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Institute
- Institut für Biochemie und Biologie (238)
- Institut für Geowissenschaften (227)
- Institut für Physik und Astronomie (187)
- Institut für Chemie (173)
- Department Psychologie (78)
- Institut für Ernährungswissenschaft (66)
- Wirtschaftswissenschaften (60)
- Department Sport- und Gesundheitswissenschaften (53)
- Department Linguistik (47)
- Institut für Mathematik (47)
Innerhalb der EU wird die Fusionskontrolle auf zwei vertikal nachgelagerten Ebenen durchgeführt, der europäischen und der nationalen Instanz. Da beide Ebenen nicht unverbunden sind, ergibt sich ein mehrdimensionales Kompetenzproblem. Die Fusionskontrollkompetenzen sind vertikal (europäische versus mitgliedstaatliche Ebene) und horizontal (mitgliedstaatliche Ebene) abgegrenzt. Während auf vertikaler Ebene konkurrierende Zuständigkeiten ausgeschlossen sind, sind horizontal Überlappungen möglich.
Die Arbeit beschäftigt sich mit Konflikten bei der Abgrenzung von Fusionskontrollkompetenzen. Zudem wird ein Alternativmodell erarbeitet, das dem bestehenden System aus ökonomischer Perspektive überlegen ist.
Was bleibt vom Konvent als Methode Ausgehend von der schwer greifbaren Wirkung des Zukunftskonvents von Brüssel geht das vorliegende Buch der Frage nach, was die EU von der Konventsmethode erwarten kann. Dazu wird der Brüsseler Konvent als Bestandteil eines föderalen Konstitutionalisierungsprozesses charakterisiert und mit dem Prototyp - dem US-Verfassungskonvent von Philadelphia - verglichen. Die vorliegende Arbeit nimmt damit erstmals einen strukturierten Vergleich der Konvente von Philadelphia (1787) und Brüssel (2002/03) aus politiktheoretischer Perspektive vor.
Co-doping of the MOF 3∞[Zn(2-methylimidazolate-4-amide-5-imidate)] (IFP-1 = Imidazolate Framework Potsdam-1) with luminescent Eu3+ and Tb3+ ions presents an approach to utilize the porosity of the MOF for the intercalation of luminescence centers and for tuning of the chromaticity to the emission of white light of the quality of a three color emitter. Organic based fluorescence processes of the MOF backbone as well as metal based luminescence of the dopants are combined to one homogenous single source emitter while retaining the MOF's porosity. The lanthanide ions Eu3+ and Tb3+ were doped in situ into IFP-1 upon formation of the MOF by intercalation into the micropores of the growing framework without a structure directing effect. Furthermore, the color point is temperature sensitive, so that a cold white light with a higher blue content is observed at 77 K and a warmer white light at room temperature (RT) due to the reduction of the organic emission at higher temperatures. The study further illustrates the dependence of the amount of luminescent ions on porosity and sorption properties of the MOF and proves the intercalation of luminescence centers into the pore system by low-temperature site selective photoluminescence spectroscopy, SEM and EDX. It also covers an investigation of the border of homogenous uptake within the MOF pores and the formation of secondary phases of lanthanide formates on the surface of the MOF. Crossing the border from a homogenous co-doping to a two-phase composite system can be beneficially used to adjust the character and warmth of the white light. This study also describes two-color emitters of the formula Ln@IFP-1a–d (Ln: Eu, Tb) by doping with just one lanthanide Eu3+ or Tb3+.
The simulation of the optical properties of supramolecular aggregates requires the development of methods, which are able to treat a large number of coupled chromophores interacting with the environment. Since it is currently not possible to treat large systems by quantum chemistry, the Frenkel exciton model is a valuable alternative. In this work we show how the Frenkel exciton model can be extended in order to explain the excitonic spectra of a specific double-walled tubular dye aggregate explicitly taking into account dispersive energy shifts of ground and excited states due to van der Waals interaction with all surrounding molecules. The experimentally observed splitting is well explained by the site-dependent energy shift of molecules placed at the inner or outer side of the double-walled tube, respectively. Therefore we can conclude that inclusion of the site-dependent dispersive effect in the theoretical description of optical properties of nanoscaled dye aggregates is mandatory.
cis-Diamminedichloroplatinum(II) (Cisplatin) is one of the most important and frequently used cytostatic drugs for the treatment of various solid tumors. Herein, a laser ablation-inductively coupled plasma-mass spectrometry (LA-ICP-MS) method incorporating a fast and simple sample preparation protocol was developed for the elemental mapping of Cisplatin in the model organism Caenorhabditis elegans (C. elegans). The method allows imaging of the spatially-resolved elemental distribution of platinum in the whole organism with respect to the anatomic structure in L4 stage worms at a lateral resolution of 5 μm. In addition, a dose- and time-dependent Cisplatin uptake was corroborated quantitatively by a total reflection X-ray fluorescence spectroscopy (TXRF) method, and the elemental mapping indicated that Cisplatin is located in the intestine and in the head of the worms. Better understanding of the distribution of Cisplatin in this well-established model organism will be instrumental in deciphering Cisplatin toxicity and pharmacokinetics. Since the cytostatic effect of Cisplatin is based on binding the DNA by forming intra- and interstrand crosslinks, the response of poly(ADP-ribose)metabolism enzyme 1 (pme-1) deletion mutants to Cisplatin was also examined. Loss of pme-1, which is the C. elegans ortholog of human poly(ADP-ribose) polymerase 1 (PARP-1) led to disturbed DNA damage response. With respect to survival and brood size, pme-1 deletion mutants were more sensitive to Cisplatin as compared to wildtype worms, while Cisplatin uptake was indistinguishable.
