic benchmark datasets and compared to other previous diagonalization algorithms. Applications of the BSS methods to biomedical signal processing are discussed and exemplified with real-life data sets of multi-channel biomagnetic recordings.
We consider networks of chaotic maps with different network topologies. In each case, they are coupled in such a way as to generate synchronized chaotic solutions. By using the methods of control of chaos we are controlling a single map into a predetermined trajectory. We analyze the reaction of the network to such a control. Specifically we show that a line of one-dimensional logistic maps that are unidirectionally coupled can be controlled from the first oscillator whereas a ring of diffusively coupled maps cannot be controlled for more than 5 maps. We show that rings with more elements can be controlled if every third map is controlled. The dependence of unidirectionally coupled maps on noise is studied. The noise level leads to a finite synchronization lengths for which maps can be controlled by a single location. A two-dimensional lattice is also studied. (C) 2005 American Institute of Physics
Noise-sustained and controlled synchronization of stirred excitable media by external forcing
(2005)
Most of the previous studies on constructive effects of noise in spatially extended systems have focused on static media, e.g., of the reaction diffusion type. Because many active chemical or biological processes occur in a fluid environment with mixing, we investigate here the interplay among noise, excitability, mixing and external forcing in excitable media advected by a chaotic flow, in a two-dimensional FitzHugh-Nagumo model described by a set of reaction- advection-diffusion equations. In the absence of external forcing, noise may generate sustained coherent oscillations of the media in a range of noise intensities and stirring rates. We find that these noise-sustained oscillations can be synchronized by external periodic signals much smaller than the threshold. Analysis of the locking regions in the parameter space of the signal period, stirring rate and noise intensity reveals that the mechanism underlying the synchronization behaviour is a matching between the time scales of the forcing signal and the noise-sustained oscillations. The results demonstrate that, in the presence of a suitable level of noise, the stirred excitable media act as self-sustained oscillatory systems and become much easier to be entrained by weak external forcing. Our results may be verified in experiments and are useful to understand the synchronization of population dynamics of oceanic ecological systems by annual cycles
Facile organization of the inorganic sandwiched heteropolytungstomolybdate K-13[Eu(SiW9Mo2O39)(2)] (E) into highly ordered supramolecular nanostructured materials by complexation with a series of cationic surfactants is achieved by the ionic self-assembly (ISA) route. The structure and phase behavior of the complexes were examined by IR spectroscopy, differential scanning calorimetry, optical microscopy, and small- and wide-angle X-ray scattering. This class of materials shows a number of interesting physicochemical properties, namely liquid-crystalline phases (both thermotropic and lyotropic) and strong photoluminescence. The photophysical behavior (fluorescence spectra, fluorescence lifetimes, fluorescence quantum yield) of the complexes differs widely in solid powders, films, and solutions. The amphiphilic cationic surfactants not only play a structural role but also have a strong influence on the photophysical properties of E. The photophysical behavior of E can in this way be easily modified by its organizational motifs
This thesis aimed to investigate several fundamental and perplexing questions relating to the phloem loading and transport mechanisms of Cucurbita maxima, by combining metabolomic analysis with cell biological techniques. This putative symplastic loading species has long been used for experiments on phloem anatomy, phloem biochemistry, phloem transport physiology and phloem signalling. Symplastic loading species have been proposed to use a polymer trapping mechanism to accumulate RFO (raffinose family oligosaccharides) sugars to build up high osmotic pressure in minor veins which sustains a concentration gradient that drives mass flow. However, extensive evidence indicating a low sugar concentration in their phloem exudates is a long-known problem that conflicts with this hypothesis. Previous metabolomic analysis shows the concentration of many small molecules in phloem exudates is higher than that of leaf tissues, which indicates an active apoplastic loading step. Therefore, in the view of the phloem metabolome, a symplastic loading mechanism cannot explain how small molecules other than RFO sugars are loaded into phloem. Most studies of phloem physiology using cucurbits have neglected the possible functions of vascular architecture in phloem transport. It is well known that there are two phloem systems in cucurbits with distinctly different anatomical features: central phloem and extrafascicular phloem. However, mistaken conclusions on sources of cucurbit phloem exudation from previous reports have hindered consideration of the idea that there may be important differences between these two phloem systems. The major results are summarized as below: 1) O-linked glycans in C.maxima were structurally identified as beta-1,3 linked glucose polymers, and the composition of glycans in cucurbits was found to be species-specific. Inter-species grafting experiments proved that these glycans are phloem mobile and transported uni-directionally from scion to stock. 2) As indicated by stable isotopic labelling experiments, a considerable amount of carbon is incorporated into small metabolites in phloem exudates. However, the incorporation of carbon into RFO sugars is much faster than for other metabolites. 3) Both CO2 labelling experiments and comparative metabolomic analysis of phloem exudates and leaf tissues indicated that metabolic processes other than RFO sugar metabolism play an important role in cucurbit phloem physiology. 4) The underlying assumption that the central phloem of cucurbits continuously releases exudates after physical incision was proved wrong by rigorous experiments including direct observation by normal microscopy and combined multiple-microscopic methods. Errors in previous experimental confirmation of phloem exudation in cucurbits are critically discussed. 5) Extrafascicular phloem was proved to be functional, as indicated by phloem-mobile carboxyfluorescein tracer studies. Commissural sieve tubes interconnect phloem bundles into a complete super-symplastic network. 6) Extrafascicular phloem represents the main source of exudates following physical incision. The major transported metabolites by these extrafacicular phloem are non-sugar compounds including amino acids, O-glycans, amines. 7) Central phloem contains almost exclusively RFO sugars, the estimated amount of which is up to 1 to 2 molar. The major RFO sugar present in central phloem is stachyose. 8) Cucurbits utilize two structurally different phloem systems for transporting different group of metabolites (RFO sugars and non-RFO sugar compounds). This implies that cucurbits may use spatially separated loading mechanisms (apoplastic loading for extrafascicular phloem and symplastic loading for central phloem) for supply of nutrients to sinks. 9) Along the transport systems, RFO sugars were mainly distributed within central phloem tissues. There were only small amounts of RFO sugars present in xylem tissues (millimolar range) and trace amounts of RFO sugars in cortex and pith. The composition of small molecules in external central phloem is very different from that in internal central phloem. 10) Aggregated P-proteins were manually dissected from central phloem and analysed by both SDS-PAGE and mass spectrometry. Partial sequences of peptides were obtained by QTOF de novo sequencing from trypsin digests of three SDS-PAGE bands. None of these partial sequences shows significant homology to known cucurbit phloem proteins or other plant proteins. This proves that these central phloem proteins are a completely new group of proteins different from those in extrafascicular phloem. The extensively analysed P-proteins reported in literature to date are therefore now shown to arise from extrafascicular phloem and not central phloem, and therefore do not appear to be involved in the occlusion processes in central phloem.
