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Die Natur unterliegt ständigen Veränderungen und befindet sich nur vermeintlich in einem Gleichgewicht. Umweltparameter wie Temperatur, Luftfeuchtigkeit oder Sonneneinstrahlung schwanken auf einer Zeitskala von Sekunden bis Jahrmillionen und beinhalten teils beträchtliche Unterschiede. Mit diesen Umweltveränderungen müssen sich Arten als Teil eines Ökosystems auseinandersetzen. Für Ökologen ist interessant, wie sich individuelle Reaktionen auf die Umweltveränderungen im dynamischen Verhalten einer ganzen Population bemerkbar machen und ob deren Verhalten vorhersagbar ist. Der Demografie einer Population kommt hierbei eine entscheidende Rolle zu, da sie das Resultat von Wachstums- und Sterbeprozessen darstellt. Eben jene Prozesse werden von der Umwelt maßgeblich beeinflusst. Doch wie genau beeinflussen Umweltveränderungen das Verhalten ganzer Populationen? Wie sieht das vorübergehende, transiente Verhalten aus? Als Resultat von Umwelteinflüssen bilden sich in Populationen sogenannte Kohorten, hinsichtlich der Zahl an Individuen überproportional stark vertretene Alters- oder Größenklassen. Sterben z.B. aufgrund eines außergewöhnlich harten Winters, die alten und jungen Individuen einer Population, so besteht diese anschließend hauptsächlich aus Individuen mittleren Alters. Sie wurde sozusagen synchronisiert. Eine solche Populationen neigt zu regelmäßigen Schwankungen (Oszillationen) in ihrer Dichte, da die sich abwechselnden Phasen der individuellen Entwicklung und der Reproduktion nun von einem Großteil der Individuen synchron durchschritten werden. D.h., mal wächst die Population und mal nimmt sie entsprechend der Sterblichkeit ab. In Experimenten mit Phytoplankton-Populationen konnte ich zeigen, dass dieses oszillierende Verhalten mit dem in der Physik gebräuchlichen Konzept der Synchronisation beschrieben werden kann. Synchrones Verhalten ist eines der verbreitetsten Phänomene in der Natur und kann z.B. in synchron schwingenden Brücken, als auch bei der Erzeugung von Lasern oder in Form von rhythmischem Applaus auf einem Konzert beobachtet werden. Wie stark die Schwankungen sind, hängt dabei sowohl von der Stärke der Umweltveränderung als auch vom demografischen Zustand der Population vor der Veränderung ab. Zwei Populationen, die sich in verschiedenen Habitaten aufhalten, können zwar gleich stark von einer Umweltveränderung beeinflusst werden. Die Reaktionen im anschließenden Verhalten können jedoch äußerst unterschiedlich ausfallen, wenn sich die Populationen zuvor in stark unterschiedlichen demografischen Zuständen befanden. Darüber hinaus treten bestimmte, für das Verhalten einer Population relevante Mechanismen überhaupt erst in Erscheinung, wenn sich die Umweltbedingungen ändern. So fiel in Experimenten beispielsweise die Populationsdichte um rund 50 Prozent ab nachdem sich die Ressourcenverfügbarkeit verdoppelte. Der Grund für dieses gegenintuitive Verhalten konnte mit der erhöhten Aufnahme von Ressourcen erklärt werden. Damit verbessert eine Algenzelle zwar die eigene Konstitution, jedoch verzögert sich dadurch die auch die Reproduktion und die Populationsdichte nimmt gemäß ihrer Verluste bzw. Sterblichkeit ab. Zwei oder mehr räumlich getrennte Populationen können darüber hinaus durch Umwelteinflüsse synchronisiert werden. Dies wird als Moran-Effekt bezeichnet. Angenommen auf zwei weit voneinander entfernten Inseln lebt jeweils eine Population. Zwischen beiden findet kein Austausch statt – und doch zeigt sich beim Vergleich ihrer Zeitreihen eine große Ähnlichkeit. Das überregionale Klima synchronisiert hierbei die lokalen Umwelteinflüsse. Diese wiederum bestimmen das Verhalten der jeweiligen Population. Der Moran-Effekt besagt nun, dass die Ähnlichkeit zwischen den Populationen jener zwischen den Umwelteinflüssen entspricht, oder geringer ist. Meine Ergebnisse bestätigen dies und zeigen darüber hinaus, dass sich die Populationen sogar ähnlicher sein können als die Umwelteinflüsse, wenn man von unterschiedlich stark schwankenden Einflüssen ausgeht.
"Unavoidably side by side"
(2011)
Sediment records of three European lakes were investigated in order to reconstruct the regional climate development during the Lateglacial and Holocene, to investigate the response of local ecosystems to climatic fluctuations and human impact and to relate regional peculiarities of past climate development to climatic changes on a larger spatial scale. The Lake Hańcza (NE Poland) sediment record was studied with a focus on reconstructing the early Holocene climate development and identifying possible differences to Western Europe. Following the initial Holocene climatic improvement, a further climatic improvement occurred between 10 000 and 9000 cal. a BP. Apparently, relatively cold and dry climate conditions persisted in NE Poland during the first ca. 1500 years of the Holocene, most likely due to a specific regional atmospheric circulation pattern. Prevailing anticyclonic circulation linked to a high-pressure cell above the remaining Scandinavian Ice Sheet (SIS) might have blocked the eastward propagation of warm and moist Westerlies and thus attenuated the early Holocene climatic amelioration in this region until the final decay of the SIS, a pattern different from climate development in Western Europe. The Lateglacial sediment record of Lake Mondsee (Upper Austria) was investigated in order to study the regional climate development and the environmental response to rapid climatic fluctuations. While the temperature rise and environmental response at the onset of the Holocene took place quasi-synchronously, major leads and lags in proxy responses characterize the onset of the Lateglacial Interstadial. In particular, the spread of coniferous woodlands and the reduction of detrital flux lagged the initial Lateglacial warming by ca. 500–750 years. Major cooling at the onset of the Younger Dryas took place synchronously with a change in vegetation, while the increase of detrital matter flux was delayed by about 150–300 years. Complex proxy responses are also detected for short-term Lateglacial climatic fluctuations. In summary, periods of abrupt climatic changes are characterized by complex and temporally variable proxy responses, mainly controlled by ecosystem inertia and the environmental preconditions. A second study on the Lake Mondsee sediment record focused on two small-scale climate deteriorations around 8200 and 9100 cal. a BP, which have been triggered by freshwater discharges to the North Atlantic, causing a shutdown of the Atlantic meridional overturning circulation (MOC). Combining microscopic varve counting and AMS 14C dating yielded a precise duration estimate (ca. 150 years) and absolute dating of the 8.2 ka cold event, both being in good agreement with results from other palaeoclimate records. Moreover, a sudden temperature overshoot after the 8.2 ka cold event was identified, also seen in other proxy records around the North Atlantic. This was most likely caused by enhanced resumption of the MOC, which also initiated substantial shifts of oceanic and atmospheric front systems. Although there is also evidence from other proxy records for pronounced recovery of the MOC and atmospheric circulation changes after the 9.1 ka cold event, no temperature overshoot is seen in the Lake Mondsee record, indicating the complex behaviour of the global climate system. The Holocene sediment record of Lake Iseo (northern Italy) was studied to shed light on regional earthquake activity and the influence of climate variability and anthropogenic impact on catchment erosion and detrital flux into the lake. Frequent small-scale detrital layers within the sediments reflect allochthonous sediment supply by extreme surface runoff events. During the early to mid-Holocene, increased detrital flux coincides with periods of cold and wet climate conditions, thus apparently being mainly controlled by climate variability. In contrast, intervals of high detrital flux during the late Holocene partly also correlate with phases of increased human impact, reflecting the complex influences on catchment erosion processes. Five large-scale event layers within the sediments, which are composed of mass-wasting deposits and turbidites, are supposed to have been triggered by strong local earthquakes. While the uppermost of these event layers is assigned to a documented adjacent earthquake in AD 1222, the four other layers are supposed to be related to previously undocumented prehistorical earthquakes.
1. Предмет международного частного права 2. Понятие международного частного права 3. Развитие МЧП 4. Содержание МЧП 5. Источники МЧП 6. Коллизионные нормы 7. Обратная отсылка и отсылка к праву третьего государства (renvoi) 8. Проблема квалификации в МЧП 9. Применение иностранного права, установление содержания иностранного права 10. Оговорка о публичном порядке 11. Императивные нормы 12. Основные коллизионные принципы
1. Der Regelungsgegenstand des Internationalen Privatrechts 2. Der Begriff des IPR 3. Die Geschichte des IPR 4. Der Inhalt des IPR 5. Rechtsquellen des IPR 6. Kollisionsnormen 7. Rück- und Weiterverweisung (renvoi) 8. Zur Qualifikation im IPR 9. Die Anwendung und Ermittlung des ausländischen Rechts 10. Ordre public 11. Zwingendes Recht 12. Die grundlegenden Prinzipien des Kollisionsrechts
Mechanistische und kinetische Untersuchungen von komplexen zellulären Prozessen in situ sind in den vergangenen Jahren durch den Einsatz photoaktivierbarer Biomoleküle, sogenannter caged Verbindungen, möglich geworden. Bei den caged Verbindungen handelt es sich um photolabile inaktive Derivate von biologisch aktiven Molekülen, aus denen durch ultraviolettes Licht mit Hilfe einer photochemischen Reaktion die natürliche, biologisch aktive Substanz schnell freigesetzt werden kann. Im Rahmen der vorliegenden Arbeit wurden caged Verbindungen von den Neurotransmittern Octopamin und Dopamin, dem Octopamin-Antagonist Epinastin, den Proteinsyntheseinhibitoren Emetin und Anisomycin, dem Protonophor CCCP und dem Riechstoff Bourgeonal hergestellt. Zur Synthese dieser caged Verbindungen wurden sowohl bekannte als auch verschiedene im Rahmen dieser Arbeit neu entwickelte photolabile Schutzgruppen mit einem (Cumarin-4-yl)methyl- bzw. einem 2-Nitrobenzyl-Gerüst eingesetzt. Entsprechende Syntheseverfahren wurden erarbeitet. Anschließend erfolgte eine umfassende physikalisch-chemische sowie photochemische Charakterisierung der erhaltenen caged Verbindungen. Dabei wurde besonders auf gute Löslichkeit in Wasser bei physiologischer Ionenstärke, schnelle und effiziente Photoreaktivität, hohe Extinktion bei Wellenlängen von 350-430 nm und gute solvolytische Stabilität bei geringer Toxizität der freigesetzten Schutzgruppe geachtet. Ein Schwerpunkt bei der photochemischen Charakterisierung bildeten die Untersuchungen zur Quantifizierung der 2-Photonen-Anregung, uncaging action cross-sections, der Cumarinylmethyl-caged Verbindungen, aufgrund ihrer Bedeutung für die Photofreisetzung von Biomolekülen, da die gleichzeitige Absorption von 2 IR-Photonen eine höhere dreidimensionale Auflösung und eine wesentlich tiefere Gewebepenetration erlaubt. Mit Hilfe von Kooperationspartnern wurden zeitaufgelösten Fluoreszenz- und IR-Messungen an verschiedenen (Cumarin-4-yl)methoxycarbonyl-caged Modellverbindungen durchgeführt, mit denen die Geschwindigkeitskonstanten k1 und kdecarb des Photolysemechanismus ermittelt wurde. Am Ende folgten die Anwendungserprobungen ausgewählter caged Verbindungen in einem Translationsassay bzw. in Zelluntersuchungen.