Der Nötigungsnotstand
(2015)
Patterned differentiation of distinct cell types is essential for the development of multicellular organisms. The root epidermis of Arabidopsis thaliana is composed of alternating files of root hair and non-hair cells and represents a model system for studying the control of cell-fate acquisition. Epidermal cell fate is regulated by a network of genes that translate positional information from the underlying cortical cell layer into a specific pattern of differentiated cells. While much is known about the genes of this network, new players continue to be discovered. Here we show that the SABRE (SAB) gene, known to mediate microtubule organization, anisotropic cell growth and planar polarity, has an effect on root epidermal hair cell patterning. Loss of SAB function results in ectopic root hair formation and destabilizes the expression of cell fate and differentiation markers in the root epidermis, including expression of the WEREWOLF (WER) and GLABRA2 (GL2) genes. Double mutant analysis reveal that wer and caprice (cpc) mutants, defective in core components of the epidermal patterning pathway, genetically interact with sab. This suggests that SAB may act on epidermal patterning upstream of WER and CPC. Hence, we provide evidence for a role of SAB in root epidermal patterning by affecting cell-fate stabilization. Our work opens the door for future studies addressing SAB-dependent functions of the cytoskeleton during root epidermal patterning.
The coordination of cell polarity within the plane of the tissue layer (planar polarity) is crucial for the development of diverse multicellular organisms. Small Rac/Rho-family GTPases and the actin cytoskeleton contribute to planar polarity formation at sites of polarity establishment in animals and plants. Yet, upstream pathways coordinating planar polarity differ strikingly between kingdoms. In the root of Arabidopsis thaliana, a concentration gradient of the phytohormone auxin coordinates polar recruitment of Rho-of-plant (ROP) to sites of polar epidermal hair initiation. However, little is known about cytoskeletal components and interactions that contribute to this planar polarity or about their relation to the patterning machinery. Here, we show that ACTIN7 (ACT7) represents a main actin isoform required for planar polarity of root hair positioning, interacting with the negative modulator ACTIN-INTERACTING PROTEIN1-2 (AIP1-2). ACT7, AIP1-2 and their genetic interaction are required for coordinated planar polarity of ROP downstream of ethylene signalling. Strikingly, AIP1-2 displays hair cell file-enriched expression, restricted by WEREWOLF (WER)-dependent patterning and modified by ethylene and auxin action. Hence, our findings reveal AIP1-2, expressed under control of the WER-dependent patterning machinery and the ethylene signalling pathway, as a modulator of actin-mediated planar polarity.
Recent experiments show that transcription factors (TFs) indeed use the facilitated diffusion mechanism to locate their target sequences on DNA in living bacteria cells: TFs alternate between sliding motion along DNA and relocation events through the cytoplasm. From simulations and theoretical analysis we study the TF-sliding motion for a large section of the DNA-sequence of a common E. coli strain, based on the two-state TF-model with a fast-sliding search state and a recognition state enabling target detection. For the probability to detect the target before dissociating from DNA the TF-search times self-consistently depend heavily on whether or not an auxiliary operator (an accessible sequence similar to the main operator) is present in the genome section. Importantly, within our model the extent to which the interconversion rates between search and recognition states depend on the underlying nucleotide sequence is varied. A moderate dependence maximises the capability to distinguish between the main operator and similar sequences. Moreover, these auxiliary operators serve as starting points for DNA looping with the main operator, yielding a spectrum of target detection times spanning several orders of magnitude. Auxiliary operators are shown to act as funnels facilitating target detection by TFs.
Children’s poor performance on object relative clauses has been explained in terms of intervention locality. This approach predicts that object relatives with a full DP head and an embedded pronominal subject are easier than object relatives in which both the head noun and the embedded subject are full DPs. This prediction is shared by other accounts formulated to explain processing mechanisms. We conducted a visual-world study designed to test the off-line comprehension and on-line processing of object relatives in German-speaking 5-year-olds. Children were tested on three types of object relatives, all having a full DP head noun and differing with respect to the type of nominal phrase that appeared in the embedded subject position: another full DP, a 1st- or a 3rd-person pronoun. Grammatical skills and memory capacity were also assessed in order to see whether and how they affect children’s performance. Most accurately processed were object relatives with 1st-person pronoun, independently of children’s language and memory skills. Performance on object relatives with two full DPs was overall more accurate than on object relatives with 3rd-person pronoun. In the former condition, children with stronger grammatical skills accurately processed the structure and their memory abilities determined how fast they were; in the latter condition, children only processed accurately the structure if they were strong both in their grammatical skills and in their memory capacity. The results are discussed in the light of accounts that predict different pronoun effects like the ones we find, which depend on the referential properties of the pronouns. We then discuss which role language and memory abilities might have in processing object relatives with various embedded nominal phrases.
Sentences with doubly center-embedded relative clauses in which a verb phrase (VP) is missing are sometimes perceived as grammatical, thus giving rise to an illusion of grammaticality. In this paper, we provide a new account of why missing-VP sentences, which are both complex and ungrammatical, lead to an illusion of grammaticality, the so-called missing-VP effect. We propose that the missing-VP effect in particular, and processing difficulties with multiply center-embedded clauses more generally, are best understood as resulting from interference during cue-based retrieval. When processing a sentence with double center-embedding, a retrieval error due to interference can cause the verb of an embedded clause to be erroneously attached into a higher clause. This can lead to an illusion of grammaticality in the case of missing-VP sentences and to processing complexity in the case of complete sentences with double center-embedding. Evidence for an interference account of the missing-VP effect comes from experiments that have investigated the missing-VP effect in German using a speeded grammaticality judgments procedure. We review this evidence and then present two new experiments that show that the missing-VP effect can be found in German also with less restricting procedures. One experiment was a questionnaire study which required grammaticality judgments from participants without imposing any time constraints. The second experiment used a self-paced reading procedure and did not require any judgments. Both experiments confirm the prior findings of missing-VP effects in German and also show that the missing-VP effect is subject to a primacy effect as known from the memory literature. Based on this evidence, we argue that an account of missing-VP effects in terms of interference during cue-based retrieval is superior to accounts in terms of limited memory resources or in terms of experience with embedded structures.
A number of recent studies have investigated how syntactic and non-syntactic constraints combine to cue memory retrieval during anaphora resolution. In this paper we investigate how syntactic constraints and gender congruence interact to guide memory retrieval during the resolution of subject pronouns. Subject pronouns are always technically ambiguous, and the application of syntactic constraints on their interpretation depends on properties of the antecedent that is to be retrieved. While pronouns can freely corefer with non-quantified referential antecedents, linking a pronoun to a quantified antecedent is only possible in certain syntactic configurations via variable binding. We report the results from a judgment task and three online reading comprehension experiments investigating pronoun resolution with quantified and non-quantified antecedents. Results from both the judgment task and participants' eye movements during reading indicate that comprehenders freely allow pronouns to corefer with non-quantified antecedents, but that retrieval of quantified antecedents is restricted to specific syntactic environments. We interpret our findings as indicating that syntactic constraints constitute highly weighted cues to memory retrieval during anaphora resolution.