We investigate the lifetime of magnetically trapped atoms above a planar, layered atom chip structure. Numerical calculations of the thermal magnetic noise spectrum are performed, based on the exact magnetic Green function and multi layer reflection coefficients. We have performed lifetime measurements where the center of a side guide trap is laterally shifted with respect to the current carrying wire using additional bias fields. Comparing the experiment to theory, we find a fair agreement and demonstrate that for a chip whose topmost layer is metallic, the magnetic noise depends essentially on the thickness of that layer, as long as the layers below have a, much smaller conductivity; essentially the same magnetic noise would be obtained with a metallic membrane suspended in vacuum. Based on our theory we give general scaling laws of how to reduce the effect of surface magnetic noise on the trapped atoms
Este artículo tiene dos objetivos principales. Ambos están motivados por el hallazgo del diario humboldtiano sobre Cuba en 1804, hasta ahora desconocido (en la Biblioteka Jagiellonska Kraków por Ulrike Leitner). Primero, el artículo pretende exponer la génesis tanto discontinuada como coherente de la enemistad humboldtiana con la esclavitud (que culmina en cierto grado en este “nuevo” diario y que configura in nuce el “Ensayo sobre Cuba” del propio Humboldt). Segundo, el artículo presenta la – a nivel de la historia de las sciencias – sensación, que Humboldt empezó a aplicar sistemáticamente métodos de comparación scientífica a las condiciones sociales, históricas y socio-económicas de la esclavitud, cuando en 1804 supo en Veracruz o La Habana de la proclamación del estado “Haity”. Estos dos reconocimientos del artículo presente cambian profundamente nuestros conocimientos de la relación política de Humboldt en cuanto a dos grupos mayores de la población (partes de la élite criolla que planificó fundar “una república blanca” a manera de la revolución francesa de 1789 y el grupo o la “casta” de los llamados “pardos”) en “el umbral de la revolución de Independencia”.
The performance of highly soluble regioregular poly[ (3-hexylthiophene)-co-(3-octylthiophetie)] (P3HTOT) as a semiconducting material in organic field-effect transistors (OFETs) is presented in comparison to that of the corresponding homopolymers. Transistors made from as-prepared layers of P3HTOT exhibit a mobility of ca. 7 x 10(-3) cm(2) V-1 s(-1), which is comparable to the performance of transistors made from as-prepared poly(3-hexylthiophene) (P3HT) and almost 6 times larger than the mobility of transistors prepared with poly(3-octylthiophene) (P3OT). On the other hand, the solubility parameter delta(p) of P3HTOT is close to that of the highly soluble P3OT. Moreover, compared to a physical blend of poly(3-hexylthiophene) and poly(3-octylthiophene), the mobility of P3HTOT devices is almost twice as large and the performance does not degrade upon annealing at elevated temperatures. Therefore, the copolymer approach outlined here may be one promising step toward an optimum balance between a Sufficient processability of the polymers from common organic solvents, a high solid state order, and applicable OFET performances
The effect of oxygen plasma treatment and/or silanization with hexamethyldisilazane (HMDS) on the surface chemistry and the morphology of the SiO2-gate insulator were studied with respect to the performance of organic field effect transistors. Using X-ray photoelectron spectroscopy (XPS), it is shown that silanization leads to the growth of a polysiloxane interfacial layer and that longer silanization times increase the thickness of this layer. Most important, silanization reduces the signal from surface contaminations such as oxidized hydrocarbon molecules. In fact, the lowest concentration of these contaminations was found after a combined oxygen plasma/silanization treatment. The results of these investigations were correlated with the characteristic device parameters of polymer field effect transistors with poly(3-hexylthiophene)s as the semiconducting layer. We found that the field effect mobility correlates with the concentration of contaminations as measured by XPS. We, finally, demonstrate that silanization significantly improves the operational stability of the device in air compared to the untreated devices
The article provides historical background for Alexander von Humboldt’s expedition into Russia in 1829. It includes information on Humboldt’s works and publications in Russia over the course of his lifetime, as well as an explanation of the Russian scientific community’s response to those works. Humboldt’s ideas on the existence of an active volcano in Central Asia attracted the attention of two prominent Russian geographers, P. Semenov and P. Kropotkin, whose views on the nature of volcanism were quite different. P. Semenov personally met Humboldt in Berlin. P. Kropotkin made one of the most important geological discoveries of the 19th Century: he found the fresh volcanic cones near Lake Baikal.
Soon after Humboldt’s Russian expedition, and partly as a result of it, an important mineral was found in the Ilmen mountains – samarskite, which later gave its name to the chemical element Samarium, developed in 1879. At the beginning of the 20th Century, the Russian scientist V. Vernadskiy pointed out that samarskite was the first uranium-rich mineral found in Russia.