Dryland vulnerability : typical patterns and dynamics in support of vulnerability reduction efforts
(2011)
The pronounced constraints on ecosystem functioning and human livelihoods in drylands are frequently exacerbated by natural and socio-economic stresses, including weather extremes and inequitable trade conditions. Therefore, a better understanding of the relation between these stresses and the socio-ecological systems is important for advancing dryland development. The concept of vulnerability as applied in this dissertation describes this relation as encompassing the exposure to climate, market and other stresses as well as the sensitivity of the systems to these stresses and their capacity to adapt. With regard to the interest in improving environmental and living conditions in drylands, this dissertation aims at a meaningful generalisation of heterogeneous vulnerability situations. A pattern recognition approach based on clustering revealed typical vulnerability-creating mechanisms at global and local scales. One study presents the first analysis of dryland vulnerability with global coverage at a sub-national resolution. The cluster analysis resulted in seven typical patterns of vulnerability according to quantitative indication of poverty, water stress, soil degradation, natural agro-constraints and isolation. Independent case studies served to validate the identified patterns and to prove the transferability of vulnerability-reducing approaches. Due to their worldwide coverage, the global results allow the evaluation of a specific system’s vulnerability in its wider context, even in poorly-documented areas. Moreover, climate vulnerability of smallholders was investigated with regard to their food security in the Peruvian Altiplano. Four typical groups of households were identified in this local dryland context using indicators for harvest failure risk, agricultural resources, education and non-agricultural income. An elaborate validation relying on independently acquired information demonstrated the clear correlation between weather-related damages and the identified clusters. It also showed that household-specific causes of vulnerability were consistent with the mechanisms implied by the corresponding patterns. The synthesis of the local study provides valuable insights into the tailoring of interventions that reflect the heterogeneity within the social group of smallholders. The conditions necessary to identify typical vulnerability patterns were summarised in five methodological steps. They aim to motivate and to facilitate the application of the selected pattern recognition approach in future vulnerability analyses. The five steps outline the elicitation of relevant cause-effect hypotheses and the quantitative indication of mechanisms as well as an evaluation of robustness, a validation and a ranking of the identified patterns. The precise definition of the hypotheses is essential to appropriately quantify the basic processes as well as to consistently interpret, validate and rank the clusters. In particular, the five steps reflect scale-dependent opportunities, such as the outcome-oriented aspect of validation in the local study. Furthermore, the clusters identified in Northeast Brazil were assessed in the light of important endogenous processes in the smallholder systems which dominate this region. In order to capture these processes, a qualitative dynamic model was developed using generalised rules of labour allocation, yield extraction, budget constitution and the dynamics of natural and technological resources. The model resulted in a cyclic trajectory encompassing four states with differing degree of criticality. The joint assessment revealed aggravating conditions in major parts of the study region due to the overuse of natural resources and the potential for impoverishment. The changes in vulnerability-creating mechanisms identified in Northeast Brazil are well-suited to informing local adjustments to large-scale intervention programmes, such as “Avança Brasil”. Overall, the categorisation of a limited number of typical patterns and dynamics presents an efficient approach to improving our understanding of dryland vulnerability. Appropriate decision-making for sustainable dryland development through vulnerability reduction can be significantly enhanced by pattern-specific entry points combined with insights into changing hotspots of vulnerability and the transferability of successful adaptation strategies.
- Einleitung - Die Situation der Universität Leipzig nach der Einnahme durch die Schweden - Balance zwischen legitimer und faktischer Herrschaft - Streit mit Rat und Bürgerschaft - Das Verhältnis der Universität zu den schwedischen Besatzern - Positive Auswirkungen der Besatzung auf die Universität Leipzig - Fazit
Stadt und Festung Stralsund
(2011)
Rezensiertes Werk: Jürgen Kloosterhuis (Bearb.), Bestandsgruppen-Analyse Generaldirektorium, Geheimes Staatsarchiv PK, Berlin 2008 (= Veröffentlichungen aus den Archiven Preußischer Kulturbesitz, Arbeitsberichte 9) Ute Dietsch (Bearb.), Familienarchive und Nachlässe im Geheimen Staatsarchiv preußischer Kulturbesitz. Ein Inventar, Geheimes Staatsarchiv PK, Berlin 2008 (= Veröffentlichungen aus den Archiven Preußischer Kulturbesitz, Arbeitsberichte 8)
Aus dem Inhalt: 1 Einleitung 2 Entwicklungen auf dem deutschen Arbeitsmarkt 2.1 Das Normalarbeitsverhältnis und seine Bedeutung für den deutschen Arbeitsmarkt 2.2 Flexibilität von Beschäftigungsverhältnissen 2.3 Die Entwicklung der Beschäftigungsverhältnisse in der Bundesrepublik Deutschland 3 Das deutsche System sozialer Sicherung 3.1 Die Bundesrepublik Deutschland als konservativer Wohlfahrtsstaat 3.2 Zur Prekarität atypischer Beschäftigung im deutschen System sozialer Sicherung 4 Die Flexicurity-Strategie anderer Länder 4.1 Dänemark 4.2 Niederlande 5 Die Bewährung der dargestellten arbeitsmarkt- und sozialpolitischen Modelle und Schlussfolgerungen für die Bundesrepublik 5.1 Zur Performanz der Modelle in Dänemark, Deutschland und den Niederlanden 5.2 Ansatzpunkte für die Bundesrepublik Deutschland 6 Fazit und Ausblick
Reader zur Gleichstellung
(2011)
This essay revisits Ian McEwan’s extremely successful novel Saturday, and interrogates its exemplary assessment of the British cultural climate after 9/11. The particular focus is on McEwan’s extensive recourse to the writings of Matthew Arnold, whose melancholy outlook on culture and anarchy McEwan basically translates into the 21st century without much ideological fraction. This relapse into Victorian liberal humanism as consolation for a Western world besieged by the contingencies of terrorism is extremely problematic. Not only does it wilfully ignore the transcultural realities of modern Britain, it also promotes an ahistorical and apolitical mode of critical inquiry which may be called reductive at best in view of the global challenges that the novel addresses.
BVerfG : Fraport
(2011)
Inhalt: - I. Das Ende des Kalten Krieges und die internationale Neuausrichtung Deutschlands - II. Schaffung neuer Handlungsspielräume für die auswärtige Gewalt - II.1. Anpassung verfassungsrechtlicher Standards an internationale Verpflichtungen: Internationale Strafgerichtsbarkeit und Art. 16 Abs. 2 S. 1 GG - II.2. Auslegung von verfassungsrechtlichen Standardsfür sicherheitspolitische Handlungsspielräume - III. Begrenzung und Kontrolle der Einwirkung völkerrechtlicher Normen auf das innerstaatliche Recht - III.1. Einwirkung völkerrechtlicher Normen auf das innerstaatliche Recht - III.2. Schrittweise Parlamentarisierung der Außenpolitik bei Maßnahmen der Exekutive? - III.3. Strikter Dualismus als Antwort auf die Einwirkungen völkerrechtlicher Gerichtsentscheidungen auf das nationale Recht
Inhalt: - Das menschenrechtliche Diskriminierungsverbot und seine Grenzen - I. Einleitung - II. Die symbolische Dimension der Menschenrechte - 1. Ausschluss primärer Diskriminierung - 2. Menschen und Merkmale - III. Begriffliche Erweiterungen - 1. Institutionelle Diskriminierung - 2. Indirekte Diskriminierung - 3. Strukturelle Diskriminierung - IV. Fazit
Using the notion of an elementary loop, Gebser and Schaub (2005. Proceedings of the Eighth International Conference on Logic Programming and Nonmonotonic Reasoning (LPNMR’05 ), 53–65) refined the theorem on loop formulas attributable to Lin and Zhao (2004) by considering loop formulas of elementary loops only. In this paper, we reformulate the definition of an elementary loop, extend it to disjunctive programs, and study several properties of elementary loops, including how maximal elementary loops are related to minimal unfounded sets. The results provide useful insights into the stable model semantics in terms of elementary loops. For a nondisjunctive program, using a graph-theoretic characterization of an elementary loop, we show that the problem of recognizing an elementary loop is tractable. On the other hand, we also show that the corresponding problem is coNP-complete for a disjunctive program. Based on the notion of an elementary loop, we present the class of Head-Elementary-loop-Free (HEF) programs, which strictly generalizes the class of Head-Cycle-Free (HCF) programs attributable to Ben-Eliyahu and Dechter (1994. Annals of Mathematics and Artificial Intelligence 12, 53–87). Like an HCF program, an HEF program can be turned into an equivalent nondisjunctive program in polynomial time by shifting head atoms into the body.
The space missions Voyager and Cassini together with earthbound observations re-vealed a wealth of structures in Saturn’s rings. There are, for example, waves being excited at ring positions which are in orbital resonance with Saturn’s moons. Other structures can be assigned to embedded moons like empty gaps, moon induced wakes or S-shaped propeller features. Further-more, irregular radial structures are observed in the range from 10 meters until kilometers. Here some of these structures will be discussed in the frame of hydrodynamical modeling of Saturn’s dense rings. For this purpose we will characterize the physical properties of the ring particle ensemble by mean field quantities and point to the special behavior of the transport coefficients. We show that unperturbed rings can become unstable and how diffusion acts in the rings. Additionally, the alternative streamline formalism is introduced to describe perturbed regions of dense rings with applications to the wake damping and the dispersion relation of the density waves.
We show that the residue density of the logarithm of a generalized Laplacian on a closed manifold defines an invariant polynomial-valued differential form. We express it in terms of a finite sum of residues of
classical pseudodifferential symbols. In the case of the square of a Dirac operator, these formulas provide a pedestrian proof of the Atiyah–Singer formula for a pure Dirac operator in four dimensions and for a
twisted Dirac operator on a flat space of any dimension. These correspond to special cases of a more general formula by Scott and Zagier. In our approach, which is of perturbative nature, we use either a Campbell–Hausdorff formula derived by Okikiolu or a noncommutative Taylor-type formula.
Contents: 1. Introduction 2. Selection of QUIS Data for Comparative Goals 2.1 Fairy Tale (Topic and Focus in Coherent Discourse) 2.2 Focus Translation Extract 3. On the Presentation and Comparison of the Data 4. Buli 4.1 Tomatoes Fairy Tale in Buli 4.2 Focus Translation Extract in Buli 5. Kɔnni 5.1 Tomatoes Fairy Tale in Kɔnni 5.2 Focus Translation Extract 6. Baatɔnum 6.1 Tomatoes Fairy Tale in Baatɔnum 6.2 Focus Translation Extract in Baatɔnum
Zwischenruf : Experten
(2011)
In den vergangenen zwei Jahrzehnten hieß es, es gebe keine Entwicklung ohne Frieden. Daraus wurde abgeleitet, man müsse Soldaten nach Afghanistan schicken, um Entwicklungsperspektiven zu sichern. Dies wurde sodann abgewandelt: "Ohne Sicherheit keine Entwicklung". Mit dem Scheitern der Intervention im Land der Afghanen wurde daraus: "Ohne Entwicklung keine Sicherheit". Dies hat Auswirkungen auf die Entwicklungszusammenarbeit: Frieden als Ziel ist verschwunden, sie wird zur Funktion der "Sicherheit Deutschlands", die am Hindukusch verteidigt werden soll. Dafür wird passendes Personal gesucht.