We define and study in detail utraslow scaled Brownian motion (USBM) characterized by a time dependent diffusion coefficient of the form . For unconfined motion the mean squared displacement (MSD) of USBM exhibits an ultraslow, logarithmic growth as function of time, in contrast to the conventional scaled Brownian motion. In a harmonic potential the MSD of USBM does not saturate but asymptotically decays inverse-proportionally to time, reflecting the highly non-stationary character of the process. We show that the process is weakly non-ergodic in the sense that the time averaged MSD does not converge to the regular MSD even at long times, and for unconfined motion combines a linear lag time dependence with a logarithmic term. The weakly non-ergodic behaviour is quantified in terms of the ergodicity breaking parameter. The USBM process is also shown to be ageing: observables of the system depend on the time gap between initiation of the test particle and start of the measurement of its motion. Our analytical results are shown to agree excellently with extensive computer simulations.
Auswirkungen und Schäden
(2015)
Einleitung
(2015)
Danksagung
(2015)
Das Hochwasser im Juni 2013
(2015)
The ecohydrological transfers, interactions and degradation arising from high-intensity storm events
(2015)
Patentpools
(2015)
Elisabeth Eppinger erforscht in diesem Buch aktuelle Patentpools, ihre Eigenschaften und alternative Lösungen zur gemeinsamen Nutzung von Patenten. Patentpools haben das Potenzial, Patentblockaden zu lösen und Innovationen zu fördern. Die Autorin diskutiert die Rolle von Patentkooperationen im Rahmen des strategischen Technologie- und Innovationsmanagements sowie der Innovationsförderung. Es wird gezeigt, welche strukturellen Faktoren, Motive und Charakteristika von Akteuren unterschiedliche Patentpools begünstigen
Anfang der 1970er-Jahre engagierte sich eine Gruppe junger DDR-Autorinnen und Autoren für eine kritische, öffentliche Auseinandersetzung mit den Widersprüchen des realsozialistischen Alltags. Klaus Schlesinger (1937 2001) war neben Ulrich Plenzdorf und Jurek Becker einer ihrer profiliertesten Akteure. In dem vorliegenden Buch verfolgt Jan Kostka dessen künstlerische Entwicklung, indem er jene Texte und Bücher interpretiert, die Schlesinger bis zu seiner Übersiedlung nach Westberlin geschrieben hatte. Dabei gibt er Einblicke in das literarische Leben Berlins, in journalistische Initiativen und verlagspolitische Strategien aber auch in die westliche Rezeption der DDR-Literatur. Den zum Teil unveröffentlichten Nachlass Schlesingers aufarbeitend, vermittelt Jan Kostka das spezifische Literaturverständnis des Autors: die Benennung und Zuspitzung gesellschaftlicher Konfliktlagen, ohne diese durch vorschnelle Antworten und selbstgewisse Schuldzuweisungen abzuschwächen.
Die Kirche Saint-Lazare in Autun wurde zu Beginn des 12. Jahrhunderts für die Reliquien des Lazarus von Bethanien erbaut. Das Bildprogramm der neuen Kirche musste sowohl den Ansprüchen und Interessen der Auftraggeber entsprechen als auch auf den Patron der Kirche Bezug nehmen und dem Sonderstatus als Pilgerkirche gerecht werden. Die Autorin untersucht, ob sich die einzelnen Bilder auch einem theologisch eher ungeschulten Betrachter erschließen und welche Bedeutung die Bewegung des Betrachters im Kirchenraum hat. In der Kombination von intensiver Betrachtung des Einzelbildes und sukzessiver Erfassung des Gebäudeensembles wird ein Wahrnehmungs- und Erkenntnisprozess in Gang gesetzt, der von der Anschauung des Sichtbaren zur inneren Schau führen soll.
Für Rechtsetzung sind nicht nur die Parlamente als Legislativorgan zuständig. Auch - und in weitaus größerem Umfang - werden hier exekutive öffentlich-rechtliche Organisationen tätig und erstellen Rechtsverordnungen, Satzungen und Verwaltungsvorschriften. Bisher liegen noch keine umfassenden und wissenschaftlich verwertbaren Erfahrungen darüber vor, ob sich der in Wirtschaft und Privatleben sehr intensiv entwickelnde Einsatz von Social Software auch vorteilhaft auf die Gestaltung von Rechtsetzungsprozessen auswirken kann. Im Rahmen der Arbeit wird daher ein Ordnungssystem entwickelt, das eine strukturierte und nachvollziehbare Auswahl einer Social Software-Anwendung für die Recht setzende Exekutive ermöglicht.
Wasser für Arkadien
(2015)
Der Zugang zu öffentlichem und privatem Kapital ist für Innovationen unerlässlich. Zur Beantwortung der Frage, wie KMU ihre Innovationstätigkeit in Deutschland derzeit finanzieren, wird anhand eigens erhobener Unternehmensdaten eine Analyse vorgestellt. Hierbei wird zunächst ein originärer Innovationsindex entwickelt, um innovative KMU statistisch sauber zu klassifizieren. Die anschließende Untersuchung des Finanzierungsverhaltens unterschiedlich innovativer KMU zeigt auf, dass je nach Innovationsgrad Nuancen im Finanzierungsmix bestehen. Im Ergebnis wird nachgewiesen, dass die verfügbaren internen Finanzmittel die Innovationstätigkeit und somit das Wachstum innovativer Unternehmen limitieren. Typische Innovationspartner, in Form von Beteiligungskapital (Venture Capital/Private Equity) oder Business Angels, können die aufgezeigte Kapitallücke bisher nicht schließen. Vorwiegend durch öffentliche Subventionen wird der Mangel an Finanzierungsalternativen teilweise kompensiert. Diese empirisch gewonnenen Erkenntnisse werden in den gesamtwirtschaftlichen Kontext eingeordnet und Handlungsnotwendigkeit sowie Vorschläge präsentiert. Die bisherige Forschungs- und Innovationsförderung wird aus der Perspektive innovativer KMU kritisch beleuchtet und es werden Alternativen für die deutsche Förderpolitik - u.a. im internationalen Vergleich - abgeleitet.