Recently it has been shown that lateral carrier confinement in an InGaAs quantum well (QW) embedded in GaAs can be achieved by using a laterally patterned InGaP stressor layer on top of the heterostructure. To exploit this effect in a device the structure has to be planarized by a second epitaxial step. It has been shown that the lateral strain modulation almost vanishes after overgrowth with GaAs, whereas overgrowth with a single ternary layer of opposite strain compared to the stressor layer suffers from strain induced decomposition. Here we show that the lateral carrier confinement of the initially free standing nanostructure can almost be maintained using a two step process for overgrowth, where a strained thin ternary layer is grown first followed by GaAs up to complete planarization of the patterned structure. Thickness and composition of the ternary layer are adjusted on the basis of finite element calculations of the strain distribution (FEM). The strain field achieved after overgrowth is probed by X-ray grazing- incidence diffraction (GID). (c) 2005 Elsevier B.V. All rights reserved
This paper examines the effect of spatially variable initial soil moisture and spatially variable precipitation on predictive uncertainty of simulated catchment scale runoff response in the presence of threshold processes. The underlying philosophy is to use a physically based hydrological model named CATFLOW as a virtual landscape, assuming perfect knowledge of the processes. The model, which in particular conceptualizes preferential flow as threshold process, was developed based on intensive process and parameter studies and has already been successfully applied to simulate flow and transport at different scales and catchments. Study area is the intensively investigated Weiherbach catchment. Numerous replicas of spatially variable initial soil moisture or spatially variable precipitation with the same geostatistical properties are conditioned to observed soil moisture and precipitation data and serve as initial and boundary conditions for the model during repeated simulations. The effect of spatially soil moisture on modeling catchment runoff response was found to depend strongly on average saturation of the catchment. Different realizations of initial soil moisture yielded strongly different hydrographs for intermediate initial soil moisture as well as in dry catchment conditions; in other states the effect was found to be much lower. This is clearly because of the threshold nature of preferential flow as well as the threshold nature of Hortonian production of overland flow. It was shown furthermore that the spatial pattern of a key parameter (macroporosity) that determined threshold behavior is of vast importance for the model response. The estimation of these patterns, which is mostly done based on sparse observations and expert knowledge, is a major source for predictive model uncertainty. Finally, it was shown that the usage of biased, i.e. spatially homogenized precipitation, input during parameter estimation yields a biased model structure, which gives poor results when used with highly distributed input. If spatially highly resolved precipitation was used during model parameter estimation. the predictive uncertainty of the model was clearly reduced. (c) 2005 Elsevier B.V. All rights reserved
We study several algorithms to simulate bone mass loss in two-dimensional and three-dimensional computed tomography bone images. The aim is to extrapolate and predict the bone loss, to provide test objects for newly developed structural measures, and to understand the physical mechanisms behind the bone alteration. Our bone model approach differs from those already reported in the literature by two features. First, we work with original bone images, obtained by computed tomography (CT); second, we use structural measures of complexity to evaluate bone resorption and to compare it with the data provided by CT. This gives us the possibility to test algorithms of bone resorption by comparing their results with experimentally found dependencies of structural measures of complexity, as well as to show efficiency of the complexity measures in the analysis of bone models. For two-dimensional images we suggest two algorithms, a threshold algorithm and a virtual slicing algorithm. The threshold algorithm simulates bone resorption on a boundary between bone and marrow, representing an activity of osteoclasts. The virtual slicing algorithm uses a distribution of the bone material between several virtually created slices to achieve statistically correct results, when the bone-marrow transition is not clearly defined. These algorithms have been tested for original CT 10 mm thick vertebral slices and for simulated 10 mm thick slices constructed from ten I mm thick slices. For three-dimensional data, we suggest a variation of the threshold algorithm and apply it to bone images. The results of modeling have been compared with CT images using structural measures of complexity in two- and three-dimensions. This comparison has confirmed credibility of a virtual slicing modeling algorithm for two-dimensional data and a threshold algorithm for three-dimensional data
At present, carbon sequestration in terrestrial ecosystems slows the growth rate of atmospheric CO2 concentrations, and thereby reduces the impact of anthropogenic fossil fuel emissions on the climate system. Changes in climate and land use affect terrestrial biosphere structure and functioning at present, and will likely impact on the terrestrial carbon balance during the coming decades - potentially providing a positive feedback to the climate system due to soil carbon releases under a warmer climate. Quantifying changes, and the associated uncertainties, in regional terrestrial carbon budgets resulting from these effects is relevant for the scientific understanding of the Earth system and for long-term climate mitigation strategies. A model describing the relevant processes that govern the terrestrial carbon cycle is a necessary tool to project regional carbon budgets into the future. This study (1) provides an extensive evaluation of the parameter-based uncertainty in model results of a leading terrestrial biosphere model, the Lund-Potsdam-Jena Dynamic Global Vegetation Model (LPJ-DGVM), against a range of observations and under climate change, thereby complementing existing studies on other aspects of model uncertainty; (2) evaluates different hypotheses to explain the age-related decline in forest growth, both from theoretical and experimental evidence, and introduces the most promising hypothesis into the model; (3) demonstrates how forest statistics can be successfully integrated with process-based modelling to provide long-term constraints on regional-scale forest carbon budget estimates for a European forest case-study; and (4) elucidates the combined effects of land-use and climate changes on the present-day and future terrestrial carbon balance over Europe for four illustrative scenarios - implemented by four general circulation models - using a comprehensive description of different land-use types within the framework of LPJ-DGVM. This study presents a way to assess and reduce uncertainty in process-based terrestrial carbon estimates on a regional scale. The results of this study demonstrate that simulated present-day land-atmosphere carbon fluxes are relatively well constrained, despite considerable uncertainty in modelled net primary production. Process-based terrestrial modelling and forest statistics are successfully combined to improve model-based estimates of vegetation carbon stocks and their change over time. Application of the advanced model for 77 European provinces shows that model-based estimates of biomass development with stand age compare favourably with forest inventory-based estimates for different tree species. Driven by historic changes in climate, atmospheric CO2 concentration, forest area and wood demand between 1948 and 2000, the model predicts European-scale, present-day age structure of forests, ratio of biomass removals to increment, and vegetation carbon sequestration rates that are consistent with inventory-based estimates. Alternative scenarios of climate and land-use change in the 21<sup>st century suggest carbon sequestration in the European terrestrial biosphere during the coming decades will likely be on magnitudes relevant to climate mitigation strategies. However, the uptake rates are small in comparison to the European emissions from fossil fuel combustion, and will likely decline towards the end of the century. Uncertainty in climate change projections is a key driver for uncertainty in simulated land-atmosphere carbon fluxes and needs to be accounted for in mitigation studies of the terrestrial biosphere.