Stadtstruktur und Umwelt
(2011)
Der Praxisbezug im Studium
(2011)
Entsprechend der Zielstellung wurden zunächst verschiedene Varianten der Kompostierung von Holzsubstanz getestet, um eine optimale Technologie, die auch für Entwicklungsländer realisierbar ist, herauszufinden. Hierzu sind in Pflanztöpfe Holzspäne (Woodchips) von zwei verschieden Holzarten (Laub- und Nadelholz) gefüllt und mit verschiedenen natürlichen Stickstoffquellen gemischt worden. Diese Ansätze wurden regelmäßig mit Kompostwasser appliziert. Nach vier Wochen sind zwei verschiedene Wurmarten (Dendrobaena veneta und Eisenia fetida) hinzugegeben worden. Die Feuchthaltung erfolgte ab diesem Zeitpunkt durch Frischwasser. Die qualitativ beste Versuchsvariante ist im nächsten Schritt mit weiteren natürlichen Stickstoffquellen, die in Entwicklungsländern zur Verfügung gestellt werden könnten, getestet worden. Von allen Kompostvarianten sind im Labor eine Vielzahl von bodenphysikalischen (z.B. Dichte, Wasserhaltekapazität) und bodenchemischen Zustandsgrößen (z.B. Elektrische Leitfähigkeit, Totalgehalte biophiler Elemente, Bodenreaktion, organische Substanzgehalte, Kationenaustauschkapazität) bestimmt worden. Die Wiederum qualitativ beste Mischung ist in einer weiteren Versuchsreihe in verschiedenen Mengenverhältnissen mit tertiärerem Abraumsand des Braunkohlebergbaus gemischt worden. In diese Versuchsmischungen wurde die Grasmischung RSM 7.2.1 eingesät und regelmäßig bewässert sowie die Wuchshöhe gemessen. Nach 42 Tagen wurden das Gras geerntet und die biometrischen Parameter, die Nährstoffgehalte (pflanzenverfügbare Fraktionen), die Bodenreaktion, die effektive bzw. potentielle Kationenaustauschkapazität sowie die Pufferkapazitäten der Mischsubstrate bestimmt. Die nächsten Versuchsvarianten sind als Feldversuche in der Niederlausitz durchgeführt worden. Für ihre Realisierung wurde als weiterer Zuschlagsstoff Arkadolith® zugemischt. Die Plotflächen sind sowohl auf Abraumsanden des Tertiärs als auch Quartärs angelegt worden. In jeweils eine Subvariante ist RSM 7.2.1, in die andere eine autochthone Grasmischung eingesät worden. Diese Experimente wurden nach 6 Monaten beendet, die Bestimmung aller Parameter erfolgte in gleicher Weise wie bei den Gewächshausversuchen. Auf Basis aller Versuchsreihen konnten die besten Kompostqualitäten und ihre optimalen Herstellungsvarianten ermittelt werden. Eine weitere Aufgabe war es zu untersuchen, wie im Vergleich zur Verbrennung von Holzmasse die CO2-Emission in die Atmosphäre durch Holzkompostierung verringert werden kann. Hierzu wurde während der verschiedenen Kompostierungsvarianten die CO2-Freisetzung gemessen. Im Vergleich dazu ist jeweils die gleiche Masse an Holzsubstanz verbrannt worden. Die Ergebnisse zeigten, dass im Vergleich zu der thermischen Verwertung von Holsubstanz die CO2-Emission bis zu 50 % verringert werden kann. Dem Boden kann darüber hinaus energiereiche organische Substanz zugeführt werden, die eine Entwicklung der Bodenorganismen ermöglicht. Ein weiteres Experiment zielte darauf ab, die Stabilität der Holzkomposte zu bestimmen. Darüber hinaus sollte untersucht werden, ob durch die Zufuhr von pyrogenem Kohlenstoff eine Vergrößerung der Stabilität zu erreichen ist. Diese Untersuchungen wurden mit Hilfe der Thermogravimetrie vorgenommen. Alle wichtigen Kompostierungsvarianten sind sowohl mit verschiedenen Zusatzmengen als auch ohne Zusatz von pyrogenem Kohlenstoff vermessen worden. Als Vergleichssubstanz diente der Oberboden eines Niedermoorgleys, der naturgemäß einen relativ hohen Anteil an organischer Substanz aufweist. Die Ergebnisse zeigten, dass im Bereich niedriger Temperaturen die Wasserbindung im Naturboden fester ist. In der Fraktion der oxidierbaren organischen Substanz, im mittleren Temperaturbereich gemessen, ist die natürliche Bodensubstanz ebenfalls stabiler, was auf eine intensivere Bindung zwischen den organischen und anorganischen Bestandteilen, also auf stabilere organisch-mineralische Komplexe, schlussfolgern lässt. Im Bereich höherer Temperaturen (T> 550° C) waren im Naturboden keine nennenswerten organischen Bestandteile mehr nachweisbar. Hingegen wiesen die Kompostvarianten einen hohen Anteil stabiler Fraktionen, vor allem aromatische Verbindungen, auf. Diese Aussagen erscheinen vor allem für die praktische Anwendung der Holzkomposte in Hinblick auf ihre Langzeitwirkung bedeutsam. Der Zusatz von pyrogenem Kohlenstoff zeigte keine zusätzliche Stabilisierungswirkung.
This is the 15th issue of the working paper series Interdisciplinary Studies on Information Structure (ISIS) of the Sonderforschungsbereich (SFB) 632. This online version contains the Questionnaire on Focus Semantics contributed by Agata Renans, Malte Zimmermann and Markus Greif, members of Project D2 investigating information structural phenomena from a typological perspective. The present issue provides a tool for collecting and analyzing natural data with respect to relevant linguistic questions concerning focus types, focus sensitive particles, and the effects of quantificational adverbs and presupposition on focus semantics. This volume is a supplementation to the Reference manual of the Questionnaire on Information Structure, issued by Project D2 in ISIS 4 (2006).
Russland sieht in der Shanghai-Gruppe ein wichtiges außen- und sicherheitspolitisches Instrument. Damit sollen sowohl das internationale Profil verbessert als auch militärische Interessen (Waffenexporte) umgesetzt werden. Obwohl sich das Verhältnis zu China deutlich verbesserte, ist es russisches Interesse, mittels der SCO Chinas Einfluss in Zentralasien zu begrenzen. Angesichts der strategischen Differenzen zwischen Moskau und Peking stellt sich das Problem des möglichen Bruchs der Shanghai-Gruppe.
Lange Zeit war die Reaktion der europäischen Politiker auf die Krise der Eurozone eher zurückhaltend bis gespalten. Als es jedoch Ende Oktober 2010 zum EU-Gipfel in Brüssel kam, schien es, also ob die EU nun mit Anspruch und klarer Orientierung handeln würde. Einer der Gründe für diese Veränderung besteht darin, dass nun die meisten Mitglieder - Frankreich eingeschlossen - bereit sind, die bittere Pille einer deutschen Führung zu schlucken.
Herausforderung Eurasien
(2011)
Im Osten was Neues: Seit zehn Jahren gibt es die Shanghai-Gruppe. Für die Geschichtsschreibung ein kleiner, ein winziger Zeitraum. Welchen Platz die Organisation einst in Geschichtsbüchern einnehmen wird, ist ungewiss. Die strategische Bedeutung, die Entscheidungsprozesse sowie die Ziele der Shanghai-Gruppe sind bislang nicht konturscharf einzuschätzen gewesen. Im Thema untersuchen Kenner der Gruppe die Interessen der Akteure, vor allem jene Chinas und Russlands. Sie werfen einen Blick auf die geostrategische Relevanz Zentralasiens und machen auf das kritische Verhältnis zwischen der Allianz und den USA aufmerksam.
Inhalt: Editorial (Dr. Roswitha Lohwaßer) ; Inklusive Bildung - Was ist das und wie kommen wir dorthin (PD Dr. Karin Salzberg-Ludwig) ; Von der Sonderpädagogik zur Inklusionspädagogik. Ein Konzept für die Innovation der Potsdamer Lehrerbildung (Prof. Dr. Agi Schründer-Lenzen) ; Eine Universität für alle - Studium und Behinderung. Tutorenprojekt an der Universität Potsdam (Dr. Irma Bürger, Dipl.-Pol. Christoph Beier) ; "Probier´s doch mal mit Höflichkeit". Das multimediale Lernmedium (Christine Ludwig) ; Sensibilisieren statt Kritisieren. Arbeiten mit und an Sprache im Deutschunterricht (Katharina Mayr, Verena Mezger, Kerstin Paul) ; Zwischen Staatsexamen und Vorbereitungsdienst. Vertretungslehrerin an einer Förderschule (Caroline Marggraf) ; Umdenken an der Inselschule Töplitz (1). Ein Projekt zur inklusiven Schule (Petra Gutsche) ; Umdenken an der Inselschule Töplitz (2). Ein Erfahrungsbericht aus der Klasse 3/4 (Doreen Bannasch-Grigoleit) ; Niemand sollte draußen bleiben, jeder hat eine Chance. Sportunterricht in der Beruflichen Schule "Theodor Hoppe" (Roland Hemmerling)
Größere Verarbeitungseinheiten in der Therapie von Leseschwierigkeiten bei älteren Grundschulkindern
(2011)
Non-mycorrhizal fungal endophytes are able to colonize internally roots without causing visible disease symptoms establishing neutral or mutualistic associations with plants. These fungi known as non-clavicipitaceous endophytes have a broad host range of monocot and eudicot plants and are highly diverse. Some of them promote plant growth and confer increased abiotic-stress tolerance and disease resistance. According to such possible effects on host plants, it was aimed to isolate and to characterize native fungal root endophytes from tomato (Lycopersicon esculentum Mill.) and to analyze their effects on plant development, plant resistance and fruit yield and quality together with the model endophyte Piriformospora indica. Fifty one new fungal strains were isolated from desinfected tomato roots of four different crop sites in Colombia. These isolates were roughly characterized and fourteen potential endophytes were further analyzed concerning their taxonomy, their root colonization capacity and their impact on plant growth. Sequencing of the ITS region from the ribosomal RNA gene cluster and in-depth morphological characterisation revealed that they correspond to different phylogenetic groups among the phylum Ascomycota. Nine different morphotypes were described including six dark septate endophytes (DSE) that did not correspond to the Phialocephala group. Detailed confocal microscopy analysis showed various colonization patterns of the endophytes inside the roots ranging from epidermal penetration to hyphal growth through the cortex. Tomato pot experiments under glass house conditions showed that they differentially affect plant growth depending on colonization time and inoculum concentration. Three new isolates (two unknown fungal endophyte DSE48, DSE49 and one identified as Leptodontidium orchidicola) with neutral or positiv effects were selected and tested in several experiments for their influence on vegetative growth, fruit yield and quality and their ability to diminish the impact of the pathogen Verticillium dahliae on tomato plants. Although plant growth promotion by all three fungi was observed in young plants, vegetative growth parameters were not affected after 22 weeks of cultivation except a reproducible increase of root diameter by the endophyte DSE49. Additionally, L. orchidicola increased biomass and glucose content of tomato fruits, but only at an early date of harvest and at a certain level of root colonization. Concerning bioprotective effects, the endophytes DSE49 and L. orchidicola decreased significantly disease symptoms caused by the pathogen V. dahliae, but only at a low dosis of the pathogen. In order to analyze, if the model root endophytic fungus Piriformospora indica could be suitable for application in production systems, its impact on tomato was evaluated. Similarly to the new fungal isolates, significant differences for vegetative growth parameters were only observable in young plants and, but protection against V. dahliae could be seen in one experiment also at high dosage of the pathogen. As the DSE L. orchidicola, P. indica increased the number and biomass of marketable tomatoes only at the beginning of fruit setting, but this did not lead to a significant higher total yield. If the effects on growth are due to a better nutrition of the plant with mineral element was analyzed in barley in comparison to the arbuscular mycorrhizal fungus Glomus mosseae. While the mycorrhizal fungus increased nitrogen and phosphate uptake of the plant, no such effect was observed for P. indica. In summary this work shows that many different fungal endophytes can be also isolated from roots of crops and, that these isolates can have positive effects on early plant development. This does, however, not lead to an increase in total yield or in improvement of fruit quality of tomatoes under greenhouse conditions.