Im Gespräch mit Gespenstern
(2015)
Das Judentum ist eine Religions- und Volksgemeinschaft, die nicht missioniert und in der aufgenommene Nichtjuden deshalb religiös einen prekären Status haben. Dass ausgerechnet christliche Deutsche nach 1945 vermehrt zum Judentum konvertierten, irritierte die überlebenden Juden. Barbara Steiner untersucht die Aufnahmebedingungen für Nichtjuden, die Veränderungen der Motive und der biographischen Selbstpräsentation deutscher Konvertiten. Ihre Arbeit basiert neben umfangreichen Archivrecherchen auf der Auswertung von Interviews mit Konvertiten und den aufnehmenden Rabbinern. Die Akzeptanzprobleme deutscher Konvertiten innerhalb der jüdischen Gemeinschaft, die aus ihrem Sonderstatus und dem besonderen historischen Kontext resultierten, werden ebenso erörtert wie deren Reaktionen darauf. Die Autorin kann trotz des von allen Beteiligten gleichermaßen gepflegten Tabus der Konversion erklären, wie es nichtjüdischen Deutschen im Schatten der Schoa gelang, ins Judentum aufgenommen zu werden. Ausgezeichnet mit dem Potsdamer Nachwuchswissenschaftler-Preis 2014.
Schreiben aus der Asche
(2015)
Im Beitrag wird die Beziehung zwischen Leben, Schreiben und Denken des Autors Wolfgang Hilbig am Rande des Mülls im Hilbigschen Werk nachgezeichnet. Es kommt auch darauf an, Hilbigs oppositionelle Haltung im Kontext der Ideologie der DDR-Gesellschaft zu verdeutlichen. Als herausgehobener Metapher seines Denkens und Schreibens wird dabei der „Asche“ nachgegangen.
Nissart - was ist das? Während Nizza bekannt ist, löst der Name des dort heimischen romanischen Idioms Erstaunen aus. Als Varietät des Okzitanischen hat es zwar ein reiches sprachliches Erbe, doch ist seine Existenz heute bedroht. Stefanie Wagner geht der Frage nach, wie sich ein Lerner dank seiner Kenntnisse in (mindestens) einer romanischen Sprache (L1 oder L2) dieses ihm unbekannte Idiom mit Hilfe interkomprehensiver Lern- und Lesestrategien erschließen kann. Hierbei beleuchtet sie sprachgeschichtliche Zusammenhänge innerhalb der Romania sowie den lerntheoretischen Hintergrund und präsentiert eine Studie zum Leseverständnis des Nissart mit internationalen Probanden. Entdecken Sie ein Stück Romania, das auch von Interkomprehensionsprogrammen bislang unberücksichtigt blieb.
Sandra Eger befasst sich in diesem Buch mit der Möglichkeit, politisches Verstehen durch den Einsatz von Jugendliteratur zu fördern. Dabei wird sowohl die Möglichkeit eines Einsatzes im Fachunterricht Politische Bildung als auch im fächerübergreifenden Unterricht der Sekundarstufe I betrachtet. Neben einer empirischen Studie, die die Frage beantwortet, inwiefern derzeit Jugendliteratur in der Sekundarstufe I zur Förderung politischen Verstehens eingesetzt wird, bieten jugendliterarische Beispiele zur Förderung politischen Verstehens Anregungen für die Unterrichtspraxis.
Grammar in everyday talk
(2015)
This book surveys how English speakers use grammar to formulate responses in ordinary conversation. The authors show that speakers build their responses in a variety of ways: the responses can be longer or shorter, repetitive or not, and can be uttered with different intonational 'melodies'"--
"Drawing on everyday telephone and video interactions, this book surveys how English speakers use grammar to formulate responses in ordinary conversation. The authors show that speakers build their responses in a variety of ways: the responses can be longer or shorter, repetitive or not, and can be uttered with different intonational 'melodies'. Focusing on four sequence types: responses to questions ('What time are we leaving?' - 'Seven'), responses to informings ('The May Company are sure having a big sale' - 'Are they?'), responses to assessments ('Track walking is so boring. Even with headphones' - 'It is'), and responses to requests ('Please don't tell Adeline' - 'Oh no I won't say anything'), they argue that an interactional approach holds the key to explaining why some types of utterances in English conversation seem to have something 'missing' and others seem overly wordy.
We conducted two eye-tracking experiments investigating the processing of the Mandarin reflexive ziji in order to tease apart structurally constrained accounts from standard cue-based accounts of memory retrieval. In both experiments, we tested whether structurally inaccessible distractors that fulfill the animacy requirement of ziji influence processing times at the reflexive. In Experiment 1, we manipulated animacy of the antecedent and a structurally inaccessible distractor intervening between the antecedent and the reflexive. In conditions where the accessible antecedent mismatched the animacy cue, we found inhibitory interference whereas in antecedent-match conditions, no effect of the distractor was observed. In Experiment 2, we tested only antecedent-match configurations and manipulated locality of the reflexive-antecedent binding (Mandarin allows non-local binding). Participants were asked to hold three distractors (animate vs. inanimate nouns) in memory while reading the target sentence. We found slower reading times when animate distractors were held in memory (inhibitory interference). Moreover, we replicated the locality effect reported in previous studies. These results are incompatible with structure-based accounts. However, the cue-based ACT-R model of Lewis and Vasishth (2005) cannot explain the observed pattern either. We therefore extend the original ACT-R model and show how this model not only explains the data presented in this article, but is also able to account for previously unexplained patterns in the literature on reflexive processing.
Two classes of account have been proposed to explain the memory processes subserving the processing of reflexive-antecedent dependencies. Structure-based accounts assume that the retrieval of the antecedent is guided by syntactic tree-configurational information without considering other kinds of information such as gender marking in the case of English reflexives. By contrast, unconstrained cue-based retrieval assumes that all available information is used for retrieving the antecedent. Similarity-based interference effects from structurally illicit distractors which match a non-structural retrieval cue have been interpreted as evidence favoring the unconstrained cue-based retrieval account since cue-based retrieval interference from structurally illicit distractors is incompatible with the structure-based account. However, it has been argued that the observed effects do not necessarily reflect interference occurring at the moment of retrieval but might equally well be accounted for by interference occurring already at the stage of encoding or maintaining the antecedent in memory, in which case they cannot be taken as evidence against the structure-based account. We present three experiments (self-paced reading and eye-tracking) on German reflexives and Swedish reflexive and pronominal possessives in which we pit the predictions of encoding interference and cue-based retrieval interference against each other. We could not find any indication that encoding interference affects the processing ease of the reflexive-antecedent dependency formation. Thus, there is no evidence that encoding interference might be the explanation for the interference effects observed in previous work. We therefore conclude that invoking encoding interference may not be a plausible way to reconcile interference effects with a structure-based account of reflexive processing.