The 26 December 2004 Sumatra-Andaman earthquake of Mw 9.3 triggered a massive tsunami in the Indian Ocean. We here report on observations of the Indian Ocean tsunami at broadband seismic stations located on islands in the area. The tsunami induces long-period (> 1000 s) signals on the horizontal components of the sensor. Frequency-time analysis shows that the long-period signals cannot be due to seismic surface waves, but that it arrives at the expected time of the tsunami. The waveforms are well correlated to tide gauge observations at a location where both observations are available. To explain the signals we favour tilt due to coastal loading but we cannot at the present stage exclude gravitational effects. The density of broadband stations is expected to increase rapidly in the effort of building an earthquake monitoring system. They may unexpectedly become useful tsunami detectors as well
We present deep optical observations of the gravitational lens system CLASS B0218 + 357, from which we derive an estimate for the Hubble constant (H-0). Extensive radio observations using the VLA, MERLIN, the VLBA and VLBI have reduced the degeneracies between H-0 and the mass model parameters in this lens to one involving only the position of the radio-quiet lensing galaxy with respect to the lensed images. B0218 + 357 has an image separation of only 334 mas, so optical observations have, up until now, been unable to resolve the lens galaxy from the bright lensed images. Using the new Advanced Camera for Surveys (ACS), installed on the Hubble Space Telescope in 2002, we have obtained deep optical images of the lens system and surrounding field. These observations have allowed us to determine the separation between the lens galaxy centre and the brightest image, and so estimate H-0. We find an optical galaxy position, and hence an H0 value, that varies depending on our approach to the spiral arms in B0218 + 357. If the most prominent spiral arms are left unmasked, we find H-0 = 70 +/- 5 km s(-1) Mpc(-1) (95 per cent confidence). If the spiral arms are masked out, we find H-0 = 61 +/- 7 km s(-1) Mpc(-1) (95 per cent confidence)
7a-O-methyldeguelol, a modified rotenoid with an open ring-C, from the roots of Derris trifoloata
(2005)
From the acetone extract of the roots of Derris trifoliata an isollavonoid derivative, named 7a-O- methyldeguelol, a modified rotenoid with an open ring-C, representing a new sub-class of isollavonoids (the sub-class is here named as rotenoloid), was isolated and characterised. In addition, the known rotenoids, rotenone, deguelin and alpha-toxicarol, were identified. The structures were determined on the basis of spectroscopic evidence. Rotenone and deguelin were identified as the larvicidal principles of the acetone extract of the roots of Derris trifoliata. (c) 2005 Elsevier Ltd. All rights reserved
The chloroform extract of the stem bark of Erythrina burttii showed antifungal and antibacterial activities using the disk diffusion method. Flavonoids were identified as the active principles. Activities were observed against fungi and Gram(+) bacteria, but the Gram(-) bacteria Escherichia coli was resistant. (c) 2005 Elsevier B.V. All rights reserved
Inositol polyphosphates, such as inositol trisphosphate, are pivotal intracellular signaling molecules in eukaryotic cells. In higher plants the mechanism for the regulation of the type and the level of these signaling molecules is poorly understood. In this study we investigate the physiological function of an Arabidopsis (Arabidopsis thaliana) gene encoding inositol polyphosphate kinase (AtIPK2alpha), which phosphorylates inositol 1,4,5-trisphosphate successively at the D-6 and D-3 positions, and inositol 1,3,4,5-tetrakisphosphate at D-6, resulting in the generation of inositol 1,3,4,5,6-pentakisphosphate. Semiquantitative reverse transcription-PCR and promoter-beta-glucuronidase reporter gene analyses showed that AtIPK2alpha is expressed in various tissues, including roots and root hairs, stem, leaf, pollen grains, pollen tubes, the flower stigma, and siliques. Transgenic Arabidopsis plants expressing the AtIPK2alpha antisense gene under its own promoter were generated. Analysis of several independent transformants exhibiting strong reduction in AtIPK2alpha transcript levels showed that both pollen germination and pollen tube growth were enhanced in the antisense lines compared to wild-type plants, especially in the presence of nonoptimal low Ca2+ concentrations in the culture medium. Furthermore, root growth and root hair development were also stimulated in the antisense lines, in the presence of elevated external Ca2+ concentration or upon the addition of EGTA. In addition, seed germination and early seedling growth was stimulated in the antisense lines. These observations suggest a general and important role of AtIPK2alpha, and hence inositol polyphosphate metabolism, in the regulation of plant growth most likely through the regulation of calcium signaling, consistent with the well-known function of inositol trisphosphate in the mobilization of intracellular calcium stores
Mitochondrial diseases may be caused by numerous mutations that alter proteins of the respiratory chain and of other metabolic pathways in the mitochondrium. For clinicians this disease group poses a considerable diagnostic challenge due to ambiguous genotype-phenotype relationships. Until now, only 30 % of the mitochondriopathies can be diagnosed at the molecular level. We therefore need a new diagnostic tool that offers a wide view on the mitochondrial proteins. Here, we present a method to generate a high-resolution, large-gel two-dimensional gel electrophoretic (2-DE) map of a purified fraction of mitochondrial proteins from Epstein-Barr virus-immortalized lymphoblastoid cell line (LCL). LCLs can be easily obtained from patients and control subjects in a routine clinical setting. They often express the biochemical phenotype and can be cultured to high cell numbers, sufficient to gain enough purified material for 2- DE. In total we identified 166 mitochondrial proteins. Thirteen proteins were earlier not known to be of mitochondrial origin. Thirty-nine proteins were associated with human diseases ranging from respiratory chain enzyme deficiencies to disorders of P-oxidation and amino acid metabolism. This 2-DE map is intended to be the first step to diagnose mitochondrial diseases at the proteomic level
Reductions in river discharge (water availability) like those from climate change or increased water withdrawal, reduce freshwater biodiversity. We combined two scenarios from the Intergovernmental Panel for Climate Change with a global hydrological model to build global scenarios of future losses in river discharge from climate change and increased water withdrawal. Applying these results to known relationships between fish species and discharge, we build scenarios of losses (at equilibrium) of riverine fish richness. In rivers with reduced discharge, up to 75% (quartile range 4-22%) of local fish biodiversity would be headed toward extinction by 2070 because of combined changes in climate and water consumption. Fish loss in the scenarios fell disproportionately on poor countries. Reductions in water consumption could prevent many of the extinctions in these scenarios
In this work, we report our investigations on the film-forming properties as well as the optical and electroluminescent characterisations of a series of lateral-substituted soluble oligo(phenylenevinylenes) of various conjugation length. Preliminary investigations show that these materials are potential candidates for use in organic light-emitting devices (OLEDs). Two types of OLEDs were fabricated: single layer (SL) and single heterostructure (SHS), with poly(p-phenylenevinylene) (PPV) as hole transporting layer. Our best results were obtained with single layer device emitting green light with a luminance of 0.18 cd m(-2) and 0.24 cd m(-2) at a driving voltage of 10 V. (c) 2004 Elsevier B.V. All rights reserved