Die Ursache der Nachwuchsschwäche ist der Geburtenrückgang. Quantitative demografische Determinanten sind auf ideelle Merkmalsausprägungen der Bevölkerung und strukturelle Eigenschaften der Gesellschaft zurückzuführen. Die niedrige Fertilität führt als einflussreiche Kenngröße zu einem Bevölkerungsrückgang und zu altersstrukturellen Veränderungen in der Zusammensetzung der Bevölkerung, die mit weitreichenden und umfassenden gesellschaftlichen Konsequenzen einhergehen. Indem die Konsequenzen künftig insbesondere auf junge Generationen zurückwirken werden und somit zugleich die Ursachen der niedrigen Geburtenrate verstärken, entfaltet die demografische Entwicklung eine Eigendynamik. Maßnahmen zur Nachwuchssicherung treffen jedoch auf ungünstige Handlungsvoraussetzungen. Monetäre und materielle Fertilitätsanreize sind von unterschiedlicher demografischer Wirksamkeit und haben an Bedeutung verloren. Gesellschaft und Staat haben den Fokus von einer reaktionären Symptomkurierung, die eine passive Gestaltung der Konsequenzen verfolgt, auf eine aktive Ursachenbekämpfung zu richten. Es zeigt sich, dass auf der nationalen Ebene die größten Handlungspotentiale erschlossen werden können.
Besteuerung von Unternehmensgewinnen im Licht des Konzepts der konsumorientierten Einkommensteuer
(2011)
Die Dissertation widmet sich dem Problem der fiskalischen Konsequenzen der konsumorientierten Steuern, die die unternehmerischen Gewinne unabhängig von der Rechtsform belasten. Im empirischen Teil der Arbeit wird der Untersuchungsgegenstand auf die zinsbereinigte Gewinnsteuer (allowance for corporate equity) eingegrenzt. Die Untersuchung beruht auf theoretischen Überlegungen sowie einer eigenen Simulationsanalyse. Den Schwerpunkt bilden dabei zwei Kategorien, zwischen denen ein kausaler Zusammenhang vorliegt: die Gestaltung der Bemessungsgrundlage einerseits und die Erfüllung der Fiskalfunktion andererseits. Das Hauptziel der Arbeit ist es, die fiskalischen Konsequenzen einer nach dem Konzept der Konsumorientierung modifizierten Bemessungsgrundlage der Gewinnsteuern zu überprüfen. Die Abschätzung der fiskalischen Konsequenzen wird aufgrund der vier folgenden Bereiche vorgenommen: (1) theoretische Konzepte der konsumorientierten Einkommensteuer, (2) bisherige Umsetzungen der Konzepte der konsumorientierten Gewinnsteuer, (3) bisherige Untersuchungen der konsumorientierten Gewinnsteuer, (4) eine eigene Simulation der fiskalischen Konsequenzen der konsumorientierten Gewinnsteuer. Um das Hauptziel der Arbeit zu erreichen, werden acht in Form von Teilfragen ausformulierte Untersuchungsprobleme gelöst. Sie betreffen sowohl die theoretischen Ausführungen, als auch die empirische Untersuchung. Dabei entsprechen sie den einzelnen Untersuchungsschritten, die in den aufeinander folgenden Kapiteln der Arbeit durchgeführt werden. Anhand der Analyse der bisherigen wissenschaftlichen Erkenntnisse und der praktischen Umsetzungen des Konzepts der konsumorientierten Steuern wurde die folgende Haupthypothese aufgestellt: Der Ausfall des Steueraufkommens, der ein direkter Effekt der Gestaltung der Bemessungsgrundlage nach dem Konzept der Konsumorientierung ist, schließt die Fiskalfunktion der Gewinnsteuern nicht aus. Das Verfahren, das eine Verifizierung der Haupthypothese zum Ziel hat, erfolgt durch eine Untersuchung von drei Teilhypothesen: der Hypothese über die Nullsteuer, der Hypothese über den differenzierten Aufkommensausfall und der Hypothese über die Konzentration der Steuerschuld. In der Dissertation werden empirische Daten aus drei Quellen benutzt. Sie umfassen einen Teil der in Polen in den Jahren 2004-2008 tätigen Unternehmen und ermöglichen es, eine Simulationsanalyse des Aufkommensausfalls durchzuführen. Diese bedient sich der Methodik der Mikro- und Gruppensimulation, was in den bisherigen Untersuchungen zur Unternehmensbesteuerung ein eher selten anzutreffender Ansatz ist. Die gewonnenen Ergebnisse zeigen, dass die Steuereinnahmen aus der Einkommensteuer und der Körperschaftsteuer durch die Modifizierung der Bemessungsgrundlage deutlich reduziert werden. Die relativ große fiskalische Bedeutung der beiden Steuern bleibt jedoch erhalten und der Ausfall des Steueraufkommens, der direkt nach der Einführung einer konsumorientierten Steuerreform eintreten würde, wäre der „Preis“ für eine bessere, weniger verzerrende Bemessungsgrundlage. Die Dissertation liefert Ergebnisse, die für die Gestaltung der Steuerpolitik in Polen wie auch in anderen Ländern relevant sind. Dies scheint insbesondere im Kontext des häufig diskutierten Umbaus des Systems der Einkommen- und Gewinnbesteuerung bedeutsam. Darüber hinaus bildet die Arbeit einen Ausgangspunkt für weitere, vertiefte Untersuchungen zu den möglichen Gestaltungsformen der Einkommen- und Gewinnsteuern wie auch zu deren Folgen. Die Methode der Steuersimulation kann weiterentwickelt werden und in anderen Analysen der potenziellen Konsequenzen von Steuerreformen Anwendung finden.
In this thesis entitled “Saccharide Recognition - Boronic acids as Receptors in Polymeric Networks” different aspects of boronic acid synthesis, their analysis and incorporation or attachment to different polymeric networks and characterisation thereof were investigated. The following key aspects were considered: • Provision of a variety of different characterised arylboronic acids and benzoboroxoles • Attachment of certain derivatives to nanoparticles and the characterisation of saccharide binding by means of isothermal titration calorimetry and displacement assay (ARS) to enhance the association constant to saccharides at pH 7.4 • Enhancement of selectivity in polymeric systems by means of molecular imprinting using fructose as template and a polymerisable benzoboroxole as functional monomer for the recognition at pH 7.4 (Joined by a diploma thesis of F. Grüneberger) • Development of biomimetic saccharide structures and the development of saccharide (especially glucose and fructose) binding MIPs by using these structures as template molecules. In the first part of the thesis different arylboronic acid derivatives were synthesised and their binding to glucose or fructose was investigated by means of isothermal titration calorimetry (ITC). It could be derived, which is in parallel to the literature, that derivatives bearing a methylhydroxyl-group in ortho-position to the boron (benzoboroxole) exhibit in most cases a two-fold higher association constant compared to the corresponding phenylboronic acid derivative. To gain a deeper understanding NMR spectroscopy and mass spectrometry with the benzoboroxole and glucose or fructose was performed. It could be shown that the exchange rate in terms of NMR time scale is quite slow since in titration experiments new peaks appeared. Via mass spectrometry of a mixture between benzoboroxole and glucose or fructose, different binding stoichiometries could be detected showing that the binding of saccharides is comparable with their binding to phenylboronic acid. In addition, the use of Alizarin Red S as an electrochemical reporter was described for the first time to monitor the saccharide binding to arylboronic acids not only with spectroscopy. Here, the redox behaviour and the displacement were recorded by cyclic voltammograms. In the second part different applications of boronic acids in polymeric networks were investigated. The attachment of benzoboroxoles to nanoparticles was investigated and monitored by means of isothermal titration calorimetry and a colourimetric assay with Alizarin Red S as the report dye. The investigations by isothermal titration calorimetry compared the fructose binding of arylboronic acids and benzoboroxoles coupled to these nanoparticles and “free” in solution. It could be shown that the attached derivatives showed a higher binding constant due to an increasing entropy term. This states for possible multivalent binding combined with a higher water release. Since ITC could not characterise the binding of glucose to these nanoparticles due to experimental restrictions the glucose binding at pH 7.4 was shown with ARS. Here, the displacement of ARS by fructose and also glucose could be followed and consequently these nanoparticles can be used for saccharide determination. Within this investigation also the temperature stability of these nanoparticles was examined and after normal sterilisation procedures (121°C, 20 min.) the binding behaviour was still unchanged. To target the selectivity of the used polymeric networks, molecular imprinting was used as a technique for creating artificial binding pockets on a molecular scale. As functional monomer 3-methacrylamidobenzoboroxole was introduced for the recognition of fructose. In comparison to polymers prepared with vinylphenylboronic acid the benzoboroxole containing polymer had a stronger binding at pH 7.4 which was shown for the first time. In addition, another imprinted polymer was synthesised especially for the recognition of glucose and fructose employing biomimetic saccharide analogues as template molecule. The advantage to use the saccharide analogues is the defined template-functional monomer complex during the polymerisation which is not the case, for example, for glucose-boronic acid interaction. The biomimetic character was proven through structural superimposition of crystal structures of the analogues with already described crystal structures of boronic acid esters of glucose and fructose. A molecularly imprinted polymer was synthesised with vinylphenylboronic acid as the functional monomer to show that both glucose and fructose are able to bind to the polymer which was predicted by the structural similarity of the analogues. The major scientific contributions of this thesis are • the determination of binding constants for some, not yet reported saccharide – boronic acid / benzoboroxole pairs, • the use of ARS as electrochemical reporter for saccharide detection, • the thermodynamic characterisation of a saccharide binding nanoparticle system containing benzoboroxole and functioning at pH 7.4, • the use of a polymerisable benzoboroxole as functional monomer for saccharide recognition in neutral, aqueous environments • and the synthesis and utilisation of biomimetic saccharide analogues as template molecules especially for the development of a glucose binding MIP.
The northward movement and collision of the Arabian plate with Eurasia generates compressive stresses and resulting shortening in Iran. Within the Alborz Mountains, North Iran, a complex and not well understood system of strike-slip and thrust faults accomodates a fundamental part of the NNE-SSW oriented shortening. On 28th of May 2004 the Mw 6.3 Baladeh earthquake hit the north-central Alborz Mountains. It is one of the rare and large events in this region in modern time and thus a seldom chance to study earthquake mechanisms and the local ongoing deformation processes. It also demonstrated the high vulnerability of this densily populated region.
Die internationale Staatengemeinschaft steht Sezessionsbestrebungen zur Aufspaltung bestehender Staaten gewöhnlich ablehnend gegenüber. Gleichzeitig wendet sie in vielen Ländern Instrumente der Entwicklungspolitik an und greift so auch in den dortigen politischen Prozess ein. Untersucht wird, inwiefern Entwicklungspolitik so gestaltet werden kann, dass sie nicht, quasi als Nebenwirkung, einer Sezessionsbewegung zum Durchbruch verhilft. Betrachtet wird dabei neben der gezielten Förderung wirtschaftlichen Wachstums auch das Instrument der Dezentralisierung, das oft als Mittel zur „Beruhigung“ separatistischer Bestrebungen vorgeschlagen wird. Zuvor jedoch wird aufgewiesen, dass eine Politik, die Sezessionen verhindern will, zumindest in vielen Fällen auch moralphilosophisch schlüssig begründet werden kann. Den Abschluss der Arbeit bilden drei Fallstudien zu Sezessionen auf dem Gebiet der ehemaligen Sowjetunion.