Stochastic Wilson
(2015)
We consider a simple Markovian class of the stochastic Wilson–Cowan type models of neuronal network dynamics, which incorporates stochastic delay caused by the existence of a refractory period of neurons. From the point of view of the dynamics of the individual elements, we are dealing with a network of non-Markovian stochastic two-state oscillators with memory, which are coupled globally in a mean-field fashion. This interrelation of a higher-dimensional Markovian and lower-dimensional non-Markovian dynamics is discussed in its relevance to the general problem of the network dynamics of complex elements possessing memory. The simplest model of this class is provided by a three-state Markovian neuron with one refractory state, which causes firing delay with an exponentially decaying memory within the two-state reduced model. This basic model is used to study critical avalanche dynamics (the noise sustained criticality) in a balanced feedforward network consisting of the excitatory and inhibitory neurons. Such avalanches emerge due to the network size dependent noise (mesoscopic noise). Numerical simulations reveal an intermediate power law in the distribution of avalanche sizes with the critical exponent around −1.16. We show that this power law is robust upon a variation of the refractory time over several orders of magnitude. However, the avalanche time distribution is biexponential. It does not reflect any genuine power law dependence.
Objective: Alexithymia relates to difficulties recognizing and describing emotions. It has been linked to subjectively increased interoceptive awareness (IA) and to psychiatric illnesses such as major depressive disorder (MDD) and somatization. MDD in turn is characterized by aberrant emotion processing and IA on the subjective as well as on the neural level. However, a link between neural activity in response to IA and alexithymic traits in health and depression remains unclear.
Methods: A well-established fMRI task was used to investigate neural activity during IA (heartbeat counting) and exteroceptive awareness (tone counting) in non-psychiatric controls (NC) and MDD. Firstly, comparing MDD and NC, a linear relationship between IA-related activity and scores of the Toronto Alexithymia Scale (TAS) was investigated through whole-brain regression. Secondly, NC were divided by median-split of TAS scores into groups showing low (NC-low) or high (NC-high) alexithymia. MDD and NC-high showed equally high TAS scores. Subsequently, IA-related neural activity was compared on a whole-brain level between the three independent samples (MDD, NC-low, NC-high).
Results: Whole-brain regressions between MDD and NC revealed neural differences during IA as a function of TAS-DD (subscale difficulty describing feelings) in the supragenual anterior cingulate cortex (sACC; BA 24/32), which were due to negative associations between TAS-DD and IA-related activity in NC. Contrasting NC subgroups after median-split on a whole-brain level, high TAS scores were associated with decreased neural activity during IA in the sACC and increased insula activity. Though having equally high alexithymia scores, NC-high showed increased insula activity during IA compared to MDD, whilst both groups showed decreased activity in the sACC.
Conclusions: Within the context of decreased sACC activity during IA in alexithymia (NC-high and MDD), increased insula activity might mirror a compensatory mechanism in NC-high, which is disrupted in MDD.
Kopplungsangebote
(2015)
Kopplungsangebote, insbesondere Kundenbindungssysteme, werfen zahlreiche lauterkeits- und vertragsrechtliche Fragen auf. Das Buch stellt alle Anforderungen, die an den Inhalt und die Transparenz von Kopplungsangeboten gestellt werden, dar und berücksichtigt auch wettbewerbsrechtliche Nebengesetze (z. B. die PAngV) sowie spezialgesetzliche Kopplungsverbote. Der Autor untersucht, in welchem Fall Kopplungsgeschäfte verbotsgesetz- oder sittenwidrig sind: Ab wann stellen etwa Kopplungsangebote gegenüber Drittverantwortlichen nichtige Korruptionsabreden (§ 299 StGB) dar? Es liegt damit eine Gesamtdarstellung der Kopplungsangebote im geltenden Vertrags- und Lauterkeitsrecht vor, die den Anspruch stellt, eine Beurteilung der Zulässigkeit spezifischer Angebote so weit wie möglich abstrakt zuzulassen.
Die Gegenwart der Zukunft
(2015)
Reworking postcolonialism
(2015)
An interdisciplinary collection of essays, Reworking Postcolonialism explores questions of work, precarity, migration, minority and indigenous rights in relation to contemporary globalization. It focuses on the impact of global market forces on the formation of new subject positions among urban dwellers, exiles, and other disenfranchised communities. Bringing together political, economic and literary approaches to texts and events from across the postcolonial world, the essays collected here investigate the transformative effects of the global dissemination of capital and goods and the movements of people. They call for a revision of existing discourses on rights, entitlements and citizenship.
The in-memory revolution
(2015)
This book describes the next generation of business applications enabled by SAP's in-memory database, SAP HANA. In particular, the authors show the substantial changes introduced in S4/HANA by switching to SAP HANA. Using numerous examples and use cases from the authors' wealth of real-world experience, it illustrates the quantum leap in performance made possible by the new technology. The book is written by two of the most prominent actors in the area of business application systems: Hasso Plattner, co-founder of SAP and inaugurator of the Hasso Plattner Institute at the University of Potsdam, and Bernd Leukert, member of the Executive Board and the Global Managing Board of SAP. This clearly structured, highly illustrated book takes an exciting new technology and presents the practicality and success of first mover applications.