Among plant remains from Mesolithic layers dating from 9249 to 7779 B.C. at the excavation site of Friesack IV in north-eastern Germany, nutlets of Urtica kioviensis were identified. Morphological studies have shown that they clearly differed from all other European Urtica species investigated. In contrast, pollen morphological investigations revealed only slight differences between the central European Urtica species, which could hardly have been noticed during routine or normal pollen analyses. The records of U. kioviensis nutlets are the first subfossil finds reported and prove the indigenous status of this taxon in north-eastern Germany. The records are discussed in the context of the overall species spectrum of the Mesolithic layers and consequences for the interpretation of pollen analytical studies concerning human impact are pointed out
"Woher kommt eigentlich ...?" : Sprachberatung und Sprachgeschichte an der Universität Potsdam
(2005)
We consider the additivity of the minimal output entropy and the classical information capacity of a class of quantum channels. For this class of channels, the norm of the output is maximized for the output being a normalized projection. We prove the additivity of the minimal output Renyi entropies with entropic parameters alpha is an element of [ 0, 2], generalizing an argument by Alicki and Fannes, and present a number of examples in detail. In order to relate these results to the classical information capacity, we introduce a weak form of covariance of a channel. We then identify various instances of weakly covariant channels for which we can infer the additivity of the classical information capacity. Both additivity results apply to the case of an arbitrary number of different channels. Finally, we relate the obtained results to instances of bi-partite quantum states for which the entanglement cost can be calculated
Aufgrund des großen Verhältnisses von Oberfläche zu Volumen zeigen Nanopartikel interessante, größenabhängige Eigenschaften, die man im ausgedehnten Festkörper nicht beobachtet. Sie sind daher von großem wissenschaftlichem und technologischem Interesse. Die Herstellung kleinster Partikel ist aus diesem Grund überaus wünschenswert. Dieses Ziel kann mit Hilfe von Mikroemulsionen als Templatphasen bei der Herstellung von Nanopartikeln erreicht werden. Mikroemulsionen sind thermodynamisch stabile, transparente und isotrope Mischungen von Wasser und Öl, die durch einen Emulgator stabilisiert sind. Sie können eine Vielzahl verschiedener Mikrostrukturen bilden. Die Kenntnis der einer Mikroemulsion zugrunde liegenden Struktur und Dynamik ist daher von außerordentlicher Bedeutung, um ein gewähltes System potentiell als Templatphase zur Nanopartikelherstellung einsetzen zu können. In der vorliegenden Arbeit wurden komplexe Mehrkomponentensysteme auf der Basis einer natürlich vorkommenden Sojabohnenlecithin-Mischung, eines gereinigten Lecithins und eines Sulfobetains als Emulgatoren mit Hilfe der diffusionsgewichteten 1H-NMR-Spektroskopie unter Verwendung gepulster Feldgradienten (PFG) in Abhängigkeit des Zusatzes des Polykations Poly-(diallyl-dimethyl-ammoniumchlorid) (PDADMAC) untersucht. Der zentrale Gegenstand dieser Untersuchungen war die strukturelle und dynamische Charakterisierung der verwendeten Mikroemulsionen hinsichtlich ihrer potentiellen Anwendbarkeit als Templatphasen für die Herstellung möglichst kleiner Nanopartikel. Die konzentrations- und zeit-abhängige NMR-Diffusionsmessung stellte sich dabei als hervorragend geeignete und genaue Methode zur Untersuchung der Mikrostruktur und Dynamik in den vorliegenden Systemen heraus. Die beobachtete geschlossene Wasser-in-Öl- (W/O-) Mikrostruktur der Mikroemulsionen zeigt deutlich deren potentielle Anwendbarkeit in der Nanopartikelsynthese. Das Gesamtdiffusionsverhalten des Tensides wird durch variierende Anteile aus der Verschiebung gesamter Aggregate, der Monomerdiffusion im Medium bzw. der medium-vermittelten Oberflächendiffusion bestimmt. Dies resultierte in einigen Fällen in einer anormalen Diffusionscharakteristik. In allen Systemen liegen hydrodynamische und direkte Wechselwirkungen zwischen den Tensidaggregaten vor. Der Zusatz von PDADMAC zu den Mikroemulsionen resultiert in einer Stabilisierung der flüssigen Grenzfläche der Tensidaggregate aufgrund der Adsorption des Polykations auf den entgegengesetzt geladenen Tensidfilm und kann potentiell zu Nanopartikeln mit kleineren Dimensionen und schmaleren Größenverteilungen führen.
Self-diffusion measurements in microemulsion systems composed of a naturally occurring soybean lecithin mixture, an aqueous phase, either water or a 1% aqueous PDADMAC solution, and isooctane were accomplished by pulsed field gradient (PFG) (HNMR)-H-1 spectroscopy at oil dilution lines of low and intermediate water/lecithin ratios. The concentration-dependent diffusion data reveal water-in-oil (W/O) reverse micellar aggregates with dimensions on the nanometer scale being slightly smaller at low water content. With increasing micellar volume fractions, both hydrodynamic as well as direct interactions between particles significantly slow aggregate diffusion. The surfactant mean square displacements (msd's) in dilute and concentrated polymer-free systems studied as a function of diffusion time (20-1000 ms) are characterized by a crossover from Gaussian diffusion, due to slow aggregate motion, to anomalously enhanced diffusion, due to fast surface-bulk surfactant exchange at intermediate times revealing weak, barrier-controlled adsorption behavior. Upon addition of the polycation PDADMAC, the diffusion characteristics change to exclusively superdiffusive behavior with surfactant msd scaling with time as t(3/2) over the entire time range studied. This is caused by surfactant molecules performing Levy walks along the surface of reverse micelles mediated by the dilute bulk. The bulk-mediated surface diffusion is a consequence of the diffusion-controlled micelle-bulk exchange dynamics induced by interactions of PDADMAC with surfactant headgroups
Climate variability is triggered by several solar and orbital cycles as well as by the intern ocean dynamics. Consequently, paleoclimate proxy records are expected to vary on very different time scales ranging from subdecadal to millennial duration. We demonstrate, that Foster's (Foster, 1996) wavelet analysis technique is an appropriate tool for investigating temporarily changing spectral properties of records characterized by awkward sampling quality, which is a typical feature of climate proxy records. By applying it to the Holocene part of different glaciochemical records of Greenland ice cores we proof evidence for a significant contribution of the 1.47 kiloyears cycle over alomst the entire Holocene
Multiple hierarchies
(2005)
In this paper, we present the Multiple Annotation approach, which solves two problems: the problem of annotating overlapping structures, and the problem that occurs when documents should be annotated according to different, possibly heterogeneous tag sets. This approach has many advantages: it is based on XML, the modeling of alternative annotations is possible, each level can be viewed separately, and new levels can be added at any time. The files can be regarded as an interrelated unit, with the text serving as the implicit link. Two representations of the information contained in the multiple files (one in Prolog and one in XML) are described. These representations serve as a base for several applications.