Für den Flugverkehr als Teil eines regional und global verdichteten Infrastruktursystems sind Naturgefahren wie Vulkanausbrüche gleichbedeutend mit Risiken. Die Kommunikation von Risiken verläuft im Spannungsfeld von wirtschaftlichen und staatlichen Akteuren einerseits und Medien und Zivilgesellschaft andererseits. Demgegenüber stehen Modelle diskursiver Risikoregulierung als Instrumente öffentlicher Aushandlungsprozesse. Diskutiert werden Einflussfaktoren auf Entscheidungen im Kontext von Risikodiskursen. Dabei wird insbesondere die Funktionslogik der Medien untersucht. Am Beispiel der Aschewolke des Eyjafjallajökull 2010 wird die Phänomenkonstellation von Akteuren und Diskurspositionen illustriert und der Verlauf einer medialen Risikoentwicklung nachgezeichnet.
Kennen Sie Randegg?
(2011)
Seit seiner berühmt-berüchtigten Friedenspreisrede von 1998 nimmt die Anzahl der literaturwissenschaftlichen und -politischen Publikationen, die Martin Walsers Werk eine nationalistische und antisemitische Tendenz unterstellen, zu. Bisweilen wird behauptet, Walser suche über die Ausschließung des Jüdischen das Nationale zu stärken und postuliere die Unversöhnlichkeit von Tätergemeinschaft und Opfergemeinschaft nach 1945. Das bislang in der Forschung wenig beachtete Hörspiel „Das Gespenst von Gattnau“ lässt die Annahme einer anderen Tendenz zu: die Tendenz zur Versöhnung.
Der Sammelband umfasst die Beiträge des 10. Arbeitstreffens slavistischer Nachwuchswissenschaftler im Rahmen des Jungen Forums Slavistischer Literaturwissenschaft (JFSL), das vom 26. bis zum 28. März 2010 an der Universität Trier stattfand. Präsentiert wird ein Überblick über aktuelle Forschungsrichtungen und -themen der deutschsprachigen Slavistik, der trotz der weiter bestehenden Dominanz der Russistik eine zunehmende Tendenz zu Studien über verschiedene slavische Literaturen zeigt. Die Beiträge lassen sich in drei große Bereiche differenzieren: Der erste Teil ,Texturen' beinhaltet literaturwissenschaftliche Studien, die sich mit den textimannenten Effekten literarischer Werke auseinandersetzen. Der Text als Gewebe wird auf seine Fadendichte und -verkreuzung wie Entstehung und Tradierung bestimmter Motive und Topoi, Decodierung intertextueller Referenzen oder Allegorisierungs- und Symbolisierungprozesse hin analysiert. Der zweite Teil vereinigt unter dem Begriff ,Identitäten' Arbeiten aus dem Bereich der kulturwissenschaftlich orientierten Literaturwissenschaft, die mit Geschlechter-, Raum-, Erinnerungs- und postkolonialen Konzepten den Fragen der literarischen Identitätsgenese nachgehen. Untersucht werden ästhetische Umsetzungen von Machtdispositiven, Hierarchiebildungen und Ausschlussmechanismen. Die Beiträge des dritten Teils ,Theorien' reflektieren entweder die Literaturforschung und ihre Ästhetiktheorien oder unternehmen einen Theorieimport aus verschiedenen Disziplinen wie Philosophie, strukturalistische Psychoanalyse, Neuro-, Geschichts- oder Translationswissenschaften, die sich für die Analyse literarischer Texte als fruchtbar erweisen und damit das Literaturverständnis erweitern.
We asked whether invariant phonetic indices for syllable structure can be identified in a language where word-initial consonant clusters, regardless of their sonority profile, are claimed to be parsed heterosyllabically. Four speakers of Moroccan Arabic were recorded, using Electromagnetic Articulography. Pursuing previous work, we employed temporal diagnostics for syllable structure, consisting of static correspondences between any given phonological organisation and its presumed phonetic indices. We show that such correspondences offer only a partial understanding of the relation between syllabic organisation and continuous indices of that organisation. We analyse the failure of the diagnostics and put forth a new approach in which different phonological organisations prescribe different ways in which phonetic indices change as phonetic parameters are scaled. The main finding is that invariance is found in these patterns of change, rather than in static correspondences between phonological constructs and fixed values for their phonetic indices.
Der Aufsatz zeigt, dass es sich bei der averroischen Bearbeitung der aristotelischen ‚Poetik‘ um eine in sich konsistente Theorie der Dichtung handelt, die allerdings mit der aristotelischen Konzeption der Dichtung nur wenig zu tun hat. Ausgehend von der Übersetzung von ‚Tragödie‘ und ‚Komödie‘ mit ‚Lob‘ und ‚Tadel‘ entwickelt Averroes einen Begriff von Dichtung als moralphilosophisches Argument zum Lob der Tugend und zum Tadel des Lasters. Im Mittelpunkt steht die Interpretation des aristotelischen Begriffs der mimesis als similitudo, das heißt als Gleichnis. Als gleichnishaftes Argument ist Dichtung nur graduell von anderen argumentativen Formen wie der demonstrativen Logik und der Rhetorik unterschieden.
Der Aufsatz umreißt die Wirkung von Averroes’ Bearbeitung der aristotelischen ‚Poetik‘ als argumentativer Disziplin. Beginnend mit Al-Farabi und Al-Gazali im zehnten Jahrhundert wird die ‚Poetik‘ den logischen Disziplinen des ‚Organon‘ zugerechnet. Während die Theorie eines ‚poetischen Syllogismus‘ nicht rezipiert worden ist, wurde der argumentative Status der Dichtung vom zwölften Jahrhundert an auch im lateinischen Westen bekannt. Mit unterschiedlichen Begründungen übernahmen Dominicus Gundissalinus, Vincenz von Beauvais, Albertus Magnus, Roger Bacon und Thomas von Aquin die Klassifizierung der Poetik als argumentative Disziplin. Am Ende des Aufsatzes steht ein Ausblick auf Coluccio Salutatis ‚De laboribus Herculis‘ und die humanistische Rezeption dieser Tradition.
Geleitwort
(2011)
The use of nano zerovalent iron (nZVI) for environmental remediation is a promising new technique for in situ remediation. Due to its high surface area and high reactivity, nZVI is able to dechlorinate organic contaminants and render them harmless. Limited mobility, due to fast aggregation and sedimentation of nZVI, limits the capability for source and plume remediation. Carbo-Iron is a newly developed material consisting of activated carbon particles (d50 = 0,8 µm) that are plated with nZVI particles. These particles combine the mobility of activated carbon and the reactivity of nZVI. This paper presents the first results of the transport experiments.
Ground-based gamma-ray astronomy has had a major breakthrough with the impressive results obtained using systems of imaging atmospheric Cherenkov telescopes. Ground-based gamma-ray astronomy has a huge potential in astrophysics, particle physics and cosmology. CTA is an international initiative to build the next generation instrument, with a factor of 5-10 improvement in sensitivity in the 100 GeV-10 TeV range and the extension to energies well below 100 GeV and above 100 TeV. CTA will consist of two arrays (one in the north, one in the south) for full sky coverage and will be operated as open observatory. The design of CTA is based on currently available technology. This document reports on the status and presents the major design concepts of CTA.
Aggregation of the Amyloid β (Aβ) peptide to amyloid fibrils is associated with the outbreak of Alzheimer’s disease. Early aggregation intermediates in form of soluble oligomers are of special interest as they are believed to be the major toxic components in the process. These oligomers are of disordered and transient nature. Therefore, their detailed molecular structure is difficult to access experimentally and often remains unknown. In the present work extensive, fully atomistic replica exchange molecular dynamics simulations were performed to study the preaggregated, monomer states and early aggregation intermediates (dimers, trimers) of Aβ(25-35) and Aβ(10-35)-NH2 in aqueous solution. The folding and aggregation of Aβ(25-35) were studied at neutral pH and 293 K. Aβ(25-35) monomers mainly adopt β-hairpin conformations characterized by a β-turn formed by residues G29 and A30, and a β-sheet between residues N27–K28 and I31–I32 in equilibrium with coiled conformations. The β-hairpin conformations served as initial configurations to model spontaneous aggregation of Aβ(25-35). As expected, within the Aβ(25-35) dimer and trimer ensembles many different poorly populated conformations appear. Nevertheless, we were able to distinguish between disordered and fibril-like oligomers. Whereas disordered oligomers are rather compact with few intermolecular hydrogen bonds (HBs), fibril-like oligomers are characterized by the formation of large intermolecular β-sheets. In most of the fibril-like dimers and trimers individual peptides are fully extended forming in- or out-of-register antiparallel β-sheets. A small amount of fibril-like trimers contained V-shaped peptides forming parallel β-sheets. The dimensions of extended and V-shaped oligomers correspond well to the diameters of two distinct morphologies found for Aβ(25-35) fibrils. The transition from disordered to fibril-like Aβ(25-35) dimers is unfavorable but driven by energy. The lower energy of fibril-like dimers arises from favorable intermolecular HBs and other electrostatic interactions which compete with a loss in entropy. Approximately 25 % of the entropic cost correspond to configurational entropy. The rest relates to solvent entropy, presumably caused by hydrophobic and electrostatic effects. In contrast to the transition towards fibril-like dimers the first step of aggregation is driven by entropy. Here, we compared structural and thermodynamic properties of the individual monomer, dimer and trimer ensembles to gain qualitative information about the aggregation process. The β-hairpin conformation observed for monomers is successively dissolved in dimer and trimer ensembles while instead intermolecular β-sheets are formed. As expected upon aggregation the configurational entropy decreases. Additionally, the solvent accessible surface area (SASA), especially the hydrophobic SASA, decreases yielding a favorable solvation free energy which overcompensates the loss in configurational entropy. In summary, the hydrophobic effect, possibly combined with electrostatic effects, yields an increase in solvent entropy which is believed to be one major driving force towards aggregation. Spontaneous folding of the Aβ(10-35)-NH2 monomer was modeled using two force fields, GROMOS96 43a1 and OPLS/AA, and compared to primary NMR data collected at pH 5.6 and 283 K taken from the literature. Unexpectedly, the two force fields yielded significantly different main conformations. Comparison between experimental and calculated nuclear Overhauser effect (NOE) distances is not sufficient to distinguish between the different force fields. Additionally, the comparison with scalar coupling constants suggest that the chosen protonation in both simulations corresponds to a pH lower than in the experiment. Based on this analysis we were unable to determine which force field yields a better description of this system. Dimerization of Aβ(10-35)-NH2 was studied at neutral pH and 300 K. Dimer conformations arrange in many distinct, poorly populated and rather complex alignments or interlocking patterns which are rather stabilized by side chain interactions than by specific intermolecular hydrogen bonds. Similar to Aβ(25-35) dimers, transition towards β-sheet-rich, fibril-like Aβ(10-35) dimers is driven by energy competing with a loss in entropy. Here, transition is mediated by favorable peptide-solvent and solvent-solvent interactions mainly arising from electrostatic interactions.