Das deutsche Zivilrecht geht davon aus, dass eine erwachsene, gesunde Person ihren Willen grundsätzlich fehlerfrei bilden und äußern kann. Eine Ausnahme gilt dann, wenn sie aufgrund besonderer geistiger oder körperlicher Umstände nicht die Fähigkeit zur freien Willensbildung besitzt. Willenserklärungen von Personen, die nicht dauerhaft, sondern nur für einen vorübergehenden Moment nicht fähig sind, ihren Willen so zu äußern wie sie es unter normalen Umständen tun würden, sind nach § 105 Absatz 2 BGB nichtig. Grund dafür ist entweder eine „Bewusstlosigkeit“ oder eine „vorübergehende Störung der Geistestätigkeit“. Die sorgfältige Auslegung des Tatbestands ist wichtig für die tägliche Entscheidungspraxis der Gerichte. Die Arbeit untersucht deshalb die Vorschrift des § 105 Absatz 2 BGB im historischen, juristischen und medizinischen Kontext, berücksichtigt dabei insbesondere die Abgrenzung zur Geschäftsunfähigkeit nach § 104 Nr. 2 BGB und geht der Anwendung der Vorschrift auf konkrete medizinische Störungen (alkoholbedingte Störungen, Abhängigkeit von illegalen Drogen, Epilepsien, Demenzen, Schizophrenien, neurotische Störungen, u.a.) nach.
Alexandra Silbermann entwickelt einen neuartigen, systematischen Ansatz, der eine ganzheitliche Analyse und Erklärung des Bewusstseins für einen gesunden Konsum zulässt und die Identifikation bedeutender Einflussfaktoren, die für Maßnahmen zugänglich sind, ermöglicht. Ohne fundierte Kenntnisse der kognitiven Prozesse, die dem gesundheitsbewussten Konsumentenverhalten zugrunde liegen, können Marketing- bzw. Interventionsmaßnahmen nur begrenzt wirkungsvoll sein. Die Autorin leitet Implikationen für eine effizientere Förderung gesundheitsbewussten Konsums ab. Die Systematisierung ist über den Gesundheitsbezug hinaus einsetzbar. Der Inhalt Arten des Bewusstseins als Systematisierungsansatz zentraler sozial-kognitiver Konstrukte der Verhaltensforschung Theoretische Darstellung der Determinanten gesundheitsbewussten Konsumentenverhaltens Empirische Prüfung des Modells zur Erklärung gesundheitsbewussten Konsumentenverhaltens Diskussion der Einflussfaktoren und deren Beziehungsstrukturen Implikationen für Marketingwissenschaft und -management Die Zielgruppen Dozierende und Studierende der Wirtschafts-, Sozial- und Gesundheitswissenschaften mit den Schwerpunkten Konsumentenverhalten, Marktforschung sowie präventive Gesundheitsförderung Praktiker in Marketing und Marktforschung bei Anbietern von Konsumgütern und in der präventiven Gesundheitsförderung Die AutorIn Alexandra Silbermann ist wissenschaftliche Mitarbeiterin an der Universität Potsdam bei Univ.-Prof. Dr. Ingo Balderjahn am Lehrstuhl für Marketing I.
Die steuerrechtliche Behandlung der Religionsgemeindschaften in Deutschland im Vergleich zu Südkorea
(2015)
Die Waffen nieder 2.0!
(2015)
Alles nur Strategie?
(2015)
Welcher Diskurs wird um Jungenarbeit als geschlechtssensible pädagogische Arbeit mit männlichen Kindern und Jugendlichen und deren Umsetzung in kurzzeitpädagogischen außerunterrichtlichen Angeboten geführt? Thomas Viola Rieske geht dieser Frage nach und legt nahe, dass Normativität als unausweichlicher Bestandteil pädagogischer Praxis anerkannt und zugleich kritisch reflektiert werden muss, um Jungen in ihrer Entwicklung stärken zu können. Er diskutiert die verschiedenen geschlechtertheoretischen und pädagogischen Grundpositionen, die im Fachdiskurs über Jungenarbeit bestehen und untersucht die Umsetzung von Jungenarbeit. Er zeigt auf, dass die Teilnehmer der beobachteten Jungenseminare einerseits zu einem partnerschaftlichen, normenkritischen und direkten Kontakt mit sich und anderen befähigt werden, andererseits aber auch Zuschreibungen, Grenzüberschreitungen und ein Übergehen ihrer Bedürfnisse erfahren.
There is a wealth of evidence showing that increasing the distance between an argument and its head leads to more processing effort, namely, locality effects; these are usually associated with constraints in working memory (DLT: Gibson, 2000; activation-based model: Lewis and Vasishth, 2005). In SOV languages, however, the opposite effect has been found: antilocality (see discussion in Levy et al., 2013). Antilocality effects can be explained by the expectation-based approach as proposed by Levy (2008) or by the activation-based model of sentence processing as proposed by Lewis and Vasishth (2005). We report an eye-tracking and a self-paced reading study with sentences in Spanish together with measures of individual differences to examine the distinction between expectation- and memory-based accounts, and within memory-based accounts the further distinction between DLT and the activation-based model. The experiments show that (i) antilocality effects as predicted by the expectation account appear only for high-capacity readers; (ii) increasing dependency length by interposing material that modifies the head of the dependency (the verb) produces stronger facilitation than increasing dependency length with material that does not modify the head; this is in agreement with the activation-based model but not with the expectation account; and (iii) a possible outcome of memory load on low-capacity readers is the increase in regressive saccades (locality effects as predicted by memory-based accounts) or, surprisingly, a speedup in the self-paced reading task; the latter consistent with good-enough parsing (Ferreira et al., 2002). In sum, the study suggests that individual differences in working memory capacity play a role in dependency resolution, and that some of the aspects of dependency resolution can be best explained with the activation-based model together with a prediction component.
Wir sind eine IdeenUni
(2015)
Volksschädlinge vor Gericht
(2015)
Deutschland, September 1939. Der Zweite Weltkrieg hat gerade begonnen, die Kriegsmoral der deutschen Bevölkerung musste unter allen Umständen aufrechterhalten werden. Um ein Abklingen wie im Ersten Weltkrieg durch Aushungern zu vermeiden, musste die Versorgung der Bevölkerung mit Lebensmitteln und anderen lebenswichtigen Dingen stets gewährleistet sein.Jana Nüchterlein analysiert die am 5. September 1939 initiierte Volksschädlingsverordnung, nach der jeder, der die Verteilung verknappter und bezugsscheinpflichtiger Waren gefährdete, schwer bestraft werden sollte. Sie zeigt, dass mit der Verordnung vorrangig Ziele wie Abschreckung und Vertrauen der Bevölkerung in die Justiz (und damit in das System) erreicht werden sollten, und wie letztendlich – durch weitgefasste Tatbestände, scharfe Strafandrohungen und weit gespannte Strafrahmen – selbst die Gewährleistung der Durchführung kriegswirtschaftlicher Maßnahmen und die Unterbindung sämtlicher Formen der Sabotage zum Ziel wurden.