With the success of wireless technologies in consumer electronics, standard wireless technologies are envisioned for the deployment in industrial environments as well. Industrial applications involving mobile subsystems or just the desire to save cabling make wireless technologies attractive. Nevertheless, these applications often have stringent requirements on reliability and timing. In wired environments, timing and reliability are well catered for by fieldbus systems (which are a mature technology designed to enable communication between digital controllers and the sensors and actuators interfacing to a physical process). When wireless links are included, reliability and timing requirements are significantly more difficult to meet, due to the adverse properties of the radio channels. In this paper we thus discuss some key issues coming up in wireless fieldbus and wireless industrial communication systems:1)fundamental problems like achieving timely and reliable transmission despite channel errors; 2) the usage of existing wireless technologies for this specific field of applications; and 3) the creation of hybrid systems in which wireless stations are included into existing wired systems
Politische Loyalität und Sprachwahl : eine Fallstudie aus dem Flandern des frühen 19. Jahrhunderts
(2005)
Fe K-edge X-ray absorption near edge structure (XANES) and Mossbauer spectra were collected on synthetic glasses of basaltic composition and of glasses on the sodium oxide-silica binary to establish a relation between the pre- edge of the XANES at the K-edge and the Fe oxidation state of depolymerised glasses. Charges of sample material were equilibrated at ambient pressure, superliquidus temperatures and oxygen fugacities that were varied over a range of about 15 orders of magnitude. Most experiments were carried out in gas-flow furnaces, either with pure oxygen, air, or different CO/CO2 mixtures. For the most reduced conditions, the samples charges were enclosed together with a pellet of the IQF oxygen buffer in an evacuated silica glass ampoule. Fe3+/Sigma Fe x 100 of the samples determined by Mossbauer spectroscopy range between 0% and 100%. Position and intensity of the pre-edge centroid position vary strongly depending on the Fe oxidation state. The pre-edge centroid position and the Fe oxidation state determined by Mossbauer spectroscopy are nonlinearly related and have been fitted by a quadratic polynomial. Alternatively, the ratio of intensities measured at positions sensitive to Fe2+ and Fe3+, respectively, provides an even more sensitive method. Pre- edge intensities of the sample suite indicate average Fe co-ordination between 4 and 6 for all samples regardless of oxidation state. A potential application of the calibration given here opens the possibility of determining Fe oxidation state in glasses of similar compositions with high spatial resolution by use of a Micro-XANES setup (e.g., glass inclusions in natural minerals). (c) 2004 Elsevier B.V. All rights reserved
Fe in magma : an overview
(2005)
The strong influence of physical conditions during magma formation on Fe equilibria offers a large variety of possibilities to deduce these conditions from Fe-bearing phases and phase assemblages found in magmatic rocks. Conditions of magma genesis and their evolution are of major interest for the understanding of volcanic eruptions. A brief overview on the most common methods used is given together with potential problems and limitations. Fe equilibria are not only sensitive to changes in intensive parameters (especially T and fO(2)) and extensive parameters like composition also have major effects, so that direct application of experimentally calibrated equilibria to natural systems is not always possible. Best estimates for pre-eruptive conditions are certainly achieved by studies that relate field observations directly to experimental observations for the composition of interest using as many constraints as possible (phase stability relations, Fe-Ti oxides, Fe partitioning between phases, Fe oxidation state in glass etc.). Local structural environment of Fe in silicate melts is an important parameter that is needed to understand the relationship between melt transport properties and melt structure. Assignment of Fe co-ordination and its relationship to the oxidation state seems not to be straightforward. In addition, there is considerable evidence that the co- ordination of Fe in glass differs from that in the melt, which has to be taken into account when linking melt structure to physical properties of silicate melts at T and P.
The "Bohemians" of New Zealand - an ethnic group? In 1982 a small group of New Zealanders established contacts with the region of origin of their about 200 German-speaking ancestors who had emigrated from Bohemia for economic reasons in the 1860s and 1870s. They had all come from about twenty villages situated west of plzen and founded a rural settlement and participated in the foundation of a second one in New Zealand. Since World War I there had been no further contacts between the emigrants and their descendants on the one hand and their relatives in Bohemia on the other hand. For two reasons new contacts were established after such a long time: (1) the back-to the-roots-movement had spread to New Zealand from the USA, Canada and Australia, and (2) the status of cultural diversity keeps being enhanced in New Zealand since about 1970. These processes also influenced those people in New Zealand who call themselves "Bohemians" because of their ancestors' region of origin. Their total number is estimated at 10, 000 to 15, 000 at present. Up to now hardly any attention was attached to them in New Zealand by academic research and/or the general public. This paper discusses the history and today's situation of the former immigrants' community as well as the New Zealand "Bohemians " in general, raising the questions to what extent they can be defined as an ethnic group now and whether they will retain their status as a specific group in future
Photodynamic therapy (PDT) is a developing modality for the treatment of certain tumorous and other diseases. Considerable progress has been made in recent years in the search for new photosensitizers, in particular elucidating the role of localization of the photosensitizer. Known successful photosensitizers of the tetrapyrrole type are amphiphilic molecules, preferably localizing in cellular membrane structures. Thus, the quest for new photosensitizers requires the synthesis of unsymmetrically Substituted (amphiphilic) tetrapyrroles. In this article. we describe strategies for the de novo synthesis of amphiphilic tetrapyrroles using a 3-hydroxyphenyl substituted tetrapyrrolic system (Temoporfin) as the lead structure. From an applied science-oriented approach, such a set of amphiphilic porphyrins is best synthesized by combining well-developed condensation methods with subsequent functionalization via organolithium compound or transition metal catalyzed coupling protocols. Starting from simple A(2)- or AB-porphyrins, the synthesis of A(2)B-, A(3)-, A(3)B-, and A(2)BC-porphyrins with a mixed hydrophilic/hydrophobic substitution pattern is described. Because of the versatility of this approach to unsymmetrically Substituted porphyrins it is also applicable to other areas where porphyryns with a tailor-made substitution patterns are needed. for example. catalysts or molecular electronic devices based on tetrapyrroles. (c) 2005 Elsevier Ltd. All rights reserved
Beobachtungen auf nationalem und internationalem Niveau haben ergeben, dass sich die Starttechnik in den letzten Jahren verändert hat. So zeigen Analysen zum Zusammenhang von Block-, Flug- und Teilzeiten über 7,5; 10 und 15m und den erzielten Gesamtzeiten im 100-m-Rücken-schwimmen, dass kürzere Startzeiten mit besseren Schwimmleistungen einher gehen (Cossor & Mason, 2001). Insbesondere die Dauer der Flugzeit hängt negativ mit der Gesamtschwimmzeit zusammen, so dass die Flugzeit und -weite optimiert werden sollte.