The exponential expanding of the numbers of web sites and Internet users makes WWW the most important global information resource. From information publishing and electronic commerce to entertainment and social networking, the Web allows an inexpensive and efficient access to the services provided by individuals and institutions. The basic units for distributing these services are the web sites scattered throughout the world. However, the extreme fragility of web services and content, the high competence between similar services supplied by different sites, and the wide geographic distributions of the web users drive the urgent requirement from the web managers to track and understand the usage interest of their web customers. This thesis, "X-tracking the Usage Interest on Web Sites", aims to fulfill this requirement. "X" stands two meanings: one is that the usage interest differs from various web sites, and the other is that usage interest is depicted from multi aspects: internal and external, structural and conceptual, objective and subjective. "Tracking" shows that our concentration is on locating and measuring the differences and changes among usage patterns. This thesis presents the methodologies on discovering usage interest on three kinds of web sites: the public information portal site, e-learning site that provides kinds of streaming lectures and social site that supplies the public discussions on IT issues. On different sites, we concentrate on different issues related with mining usage interest. The educational information portal sites were the first implementation scenarios on discovering usage patterns and optimizing the organization of web services. In such cases, the usage patterns are modeled as frequent page sets, navigation paths, navigation structures or graphs. However, a necessary requirement is to rebuild the individual behaviors from usage history. We give a systematic study on how to rebuild individual behaviors. Besides, this thesis shows a new strategy on building content clusters based on pair browsing retrieved from usage logs. The difference between such clusters and the original web structure displays the distance between the destinations from usage side and the expectations from design side. Moreover, we study the problem on tracking the changes of usage patterns in their life cycles. The changes are described from internal side integrating conceptual and structure features, and from external side for the physical features; and described from local side measuring the difference between two time spans, and global side showing the change tendency along the life cycle. A platform, Web-Cares, is developed to discover the usage interest, to measure the difference between usage interest and site expectation and to track the changes of usage patterns. E-learning site provides the teaching materials such as slides, recorded lecture videos and exercise sheets. We focus on discovering the learning interest on streaming lectures, such as real medias, mp4 and flash clips. Compared to the information portal site, the usage on streaming lectures encapsulates the variables such as viewing time and actions during learning processes. The learning interest is discovered in the form of answering 6 questions, which covers finding the relations between pieces of lectures and the preference among different forms of lectures. We prefer on detecting the changes of learning interest on the same course from different semesters. The differences on the content and structure between two courses leverage the changes on the learning interest. We give an algorithm on measuring the difference on learning interest integrated with similarity comparison between courses. A search engine, TASK-Moniminer, is created to help the teacher query the learning interest on their streaming lectures on tele-TASK site. Social site acts as an online community attracting web users to discuss the common topics and share their interesting information. Compared to the public information portal site and e-learning web site, the rich interactions among users and web content bring the wider range of content quality, on the other hand, provide more possibilities to express and model usage interest. We propose a framework on finding and recommending high reputation articles in a social site. We observed that the reputation is classified into global and local categories; the quality of the articles having high reputation is related with the content features. Based on these observations, our framework is implemented firstly by finding the articles having global or local reputation, and secondly clustering articles based on their content relations, and then the articles are selected and recommended from each cluster based on their reputation ranks.
Virtualisierung und Cloud Computing gehören derzeit zu den wichtigsten Schlagworten für Betreiber von IT Infrastrukturen. Es gibt eine Vielzahl unterschiedlicher Technologien, Produkte und Geschäftsmodelle für vollkommen verschiedene Anwendungsszenarien. Die vorliegende Studie gibt zunächst einen detaillierten Überblick über aktuelle Entwicklungen in Konzepten und Technologien der Virtualisierungstechnologie – von klassischer Servervirtualisierung über Infrastrukturen für virtuelle Arbeitsplätze bis zur Anwendungsvirtualisierung und macht den Versuch einer Klassifikation der Virtualisierungsvarianten. Bei der Betrachtung des Cloud Computing-Konzepts werden deren Grundzüge sowie verschiedene Architekturvarianten und Anwendungsfälle eingeführt. Die ausführliche Untersuchung von Vorteilen des Cloud Computing sowie möglicher Bedenken, die bei der Nutzung von Cloud-Ressourcen im Unternehmen beachtet werden müssen, zeigt, dass Cloud Computing zwar große Chancen bietet, aber nicht für jede Anwendung und nicht für jeden rechtlichen und wirtschaftlichen Rahmen in Frage kommt.. Die anschließende Marktübersicht für Virtualisierungstechnologie zeigt, dass die großen Hersteller – Citrix, Microsoft und VMware – jeweils Produkte für fast alle Virtualisierungsvarianten anbieten und hebt entscheidende Unterschiede bzw. die Stärken der jeweiligen Anbieter heraus. So ist beispielsweise die Lösung von Citrix für Virtual Desktop Infrastructures sehr ausgereift, während Microsoft hier nur auf Standardtechnologie zurückgreifen kann. VMware hat als Marktführer die größte Verbreitung in Rechenzentren gefunden und bietet als einziger Hersteller echte Fehlertoleranz. Microsoft hingegen punktet mit der nahtlosen Integration ihrer Virtualisierungsprodukte in bestehende Windows-Infrastrukturen. Im Bereich der Cloud Computing-Systeme zeigen sich einige quelloffene Softwareprojekte, die durchaus für den produktiven Betrieb von sogenannten privaten Clouds geeignet sind.
The past climate in central Asia, and especially on the Tibetan Plateau (TP), is of great importance for an understanding of global climate processes and for predicting the future climate. As a major influence on the climate in this region, the Asian Summer Monsoon (ASM) and its evolutionary history are of vital importance for accurate predictions. However, neither the evolutionary pattern of the summer monsoon nor the driving mechanisms behind it are yet clearly understood. For this research, I first synthesized previously published Late Glacial to Holocene climatic records from monsoonal central Asia in order to extract the general climate signals and the associated summer monsoon intensities. New climate and vegetation sequences were then established using improved quantitative methods, focusing on fossil pollen records recovered from Tibetan lakes and also incorporating new modern datasets. The pollen-vegetation and vegetation-climate relationships on the TP were also evaluated in order to achieve a better understanding of fossil pollen records. The synthesis of previously published moisture-related palaeoclimate records in monsoonal central Asia revealed generally different temporal patterns for the two monsoonal subsystems, i.e. the Indian Summer Monsoon (ISM) and East Asian Summer Monsoon (EASM). The ISM appears to have experienced maximum wet conditions during the early Holocene, while many records from the area affected by the EASM indicate relatively dry conditions at that time, particularly in north-central China where the maximum moisture levels occurred during the middle Holocene. A detailed consideration of possible driving factors affecting the summer monsoon, including summer solar insolation and sea surface temperatures, revealed that the ISM was primarily driven by variations in northern hemisphere solar insolation, and that the EASM may have been constrained by the ISM resulting in asynchronous patterns of evolution for these two subsystems. This hypothesis is further supported by modern monsoon indices estimated using the NCEP/NCAR Reanalysis data from the last 50 years, which indicate a significant negative correlation between the two summer monsoon subsystems. By analogy with the early Holocene, intensification of the ISM during coming decades could lead to increased aridification elsewhere as a result of the asynchronous nature of the monsoon subsystems, as can already be observed in the meteorological data from the last 15 years. A quantitative climate reconstruction using fossil pollen records was achieved through analysis of sediment core recovered from Lake Donggi Cona (in the north-eastern part of the TP) which has been dated back to the Last Glacial Maximum (LGM). A new data-set of modern pollen collected from large lakes in arid to semi-arid regions of central Asia is also presented herein. The concept of "pollen source area" was introduced to modern climate calibration based on pollen from large lakes, and was applied to the fossil pollen sequence from Lake Donggi Cona. Extremely dry conditions were found to have dominated the LGM, and a subsequent gradually increasing trend in moisture during the Late Glacial period was terminated by an abrupt reversion to a dry phase that lasted for about 1000 years and coincided with the first Heinrich Event of the northern Atlantic region. Subsequent periods corresponding to the warm Bølling-Allerød period and the Younger Dryas cold event were followed by moist conditions during the early Holocene, with annual precipitation of up to about 400 mm. A slightly drier trend after 9 cal ka BP was then followed by a second wet phase during the middle Holocene that lasted until 4.5 cal ka BP. Relatively steady conditions with only slight fluctuations then dominated the late Holocene, resulting in the present climatic conditions. In order to investigate the relationship between vegetation and climate, temporal variations in the possible driving factors for vegetation change on the northern TP were examined using a high resolution late Holocene pollen record from Lake Kusai. Moving-window Redundancy Analyses (RDAs) were used to evaluate the correlations between pollen assemblages and individual sedimentary proxies. These analyses have revealed frequent fluctuations in the relative abundances of alpine steppe and alpine desert components, and in particular a decrease in the total vegetation cover at around 1500 cal a BP. The climate was found to have had an important influence on vegetation changes when conditions were relatively wet and stable. However, after the 1500 cal a BP threshold in vegetation cover was crossed the vegetation appears to have been affected more by extreme events such as dust storms or fluvial erosion than by the general climatic trends. In addition, pollen spectra over the last 600 years have been revealed by Procrustes analysis to be significantly different from those recovered from older samples, which is attributed to an increased human impact that resulted in unprecedented changes to the composition of the vegetation. Theoretical models that have been developed and widely applied to the European area (i.e. the Extended R-Value (ERV) model and the Regional Estimates of Vegetation Abundance from Large Sites (REVEALS) model) have been applied to the high alpine TP ecosystems in order to investigate the pollen-vegetation relationships, as well as for quantitative reconstructions of vegetation abundance. The modern pollen–vegetation relationships for four common pollen species on the TP have been investigated using Poaceae as the reference taxa. The ERV Submodel 2 yielded relatively high PPEs for the steppe and desert taxa (Artemisia Chenopodiaceae), and low PPEs for the Cyperaceae that are characteristic of the alpine Kobresia meadows. The plant abundances on the central and north-eastern TP were quantified by applying these PPEs to four post-Late Glacial fossil pollen sequences. The reconstructed vegetation assemblages for the four pollen sequences always yielded smaller compositional species turnovers than suggested by the pollen spectra, indicating that the strength of the previously-reported vegetation changes may therefore have been overestimated. In summary, the key findings of this thesis are that (a) the two ASM subsystems show asynchronous patterns during both the Holocene and modern time periods, (b) fossil pollen records from large lakes reflect regional signals for which the pollen source areas need to be taken into account, (c) climate is not always the main driver for vegetation change, and (d) previously reported vegetation changes on the TP may have been overestimated because they ignored inter-species variations in pollen productivity.