Das deutsche Strafgesetzbuch stellt nur die Fremdtötung und die Tötung auf Verlangen in den §§ 211ff. StGB unter Strafe. Der Suizid hingegen stellt keine Straftat dar, weshalb auch die Teilnahme daran straflos bleibt. Vor dem Hintergrund der sich hieraus ergebenden Abgrenzungsschwierigkeiten gibt es seit 2006 verschiedene Gesetzesvorhaben, die Suizidmitwirkung, insbesondere durch Sterbehilfeorganisationen, strafrechtlich zu erfassen. Die vorliegende Arbeit erörtert die in diesem Zusammenhang entstehende Fragestellung, ob die Teilnahme am Suizid ein strafwürdiges Verhalten darstellt, welches strafrechtlich geahndet werden muss. Hierzu werden auch die vorgenannten Gesetzesvorhaben einer kritischen Stellungnahme unterzogen und entsprechende ausländische Regelungen betrachtet. Neben den Entwürfen eines solchen Straftatbestandes geht die Arbeit außerdem auf rechtliche Lösungen außerhalb des Strafrechts ein und stellt abschließend fest, ob ein Erfordernis zur Änderung der bestehenden Rechtslage im Strafgesetzbuch besteht.
Der maskierte Voltaire
(2015)
Voltaire schrieb mit spitzer Feder, doch verbarg er seine Kritik mittels verdeckter Schreibarten. So schlüpft er in der Tischrunde der großen abendländischen Satiriker abwechselnd in die Masken von Lukian, Erasmus und Rabelais, um verwandte Geister miteinander sprechen zu lassen. – Im Drama Mahomet inszeniert er religiösen Fanatismus und Glaubenskriege als die große „Geißel“ der Menschheit. – Candide gerät als autofiktionale Spiegelung Voltaires und des Preußenkönigs Friedrich zu einer versteckten Abrechnung mit dem Freund. – Eine weite Lesart des Candide, eine Neuinterpretation unter dem Aspekt von Heterotopie und Heterologie, rückt die Neue Welt in den Blick. Unter Rückgriff auf das kartographische Imaginaire der Entdecker verwandeln sich geographische Orte in Heterotopien. Aspekte der Kolonialismuskritik und Globalisierung erweisen sich hier erstmals als eine wesentliche Strategie zur Ironisierung der ‚besten aller möglichen Welten‘.
Philipp Richter untersucht Unterschiede in der Makroorganisation der Landesverwaltungen. In seiner verwaltungswissenschaftlich-empirischen Analyse zeigt er am Beispiel der Versorgungsverwaltung, wie sich der vormals einheitliche Verwaltungsaufbau durch Verwaltungsstruktur- und Funktionalreformen zwischen den Bundesländern ausdifferenziert hat und wie die dadurch entstandenen Unterschiede den Vollzug von Bundesgesetzen beeinflussen. Mit Blick auf die Implementation des Schwerbehinderten- und Sozialen Entschädigungsrechts identifiziert der Autor problemadäquate Lösungen und zieht praxisrelevante Schlussfolgerungen für eine Modernisierung des äußeren Verwaltungsaufbaus, die auch wichtige Erkenntnisse für die Ausgestaltung der Makroorganisation in anderen Verwaltungsbereichen bereithalten.
Diese Arbeit untersucht, ob die Rassendiskriminierungskonvention (CERD) auf das Verhalten von Vertragsstaaten außerhalb ihres Staatsgebiets anwendbar ist. Unter Beachtung der bisherigen Rechtsprechung und Praxis anderer Menschenrechtsgremien zur Frage extraterritorialer Anwendbarkeit von Menschenrechtsverträgen werden die Entstehungsgeschichte, die Vorarbeiten zur CERD und die Praxis des CERD-Ausschusses analysiert. Diese Untersuchung bezieht auch das Verhalten der Vertragsstaaten mit ein. Die Struktur der CERD weist gegenüber anderen Menschenrechtsverträgen, die zur gleichen Zeit entstanden sind, Besonderheiten auf. Nur einzelne materielle Bestimmungen setzen die Ausübung von Hoheitsgewalt voraus. Unter diesem Aspekt sowie unter Berücksichtigung der in ihr enthaltenen Staatenpflichten wird die CERD in Bezug auf ihre extraterritoriale Anwendbarkeit erörtert. Anhand der Grundsätze des Völkerrechts werden Art und Umfang der Verpflichtungen, die den Vertragsstaaten unter der CERD auf fremdem Staatsgebiet aufgegeben werden können, diskutiert.
Das Treasury-Management von Internationalen Unternehmen gewinnt in der Praxis zunehmend an strategischer Bedeutung; eine wissenschaftlich umfassende Erörterung des Themas unter Berücksichtigung verschiedener Perspektiven und aktueller Entwicklungen fehlt jedoch. Daher wird in der vorliegenden Dissertation einerseits ein holistisches Verständnis des Treasury-Managements von Internationalen Unternehmen erarbeitet. Diese neuartige Sichtweise wird durch die Entwicklung von theoretischen Modellen untermauert und eine zunehmende Strategieorientierung nachgewiesen. Ergänzend wird das Treasury-Management vor dem Hintergrund einer Fokussierung auf Internationale Unternehmen und Finanzmärkte in einen Gesamtunternehmenskontext eingeordnet, aber auch Spezial-bereiche – wie die Corporate Governance der Treasury-Abteilung werden hinreichend behandelt. Daneben wird aber auch eine umfangreiche empirische Analyse der Bankensteuerung und des Cash-Managements von Internationalen Unternehmen am Beispiel von DAX- und MDAX-Unternehmen im Kontext der Globalen Finanzkrise durchgeführt. Es werden wesentliche Entwicklungstendenzen – wie eine zunehmende Risikoorientierung – aufgezeigt und ein Zusammenhang zwischen beiden Untersuchungsbereichen nachgewiesen.