The impact of temporally correlated fluctuating environments (coloured noise) on the extinction risk of populations has become a main focus in theoretical population ecology. In this study we particularly focus on the extinction risk in strongly autocorrelated environments. Here, in contrast to moderate autocorrelation, we found the extinction risk to be highly dependent on the process of noise generation, in particular on the method of variance scaling. Such variance scaling is commonly applied to avoid variance-driven biases when comparing the extinction risk for white and coloured noise. In this study we found an often-used scaling technique to lead to high variability in the resulting variances of different time series for strong auto-correlation eventually leading to deviations in the projected extinction risk. Therefore, we present an alternative method that always delivers the target variance, even in the case of strong temporal correlation. Furthermore, in contrast to the earlier method, our very intuitive method is not bound to auto-regressive processes but can be applied to all types of coloured noises. We recommend the method introduced here to be used when the target of interest is the effect of noise colour on extinction risk not obscured by any variance effects.
The predicted climate change causes deep concerns on the effects of increasing temperatures and changing precipitation patterns on species viability and, in turn, on biodiversity. Models of Population Viability Analysis (PVA) provide a powerful tool to assess the risk of species extinction. However, most PVA models do not take into account the potential effects of behavioural adaptations. Organisms might adapt to new environmental situations and thereby mitigate negative effects of climate change. To demonstrate such mitigation effects, we use an existing PVA model describing a population of the tawny eagle (Aquila rapax) in the southern Kalahari. This model does not include behavioural adaptations. We develop a new model by assuming that the birds enlarge their average territory size to compensate for lower amounts of precipitation. Here, we found the predicted increase in risk of extinction due to climate change to be much lower than in the original model. However, this "buffering" of climate change by behavioural adaptation is not very effective in coping with increasing interannual variances. We refer to further examples of ecological "buffering mechanisms" from the literature and argue that possible buffering mechanisms should be given due consideration when the effects of climate change on biodiversity are to be predicted. (c) 2004 Elsevier B.V. All rights reserved
Stop bashing givenness!
(2005)
Elke Kasimir’s paper (in this volume) argues against employing the notion of Givenness in the explanation of accent assignment. I will claim that the arguments against Givenness put forward by Kasimir are inconclusive because they beg the question of the role of Givenness. It is concluded that, more generally, arguments against Givenness as a diagnostic for information structural partitions should not be accepted offhand, since the notion of Givenness of discourse referents is (a) theoretically simple, (b) readily observable and quantifiable, and (c) bears cognitive significance.
In this paper we consider the hypo-ellipticity of differential forms on a closed manifold.The main results show that there are some topological obstruct for the existence of the differential forms with hypoellipticity.
Gegen die gängige Vorstellung von der ‚kreativen Phantasie‘ als dem schöpferischen Vermögen des Dichters argumentiert der Aufsatz, dass erst mit der Frühromantik die Phantasie zum kreativen Vermögen erklärt wird, davor jedoch die Vernunft als kreatives Vermögen galt. In der Fakultätenpsychologie des Mittelalters und der Frühen Neuzeit wurde die imaginatio als ein rein passives Vorstellungsvermögen der Vernunft nicht entgegengestellt, sondern ihr übergeordnet, indem sich die Vernunft der Phantasie als bildgebendem Verfahren bediente. Während das Ergebnis der Phantasie seit der Frühromantik als ästhetisches ‚Werk‘ im emphatischen Sinne gilt, war das Ergebnis der dichtenden Vernunft ein Argument im logischen Sinne, das Prozess der inventio gefunden worden war. Erst Anfang des 18. Jahrhunderts entwickelt sich dann der Begriff der ‚kreativen Phantasie‘ aus dem rhetorischen Konzept der Anschaulichkeit (evidentia).
imaginatio oder inventio
(2005)
Der Aufsatz analysiert die Begriffe der imaginatio und inventio und deren Verhältnis zueinander in den Poetiken von George Puttenham („Arte of English Poesie“, 1589), Philip Sidney („Defense of Poetry“, 1595) und William Temple („Analysis tractationis de poesi“, um 1595). Anders als zu erwarten wird in allen drei Fällen das dichterische Vermögen nicht im Sinne eines modernen Begriffs von kreativer Phantasie gedeutet. Weil der Begriff der imaginatio eine gefährliche Nähe zu den Wahnvorstellungen eines Verrückten impliziert, es Puttenham und Sidney aber vor allem um eine soziale Aufwertung der Dichtung als einer höfisch angemessenen Tätigkeit geht, wird der Begriff der imaginatio nur in einem sehr eingeschränkten Sinne verwendet. Das impliziert auch eine Ablehnung des Begriffs eines Enthusiasmus oder furor poeticus, also einer göttlichen Inspiration des Dichters, wie er insbesondere mit dem Neuplatonismus Ficinos assoziiert wurde.
Die „Poetica“ Tommaso Campanellas ist Ausdruck einer starken Rationalisierung und didaktischer Instrumentalisierung der Dichtung. Diese Rationalisierung kann als Reaktion auf die Inspirationstheorien von Marsilio Ficino und Pietro Pomponazzi erklärt werden, die beide (mit je ganz unterschiedlichen Begründungen) den poetischen Enthusiasmus neben die Offenbarungen des Propheten gestellt und damit den ausschließlichen Offenbarungsanspruch der Prophetie herausgefordert hatten.