Spatial and temporal temperature and moisture patterns across the Tibetan Plateau are very complex. The onset and magnitude of the Holocene climate optimum in the Asian monsoon realm, in particular, is a subject of considerable debate as this time period is often used as an analogue for recent global warming. In the light of contradictory inferences regarding past climate and environmental change on the Tibetan Plateau, I have attempted to explain mismatches in the timing and magnitude of change. Therefore, I analysed the temporal variation of fossil pollen and diatom spectra and the geochemical record from palaeo-ecological records covering different time scales (late Quaternary and the last 200 years) from two core regions in the NE and SE Tibetan Plateau. For interpretation purposes I combined my data with other available palaeo-ecological data to set up corresponding aquatic and terrestrial proxy data sets of two lake pairs and two sets of sites. I focused on the direct comparison of proxies representing lacustrine response to climate signals (e.g., diatoms, ostracods, geochemical record) and proxies representing changes in the terrestrial environment (i.e., terrestrial pollen), in order to asses whether the lake and its catchments respond at similar times and magnitudes to environmental changes. Therefore, I introduced the established numerical technique procrustes rotation as a new approach in palaeoecology to quantitatively compare raw data of any two sedimentary records of interest in order to assess their degree of concordance. Focusing on the late Quaternary, sediment cores from two lakes (Kuhai Lake 35.3°N; 99.2°E; 4150 m asl; and Koucha Lake 34.0°N; 97.2°E; 4540 m asl) on the semi-arid northeastern Tibetan Plateau were analysed to identify post-glacial vegetation and environmental changes, and to investigate the responses of lake ecosystems to such changes. Based on the pollen record, five major vegetation and climate changes could be identified: (1) A shift from alpine desert to alpine steppe indicates a change from cold, dry conditions to warmer and more moist conditions at 14.8 cal. ka BP, (2) alpine steppe with tundra elements points to conditions of higher effective moisture and a stepwise warming climate at 13.6 cal. ka BP, (3) the appearance of high-alpine meadow vegetation indicates a further change towards increased moisture, but with colder temperatures, at 7.0 cal. ka BP, (4) the reoccurrence of alpine steppe with desert elements suggests a return to a significantly colder and drier phase at 6.3 cal. ka BP, and (5) the establishment of alpine steppe-meadow vegetation indicates a change back to relatively moist conditions at 2.2 cal. ka BP. To place the reconstructed climate inferences from the NE Tibetan Plateau into the context of Holocene moisture evolution across the Tibetan Plateau, I applied a five-scale moisture index and average link clustering to all available continuous pollen and non-pollen palaeoclimate records from the Tibetan Plateau, in an attempt to detect coherent regional and temporal patterns of moisture evolution on the Plateau. However, no common temporal or spatial pattern of moisture evolution during the Holocene could be detected, which can be assigned to the complex responses of different proxies to environmental changes in an already very heterogeneous mountain landscape, where minor differences in elevation can result in marked variations in microenvironments. Focusing on the past 200 years, I analysed the sedimentary records (LC6 Lake 29.5°N, 94.3°E, 4132 m asl; and Wuxu Lake 29.9°N, 101.1°E, 3705 m asl) from the southeastern Tibetan Plateau. I found that despite presumed significant temperature increases over that period, pollen and diatom records from the SE Tibetan Plateau reveal only very subtle changes throughout their profiles. The compositional species turnover investigated over the last 200 years appears relatively low in comparison to the species reorganisations during the Holocene. The results indicate that climatically induced ecological thresholds are not yet crossed, but that human activity has an increasing influence, particularly on the terrestrial ecosystem. Forest clearances and reforestation have not caused forest decline in our study area, but a conversion of natural forests to semi-natural secondary forests. The results from the numerical proxy comparison of the two sets of two pairs of Tibetan lakes indicate that the use of different proxies and the work with palaeo-ecological records from different lake types can cause deviant stories of inferred change. Irrespective of the timescale (Holocene or last 200 years) or region (SE or NE Tibetan Plateau) analysed, the agreement in terms of the direction, timing, and magnitude of change between the corresponding terrestrial data sets is generally better than the match between the corresponding lacustrine data sets, suggesting that lacustrine proxies may partly be influenced by in-lake or local catchment processes whereas the terrestrial proxy reflects a more regional climatic signal. The current disaccord on coherent temporal and spatial climate patterns on the Tibetan Plateau can partly be ascribed to the complexity of proxy response and lake systems on the Tibetan Plateau. Therefore, a multi-proxy, multi-site approach is important in order to gain a reliable climate interpretation for the complex mountain landscape of the Tibetan Plateau.
Linear mixed models (LMMs) provide a still underused methodological perspective on combining experimental and individual-differences research. Here we illustrate this approach with two-rectangle cueing in visual attention (Egly et al., 1994). We replicated previous experimental cue-validity effects relating to a spatial shift of attention within an object (spatial effect), to attention switch between objects (object effect), and to the attraction of attention toward the display centroid (attraction effect), also taking into account the design-inherent imbalance of valid and other trials. We simultaneously estimated variance/covariance components of subject-related random effects for these spatial, object, and attraction effects in addition to their mean reaction times (RTs). The spatial effect showed a strong positive correlation with mean RT and a strong negative correlation with the attraction effect. The analysis of individual differences suggests that slow subjects engage attention more strongly at the cued location than fast subjects. We compare this joint LMM analysis of experimental effects and associated subject-related variances and correlations with two frequently used alternative statistical procedures
Following up on research suggesting an age-related reduction in the rightward extent of the perceptual span during reading (Rayner, Castelhano, & Yang, 2009), we compared old and young adults in an N+2-boundary paradigm in which a nonword preview of word N+2 or word N+2 itself is replaced by the target word once the eyes cross an invisible boundary located after word N. The intermediate word N+1 was always three letters long. Gaze durations on word N+2 were significantly shorter for identical than nonword N+2 preview both for young and for old adults with no significant difference in this preview benefit. Young adults, however, did modulate their gaze duration on word N more strongly than old adults in response to the difficulty of the parafoveal word N+1. Taken together, the results suggest a dissociation of preview benefit and parafoveal-on-foveal effect. Results are discussed in terms of age-related decline in resilience towards distributed processing while simultaneously preserving the ability to integrate parafoveal information into foveal processing. As such, the present results relate to proposals of regulatory compensation strategies older adults use to secure an overall reading speed very similar to that of young adults.
There has been a substantial increase in the percentage for publications with co-authors located in departments from different countries in 12 major journals of psychology. The results are evidence for a remarkable internationalization of psychological research, starting in the mid 1970s and increasing in rate at the beginning of the 1990s. This growth occurs against a constant number of articles with authors from the same country; it is not due to a concomitant increase in the number of co-authors per article. Thus, international collaboration in psychology is obviously on the rise.
Resolute readings of later Wittgenstein and the challenge of avoiding hierarchies in philosophy
(2011)
This dissertation addresses the question: How did later Wittgenstein aim to achieve his goal of putting forward a way of dissolving philosophical problems which centered on asking ourselves what we mean by our words – yet which did not entail any claims about the essence of language and meaning? This question is discussed with reference to “resolute” readings of Wittgenstein. I discuss the readings of James Conant, Oskari Kuusela, and Martin Gustafsson. I follow Oskari Kuusela’s claim that in order to fully appreciate how later Wittgenstein meant to achieve his goal, we need to clearly see how he aimed to do away with hierarchies in philosophy: Not only is the dissolution of philosophical problems via the method of clarifying the grammar of expressions to be taken as independent from any theses about what meaning must be – but furthermore, it is to be taken as independent from the dissolution of any particular problem via this method. As Kuusela stresses, this also holds for the problems involving rule-following and meaning: the clarification of the grammar of “rule” and “meaning” has no foundational status – it is nothing on which the method of clarifying the grammar of expressions as such were meant to in any way rely on. The lead question of this dissertation then is: What does it mean to come to see that the method of dissolving philosophical problems by asking “How is this word actually used?” does not in any way rely on the results of our having investigated the grammar of the particular concepts “rule” and “meaning”? What is the relation of such results – results such as “To follow a rule, [...], to obey an order, [...] are customs (uses, institutions)” or “The meaning of a word is its use in the language” – to this method? From this vantage point, I concern myself with two aspects of the readings of Gustafsson and Kuusela. In Gustafsson, I concern myself with his idea that the dissolution of philosophical problems in general “relies on” the very agreement which – during the dissolution of the rule-following problem – comes out as a presupposition for our talk of “meaning” in terms of rules. In Kuusela, I concern myself with his idea that Wittgenstein, in adopting a way of philosophical clarification which investigates the actual use of expressions, is following the model of “meaning as use” – which model he had previously introduced in order to perspicuously present an aspect of the actual use of the word “meaning”. This dissertation aims to show how these two aspects of Gustafsson’s and Kuusela’s readings still fail to live up to the vision of Wittgenstein as a philosopher who aimed to do away with any hierarchies in philosophy. I base this conclusion on a detailed analysis of which of the occasions where Wittgenstein invokes the notions of “use” and “application” (as also “agreement”) have to do with the dissolution of a specific problem only, and which have to do with the dissolution of philosophical problems in general. I discuss Wittgenstein’s remarks on rule-following, showing how in the dissolution of the rule-following paradox, notions such as “use”, “application”, and “practice” figure on two distinct logical levels. I then discuss an example of what happens when this distinction is not duly heeded: Gordon Baker and Peter Hacker’s idea that the rule-following remarks have a special significance for his project of dissolving philosophical problems as such. I furnish an argument to the effect that their idea that the clarification of the rules of grammar of the particular expression “following a rule” could answer a question about rules of grammar in general rests on a conflation of the two logical levels on which “use” occurs in the rule-following remarks, and that it leads into a regress. I then show that Gustafsson’s view – despite its decisive advance over Baker and Hacker – contains a version of that same idea, and that it likewise leads into a regress. Finally, I show that Kuusela’s idea of a special significance of the model “meaning as use” for the whole of the method of stating rules for the use of words is open to a regress argument of a similar kind as that he himself advances against Baker and Hacker. I conclude that in order to avoid such a regress, we need to reject the idea that the grammatical remark “The meaning of a word is its use in the language” – because of the occurrence of “use” in it – stood in any special relation to the method of dissolving philosophical problems by describing the use of words. Rather, we need to take this method as independent from this outcome of the investigation of the use of the particular word “meaning”.
Cognitive psychology is traditionally interested in the interaction of perception, cognition, and behavioral control. Investigating eye movements in reading constitutes a field of research in which the processes and interactions of these subsystems can be studied in a well-defined environment. Thereby, the following questions are pursued: How much information is visually perceived during a fixation, how is processing achieved and temporally coordinated from visual letter encoding to final sentence comprehension, and how do such processes reflect on behavior such as the control of the eyes’ movements during reading. Various theoretical models have been proposed to account for the specific eye-movement behavior in reading (for a review see Reichle, Rayner, & Pollatsek, 2003). Some models are based on the idea of shifting attention serially from one word to the next within the sentence whereas others propose distributed attention allocating processing resources to more than one word at a time. As attention is assumed to drive word recognition processes one major difference between these models is that word processing must either occur in strict serial order, or that word processing is achieved in parallel. In spite of this crucial difference in the time course of word processing, both model classes perform well on explaining many of the benchmark effects in reading. In fact, there seems to be not much empirical evidence that challenges the models to a point at which their basic assumptions could be falsified. One issue often perceived as being decisive in the debate on serial and parallel word processing is how not-yet-fixated words to the right of fixation affect eye movements. Specifically, evidence is discussed as to what spatial extent such parafoveal words are previewed and how this influences current and subsequent word processing. Four experiments investigated parafoveal processing close to the spatial limits of the perceptual span. The present work aims to go beyond mere existence proofs of previewing words at such spatial distances. Introducing a manipulation that dissociates the sources of long-range preview effects, benefits and costs of parafoveal processing can be investigated in a single analysis and the differing impact is tracked across a three-word target region. In addition, the same manipulation evaluates the role of oculomotor error as the cause of non-local distributed effects. In this respect, the results contribute to a better understanding of the time course of word processing inside the perceptual span and attention allocation during reading.
Eye fixation durations during normal reading correlate with processing difficulty but the specific cognitive mechanisms reflected in these measures are not well understood. This study finds support in German readers’ eyefixations for two distinct difficulty metrics: surprisal, which reflects the change in probabilities across syntactic analyses as new words are integrated, and retrieval, which quantifies comprehension difficulty in terms of working memory constraints. We examine the predictions of both metrics using a family of dependency parsers indexed by an upper limit on the number of candidate syntactic analyses they retain at successive words. Surprisal models all fixation measures and regression probability. By contrast, retrieval does not model any measure in serial processing. As more candidate analyses are considered in parallel at each word, retrieval can account for the same measures as surprisal. This pattern suggests an important role for ranked parallelism in theories of sentence comprehension.
During reading oculomotor processes guide the eyes over the text. The visual information recorded is accessed, evaluated and processed. Only by retrieving the meaning of a word from the long-term memory, as well as through the connection and storage of the information about each individual word, is it possible to access the semantic meaning of a sentence. Therefore memory, and here in particular working memory, plays a pivotal role in the basic processes of reading. The following dissertation investigates to what extent different demands on memory and memory capacity have an effect on eye movement behavior while reading. The frequently used paradigm of the reading span task, in which test subjects read and evaluate individual sentences, was used for the experimental review of the research questions. The results speak for the fact that working memory processes have a direct effect on various eye movement measurements. Thus a high working memory load, for example, reduced the perceptual span while reading. The lower the individual working memory capacity of the reader was, the stronger was the influence of the working memory load on the processing of the sentence.
Vom Raum zur Geschichte
(2011)
Der Begriff des Ghettos hat eine lange Forschungsgeschichte. Dieser Beitrag diskutiert ihn im Kontext der Historisierung der Lebenswelten des 19. Jahrhunderts. Der Terminus wird im 19. Jahrhundert zum Inbegriff der frühneuzeitlichen Tradition. Im Folgenden werden einige Aspekte der Entstehungsgeschichte dieses Bedeutungswandels analysiert, der auf einer Zivilisierungsdynamik gegenüber den Juden im ausgehenden 18. Jahrhundert wie der Historisierung der Hebräischen Bibel in der Aufklärung basierte.