The neurophysiological and behavioral correlates of action-related language processing have been debated for long time. A precursor in this field was the study by Buccino et al. (2005) combining transcranial magnetic stimulation (TMS) and behavioral measures (reaction times, RTs) to study the effect of listening to hand- and foot-related sentences. In the TMS experiment, the authors showed a decrease of motor evoked potentials (MEPs) recorded from hand muscles when processing hand-related verbs as compared to foot-related verbs. Similarly, MEPs recorded from leg muscles decreased when participants processed foot-related as compared to hand-related verbs. In the behavioral experiment, using the same stimuli and a semantic decision task the authors found slower RTs when the participants used the body effector (hand or foot) involved in the actual execution of the action expressed by the presented verb to give their motor responses. These findings were interpreted as an interference effect due to a simultaneous involvement of the motor system in both a language and a motor task. Our replication aimed to enlarge the sample size and replicate the findings with higher statistical power. The TMS experiment showed a significant modulation of hand MEPs, but in the sense of a motor facilitation when processing hand-related verbs. On the contrary, the behavioral experiment did not show significant results. The results are discussed within the general debate on the time-course of the modulation of motor cortex during implicit and explicit language processing and in relation to the studies on action observation/understanding.
Background: Interoceptive awareness (iA), the awareness of stimuli originating inside the body, plays an important role in human emotions and psychopathology. The insula is particularly involved in neural processes underlying iA. However, iA-related neural activity in the insula during the acute state of major depressive disorder (MDD) and in remission from depression has not been explored.
Methods: A well-established fMRI paradigm for studying (iA; heartbeat counting) and exteroceptive awareness (eA; tone counting) was used. Study participants formed three independent groups: patients suffering from MDD, patients in remission from MDD or healthy controls. Task-induced neural activity in three functional subdivisions of the insula was compared between these groups.
Results: Depressed participants showed neural hypo-responses during iA in anterior insula regions, as compared to both healthy and remitted participants. The right dorsal anterior insula showed the strongest response to iA across all participant groups. In depressed participants there was no differentiation between different stimuli types in this region (i.e., between iA, eA and noTask). Healthy and remitted participants in contrast showed clear activity differences.
Conclusions: This is the first study comparing iA and eA-related activity in the insula in depressed participants to that in healthy and remitted individuals. The preliminary results suggest that these groups differ in there being hypo-responses across insula regions in the depressed participants, whilst non-psychiatric participants and patients in remission from MDD show the same neural activity during iA in insula subregions implying a possible state marker for MDD. The lack of activity differences between different stimulus types in the depressed group may account for their symptoms of altered external and internal focus.
Background
Previous literature mainly introduced cognitive functions to explain performance decrements in dual-task walking, i.e., changes in dual-task locomotion are attributed to limited cognitive information processing capacities. In this study, we enlarge existing literature and investigate whether leg muscular capacity plays an additional role in children’s dual-task walking performance.
Methods
To this end, we had prepubescent children (mean age: 8.7 ± 0.5 years, age range: 7–9 years) walk in single task (ST) and while concurrently conducting an arithmetic subtraction task (DT). Additionally, leg lean tissue mass was assessed.
Results
Findings show that both, boys and girls, significantly decrease their gait velocity (f = 0.73), stride length (f = 0.62) and cadence (f = 0.68) and increase the variability thereof (f = 0.20-0.63) during DT compared to ST. Furthermore, stepwise regressions indicate that leg lean tissue mass is closely associated with step time and the variability thereof during DT (R2 = 0.44, p = 0.009). These associations between gait measures and leg lean tissue mass could not be observed for ST (R2 = 0.17, p = 0.19).
Conclusion
We were able to show a potential link between leg muscular capacities and DT walking performance in children. We interpret these findings as evidence that higher leg muscle mass in children may mitigate the impact of a cognitive interference task on DT walking performance by inducing enhanced gait stability.
The term “bilateral deficit” (BLD) has been used to describe a reduction in performance during bilateral contractions when compared to the sum of identical unilateral contractions. In old age, maximal isometric force production (MIF) decreases and BLD increases indicating the need for training interventions to mitigate this impact in seniors. In a cross-sectional approach, we examined age-related differences in MIF and BLD in young (age: 20–30 years) and old adults (age: >65 years). In addition, a randomized-controlled trial was conducted to investigate training-specific effects of resistance vs. balance training on MIF and BLD of the leg extensors in old adults. Subjects were randomly assigned to resistance training (n = 19), balance training (n = 14), or a control group (n = 20). Bilateral heavy-resistance training for the lower extremities was performed for 13 weeks (3 × / week) at 80% of the one repetition maximum. Balance training was conducted using predominately unilateral exercises on wobble boards, soft mats, and uneven surfaces for the same duration. Pre- and post-tests included uni- and bilateral measurements of maximal isometric leg extension force. At baseline, young subjects outperformed older adults in uni- and bilateral MIF (all p < .001; d = 2.61–3.37) and in measures of BLD (p < .001; d = 2.04). We also found significant increases in uni- and bilateral MIF after resistance training (all p < .001, d = 1.8-5.7) and balance training (all p < .05, d = 1.3-3.2). In addition, BLD decreased following resistance (p < .001, d = 3.4) and balance training (p < .001, d = 2.6). It can be concluded that both training regimens resulted in increased MIF and decreased BLD of the leg extensors (HRT-group more than BAL-group), almost reaching the levels of young adults.
Art. 50 EUV in der Fassung des Vertrages von Lissabon normiert erstmals ein Recht für Mitgliedstaaten zum Austritt aus der EU. Manuela Ludewig stellt das Austrittsverfahren dar, diskutiert die Rechtsnatur und den Inhalt des anzustrebenden Austrittsabkommens und befasst sich mit dem Problem, ob ein (partieller) Austritt aus der Währungsunion möglich ist. Insbesondere interessiert die Autorin die Frage, ob die zur Beendigung der Mitgliedschaft in einer internationalen Organisation führenden Tatbestände einen 'notwendigen', d. h. auf die Erhaltung der Organisation, oder einen 'dynamischen', d. h. auf die bessere Realisierung des Organisationszwecks gerichteten Effekt haben können - und zwar allein aufgrund ihrer Existenz, ihrer Instrumentalisierung (Androhung) oder ihrer Verwirklichung.