Gegen die gängige Vorstellung von der ‚kreativen Phantasie‘ als dem schöpferischen Vermögen des Dichters argumentiert der Aufsatz, dass erst mit der Frühromantik die Phantasie zum kreativen Vermögen erklärt wird, davor jedoch die Vernunft als kreatives Vermögen galt. In der Fakultätenpsychologie des Mittelalters und der Frühen Neuzeit wurde die imaginatio als ein rein passives Vorstellungsvermögen der Vernunft nicht entgegengestellt, sondern ihr übergeordnet, indem sich die Vernunft der Phantasie als bildgebendem Verfahren bediente. Während das Ergebnis der Phantasie seit der Frühromantik als ästhetisches ‚Werk‘ im emphatischen Sinne gilt, war das Ergebnis der dichtenden Vernunft ein Argument im logischen Sinne, das Prozess der inventio gefunden worden war. Erst Anfang des 18. Jahrhunderts entwickelt sich dann der Begriff der ‚kreativen Phantasie‘ aus dem rhetorischen Konzept der Anschaulichkeit (evidentia).
imaginatio oder inventio
(2005)
Der Aufsatz analysiert die Begriffe der imaginatio und inventio und deren Verhältnis zueinander in den Poetiken von George Puttenham („Arte of English Poesie“, 1589), Philip Sidney („Defense of Poetry“, 1595) und William Temple („Analysis tractationis de poesi“, um 1595). Anders als zu erwarten wird in allen drei Fällen das dichterische Vermögen nicht im Sinne eines modernen Begriffs von kreativer Phantasie gedeutet. Weil der Begriff der imaginatio eine gefährliche Nähe zu den Wahnvorstellungen eines Verrückten impliziert, es Puttenham und Sidney aber vor allem um eine soziale Aufwertung der Dichtung als einer höfisch angemessenen Tätigkeit geht, wird der Begriff der imaginatio nur in einem sehr eingeschränkten Sinne verwendet. Das impliziert auch eine Ablehnung des Begriffs eines Enthusiasmus oder furor poeticus, also einer göttlichen Inspiration des Dichters, wie er insbesondere mit dem Neuplatonismus Ficinos assoziiert wurde.
Die „Poetica“ Tommaso Campanellas ist Ausdruck einer starken Rationalisierung und didaktischer Instrumentalisierung der Dichtung. Diese Rationalisierung kann als Reaktion auf die Inspirationstheorien von Marsilio Ficino und Pietro Pomponazzi erklärt werden, die beide (mit je ganz unterschiedlichen Begründungen) den poetischen Enthusiasmus neben die Offenbarungen des Propheten gestellt und damit den ausschließlichen Offenbarungsanspruch der Prophetie herausgefordert hatten.
Die Reform des Amtsrechts der Staatsanwaltschaft : europarechtliche und völkerrechtliche Impulse
(2005)
Die Untersuchung legt zunächst das geltende Amtsrecht der Staatsanwaltschaft dar und gibt dann einen Überblick über die verschiedenen Stadien der seit vielen Jahrzehnten geführten Reformdiskussion. Dieser sollen durch Impulse aus dem Europarecht und dem Völkerrecht neue Argumente zugeführt werden. Die Europäischen Gemeinschaften betreiben die Einführung eines Europäischen Staatsanwaltes. Dieser soll im Rahmen der Betrugsbekämpfung zu Lasten des Gemeinschaftshaushaltes Ermittlungen durchführen. Seine Rechtsstellung unterscheidet sich signifikant von der des deutschen Staatsanwalts. Hinzu kommen bedenkenswerte Hinweise für die Rechtsstellung von Anklägern aus dem Völkerrecht. So sind die Ankläger vor dem Internationalen Strafgerichtshof und den Ad-hoc-Straftribunalen für das ehemalige Jugoslawien und für Ruanda selbständige Organe dieser Gerichte und ausdrücklich weisungsfrei. Dieses Buch untersucht, inwieweit Europa- und -in geringerem Ausmaß- Völkerrecht die Diskussion über die Reformbedürftigkeit des Amtsrechts der Staatsanwälte in Deutschland zu beeinflussen vermögen.
rezensiertes Werk: Karl, Wolfram (Hrsg.): Internationale Gerichtshöfe und nationale Rechtsordnung, Internationales Symposium am Österreichischen Institut für Menschenrechte am 28. und 29. November 2003 in Salzburg zu Ehren von em.o.Univ.-Prof. DDr. Dr. h.c. Franz Matscher(Schriften des Österreichischen Instituts für Menschenrechte ; Bd. 9). - Kehl a. Rh. [u.a.] : N.P. Engel Verl., 2005. - 254 S. ISBN 3-88357-135-0
Europäische Sozialcharta
(2005)
rezensiertes Werk: Schmidt, Angelika: Europäische Menschenrechtskonvention und Sozialrecht, Die Bedeutung der Straßburger Rechtsprechung für das europäische und deutsche Sozialrecht (Studien aus dem Max-Planck-Institut für ausländisches und internationales Sozialrecht ; Bd. 29). - Baden-Baden : Nomos- Verl.-gesell.,2003. ISBN 3-8329-0100-0
rezensiertes Werk: Zimmermann, Andreas (Hrsg.): Deutschland und die internationale Gerichtsbarkeit, Vortragsreiheam Walther-Schücking-Institut für Internationales Recht an der Universität Kiel im WS 2002/03 und SS 2003. (Veröffentlichung des Walther- Schücking-Instituts für Internationales Recht an der Universität Kiel ; Bd. 149).- Berlin :Duncker & Humblot, 2004. - 118 S. ISBN 3-428-11706-9
1. The biovolume-specific carbon content, relative egg volume (a measure of per-offspring reproductive investment), growth and grazing rates, and the gross growth efficiency (GGE) of the rotifer Cephalodella hoodi, isolated from an extremely acidic habitat (pH 2.65), were determined and compared with literature values for rotifers living in circum-neutral habitats in order to reveal potential special features or adaptations related to the extreme habitat of C. hoodi. 2. Of the two dominant phytoflagellates (Ochromonas sp. and Chlamydomonas acidophila) that occur in the natural habitat of C. hoodi, only C. acidophila promoted positive growth and reproduction and, thus, the following results were obtained with C. acidophila as a food alga. 3. The body volume-specific carbon content of C. hoodi is in the range of that found in rotifers from circum-neutral lakes, suggesting that no costly carbon investment, brought about by the thickening of the lorica, for example, was required to withstand low pH. 4. The egg volume of C. hoodi exhibited no phenotypic plasticity dependent on the food concentration and, thus, C. hoodi allocated a constant, absolute amount of energy to each individual offspring. No adaptation to low food densities was found. 5. A dome-shaped type II functional response curve was found to describe the ingestion of Chlamydomonas as a source of food. 6. Compared with other rotifers, C. hoodi had a high threshold and half-saturating food concentration (=low affinity) but also a high maximum growth rate and a relatively high GGE, suggesting no severe adverse effect of low pH