Lebenswelt Ghetto
(2011)
Der Aufsatz zeigt, inwiefern raumtheoretische Ansätze mit dem interpretativen Paradigma verbunden werden können und so einen Zugang zu den durch die nationalsozialistische Ghettoisierung hervorgerufenen Veränderungen im sozialen Handeln der Ghettobewohner ermöglichen. Es wird argumentiert, dass die Raumtheorie hier zu kurz greift und durch interpretative Ansätze ergänzt werden muss, um den sozialen Phänomenen im Ghetto gerecht zu werden. Die beiden Ansätze werden in ihrer Bedeutung für die Erforschung der Ghettogesellschaften dargestellt und an zwei Beispielen, „Kriminalität“ und Bildung, in ihrer Anwendbarkeit vorgeführt.
Editorial
(2011)
Inhalt: Editorial (Deutsch) Editorial (Englisch)
Unter Rekurs auf zwei historische Erscheinungsformen des Ghettos – auf jüdische Wohnviertel der Frühen Neuzeit und nationalsozialistische Ghettos – wurde der Begriff ‚Ghetto’ zum Symbol von Joch und Verfolgung stilisiert. Diese Sprachpraxis etablierte eine einseitige Forschungsperspektive, die sich ihrem Gegenstand aus dem Täter-Opfer-Paradigma heraus näherte. In der jüngsten Zeit unternahm man jedoch Versuche, diese Perspektive zu brechen, indem man das Ghetto-Phänomen anhand solcher Untersuchungskategorien wie ‚Lebenswelt’, ‚Erfahrung’ und ‚Konstruktion von Raum’ sowie ‚Ambivalenz von Raum und Grenze’ befragte. Das stetig wachsende Interesse an begrifflicher Reflexion über den Sprachkörper ‚Ghetto’ und an den von ihm bezeichneten historischen Phänomenen samt ihren Widerspiegelungen in der Literatur und bildenden Künsten ist ein starkes Indiz für einen Wandel der Sehgewohnheiten innerhalb der Forschung. In Folge der vorgenommenen Differenzierungen entwickeln sich neue Fragestellungen und Ansätze, die die Reduktion der Wissenschaft von der jüdischen Geschichte und Kultur auf die Kategorien von ‚Unterdrückung’ und ‚Verfolgung’ zu überwinden erlauben. Mit dem vorliegenden Heft möchten wir einen Beitrag zu diesem Fachgespräch leisten. Die hier abgedruckten Beiträge lassen sich in zwei Kategorien unterteilen. Zum einen sind es explizite Befragungen des Ghetto-Begriffs im Dienste wissenschaftsgeschichtlicher Reflexionen oder neuer Verfahren zur Erforschung historischer Erscheinungsformen des Ghettos. Hierzu gehören die Artikel von Kristiane Gerhardt, Svenja Bethke und Hanna Schmidt Holländer sowie Birgitt Wagner. In ihren historiographiegeschichtlich bzw. methodologisch orientierten Erörterungen zeigen die Autorinnen die normative Dimension und die daraus resultierende semantische Wandelbarkeit des Ghetto-Begriffs samt ihren Konsequenzen für die Forschungspraxis. In die zweite Kategorie lassen sich wiederum phänomenologisch interessierte Untersuchungen einreihen, die entweder geschichtliche Fallstudien oder Betrachtungen literarischer Repräsentationen des Themas sind. Hierzu gehören die Beiträge von Luca Baraldi, Stratos N. Dordanas und Vaios Kalogrias, Tanja Kinzel, Francisca Solomon und Elvira Grözinger.
Am 20. November 2010 fand an der Universität Potsdam das 4. Herbsttreffen Patholinguistik statt. Die Konferenzreihe wird regelmäßig seit 2007 vom Verband für Patholinguistik e.V. (vpl) durchgeführt. Der vorliegende Tagungsband veröffentlicht die Hauptvorträge des Herbsttreffens zum Thema "Lesen lernen: Diagnostik und Therapie bei Störungen des Leseerwerbs". Des Weiteren sind die Beiträge promovierender bzw. promovierter PatholinguistInnen sowie der Posterpräsentationen enthalten.
Biology has made great progress in identifying and measuring the building blocks of life. The availability of high-throughput methods in molecular biology has dramatically accelerated the growth of biological knowledge for various organisms. The advancements in genomic, proteomic and metabolomic technologies allow for constructing complex models of biological systems. An increasing number of biological repositories is available on the web, incorporating thousands of biochemical reactions and genetic regulations. Systems Biology is a recent research trend in life science, which fosters a systemic view on biology. In Systems Biology one is interested in integrating the knowledge from all these different sources into models that capture the interaction of these entities. By studying these models one wants to understand the emerging properties of the whole system, such as robustness. However, both measurements as well as biological networks are prone to considerable incompleteness, heterogeneity and mutual inconsistency, which makes it highly non-trivial to draw biologically meaningful conclusions in an automated way. Therefore, we want to promote Answer Set Programming (ASP) as a tool for discrete modeling in Systems Biology. ASP is a declarative problem solving paradigm, in which a problem is encoded as a logic program such that its answer sets represent solutions to the problem. ASP has intrinsic features to cope with incompleteness, offers a rich modeling language and highly efficient solving technology. We present ASP solutions, for the analysis of genetic regulatory networks, determining consistency with observed measurements and identifying minimal causes for inconsistency. We extend this approach for computing minimal repairs on model and data that restore consistency. This method allows for predicting unobserved data even in case of inconsistency. Further, we present an ASP approach to metabolic network expansion. This approach exploits the easy characterization of reachability in ASP and its various reasoning methods, to explore the biosynthetic capabilities of metabolic reaction networks and generate hypotheses for extending the network. Finally, we present the BioASP library, a Python library which encapsulates our ASP solutions into the imperative programming paradigm. The library allows for an easy integration of ASP solution into system rich environments, as they exist in Systems Biology.
Answer Set Programming (ASP) is an emerging paradigm for declarative programming, in which a computational problem is specified by a logic program such that particular models, called answer sets, match solutions. ASP faces a growing range of applications, demanding for high-performance tools able to solve complex problems. ASP integrates ideas from a variety of neighboring fields. In particular, automated techniques to search for answer sets are inspired by Boolean Satisfiability (SAT) solving approaches. While the latter have firm proof-theoretic foundations, ASP lacks formal frameworks for characterizing and comparing solving methods. Furthermore, sophisticated search patterns of modern SAT solvers, successfully applied in areas like, e.g., model checking and verification, are not yet established in ASP solving. We address these deficiencies by, for one, providing proof-theoretic frameworks that allow for characterizing, comparing, and analyzing approaches to answer set computation. For another, we devise modern ASP solving algorithms that integrate and extend state-of-the-art techniques for Boolean constraint solving. We thus contribute to the understanding of existing ASP solving approaches and their interconnections as well as to their enhancement by incorporating sophisticated search patterns. The central idea of our approach is to identify atomic as well as composite constituents of a propositional logic program with Boolean variables. This enables us to describe fundamental inference steps, and to selectively combine them in proof-theoretic characterizations of various ASP solving methods. In particular, we show that different concepts of case analyses applied by existing ASP solvers implicate mutual exponential separations regarding their best-case complexities. We also develop a generic proof-theoretic framework amenable to language extensions, and we point out that exponential separations can likewise be obtained due to case analyses on them. We further exploit fundamental inference steps to derive Boolean constraints characterizing answer sets. They enable the conception of ASP solving algorithms including search patterns of modern SAT solvers, while also allowing for direct technology transfers between the areas of ASP and SAT solving. Beyond the search for one answer set of a logic program, we address the enumeration of answer sets and their projections to a subvocabulary, respectively. The algorithms we develop enable repetition-free enumeration in polynomial space without being intrusive, i.e., they do not necessitate any modifications of computations before an answer set is found. Our approach to ASP solving is implemented in clasp, a state-of-the-art Boolean constraint solver that has successfully participated in recent solver competitions. Although we do here not address the implementation techniques of clasp or all of its features, we present the principles of its success in the context of ASP solving.
We introduce an approach to detecting inconsistencies in large biological networks by using answer set programming. To this end, we build upon a recently proposed notion of consistency between biochemical/genetic reactions and high-throughput profiles of cell activity. We then present an approach based on answer set programming to check the consistency of large-scale data sets. Moreover, we extend this methodology to provide explanations for inconsistencies by determining minimal representations of conflicts. In practice, this can be used to identify unreliable data or to indicate missing reactions.
Preference handling and optimization are indispensable means for addressing nontrivial applications in Answer Set Programming (ASP). However, their implementation becomes difficult whenever they bring about a significant increase in computational complexity. As a consequence, existing ASP systems do not offer complex optimization capacities, supporting, for instance, inclusion-based minimization or Pareto efficiency. Rather, such complex criteria are typically addressed by resorting to dedicated modeling techniques, like saturation. Unlike the ease of common ASP modeling, however, these techniques are rather involved and hardly usable by ASP laymen. We address this problem by developing a general implementation technique by means of meta-prpogramming, thus reusing existing ASP systems to capture various forms of qualitative preferences among answer sets. In this way, complex preferences and optimization capacities become readily available for ASP applications.
Building biological models by inferring functional dependencies from experimental data is an important issue in Molecular Biology. To relieve the biologist from this traditionally manual process, various approaches have been proposed to increase the degree of automation. However, available approaches often yield a single model only, rely on specific assumptions, and/or use dedicated, heuristic algorithms that are intolerant to changing circumstances or requirements in the view of the rapid progress made in Biotechnology. Our aim is to provide a declarative solution to the problem by appeal to Answer Set Programming (ASP) overcoming these difficulties. We build upon an existing approach to Automatic Network Reconstruction proposed by part of the authors. This approach has firm mathematical foundations and is well suited for ASP due to its combinatorial flavor providing a characterization of all models explaining a set of experiments. The usage of ASP has several benefits over the existing heuristic algorithms. First, it is declarative and thus transparent for biological experts. Second, it is elaboration tolerant and thus allows for an easy exploration and incorporation of biological constraints. Third, it allows for exploring the entire space of possible models. Finally, our approach offers an excellent performance, matching existing, special-purpose systems.
We present XMM-Newton and Chandra observations of the born-again planetary nebula A 30. These X-ray observations reveal a bright unresolved source at the position of the central star whose X-ray luminosity exceeds by far the model expectations for photospheric emission and for shocks within the stellar wind. We suggest that a “born-again hot bubble” may be responsible for this X-ray emission. Diffuse X-ray emission associated with the petal-like features and one of the H-poor knots seen in the optical is also found. The weakened emission of carbon lines in the spectrum of the diffuse emission can be interpreted as the dilution of stellar wind by mass-loading or as the detection of material ejected during a very late thermal pulse.
To understand the evolution and morphology of planetary nebulae, a detailed knowledge of their central stars is required. Central stars that exhibit emission lines in their spectra, indicating stellar mass-loss allow to study the evolution of planetary nebulae in action. Emission line central stars constitute about 10 % of all central stars. Half of them are practically hydrogen-free Wolf-Rayet type central stars of the carbon sequence, [WC], that show strong emission lines of carbon and oxygen in their spectra. In this contribution we address the weak emission-lines central stars (wels). These stars are poorly analyzed and their hydrogen content is mostly unknown. We obtained optical spectra, that include the important Balmer lines of hydrogen, for four weak emission line central stars. We present the results of our analysis, provide spectral classification and discuss possible explanations for their formation and evolution.