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The Jewish family has been the subject of much admiration and analysis, criticism and myth-making, not just but especially in modern times. As a field of inquiry, its place is at the intersection – or in the shadow – of the great topics in Jewish Studies and its contributing disciplines. Among them are the modernization and privatization of Judaism and Jewish life; integration and distinctiveness of Jews as individuals and as a group; gender roles and education. These and related questions have been the focus of modern Jewish family research, which took shape as a discipline in the 1910s.
This issue of PaRDeS traces the origins of academic Jewish family research and takes stock of its development over a century, with its ruptures that have added to the importance of familial roots and continuities. A special section retrieves the founder of the field, Arthur Czellitzer (1871–1943), his biography and work from oblivion and places him in the context of early 20th-century science and Jewish life.
The articles on current questions of Jewish family history reflect the topic’s potential for shedding new light on key questions in Jewish Studies past and present. Their thematic range – from 13th-century Yiddish Arthurian romances via family-based business practices in 19th-century Hungary and Germany, to concepts of Jewish parenthood in Imperial Russia – illustrates the broad interest in Jewish family research as a paradigm for early modern and modern Jewish Studies.
PaRDeS, the journal of the German Association for Jewish Studies, aims at exploring the fruitful and multifarious cultures of Judaism as well as their relations to their environment within diverse areas of research. In addition, the journal promotes Jewish Studies within academic discourse and reflects on its historic and social responsibilities.
Morbus Parkinson (MP) ist in Europa die zweithäufigste neurodegenerative Erkrankung und durch das Störungsbild der Dysarthrie logopädisch relevant. Die Behandlung einer Dysarthrie erfordert ein hochfrequentes Therapieangebot für eine nachhaltige Verbesserung der kommunikativen Fähigkeiten. Trotz der hohen Prävalenz von Sprechstörungen bei MP nehmen in Deutschland nur etwa 4 % der Betroffenen eine ambulante logopädische Therapie in Anspruch. Die veränderte Selbstwahrnehmung der Patient*innen ist ein zentrales Symptom der Erkrankung, das ein wirksames Eigentraining einschränkt.
Neue Technologien mit integrierter Spracherkennung ermöglichen ein individuelles Training. Im Rahmen des Verbundprojektes HUMAINE (human centered AI network) wird der Prototyp eines auf künstlicher Intelligenz (KI) basierendem Sprechassistenzsystems in einem klinischen Versorgungssetting erprobt und evaluiert. Das Ziel ist, das digitale System in die Regelversorgung zu integrieren. Eine nutzer*innenzentrierte Implementierung ist im Rahmen einer Machbarkeitsstudie geplant, dabei wird der Prototyp ISi-Speech in die bestehende Parkinson-Komplex-Therapie integriert. Im Anschluss an die stationäre Behandlung erfolgt eine zweiwöchige Eigentrainingsphase im häuslichen Setting. Durch Interviews soll die Usability sowie die Anwender*innenakzeptanz aus der therapeutischen Sicht und Patient*innenperspektive erhoben werden. Ziel ist die Entwicklung von Implementierungsstrategien, die zur Entwicklung von nachhaltigen Kompetenzmodellen beitragen.
Durch die erhöhte Therapiefrequenz können verbesserte klinische Ergebnisgrößen wie Sprechverständlichkeit, Lebensqualität und individuell wahrgenommene Kommunikationserfolge erreicht werden. Nur durch die Evaluation digitaler Technologien kann eine dauerhafte Implementierung in die Praxis erfolgen. Neue Technologien können eine sinnvolle Ergänzung zur etablierten Therapie sein und eine Strategie gegen die Unterversorgung durch Heilmittel darstellen.
Four new primary aminonaphthols (4, 5, 9 and 10) were synthesized from 1- or 2-naphthol and 1- or 2- naphthaldehyde via naphthoxazines in modified Mannich condensations. Simple ring-closure reactions of these aminonaphthols with paraformaldehyde, 4-nitrobenzaldehyde, phosgene or 4-chlorophenyl isothiocyanate led to new heterocyclic derivatives. In these transformations, either an sp2 or an sp3 carbon was inserted between the hydroxy and amino groups. The effects of substituents and the naphthyl ring on the conformation were investigated by means of NMR measurements, employing both dipolar and scalar couplings. The structures were confirmed by DFT quantum chemical calculations involving computed coupling constants, intramolecular distances between nuclei and the relative energies of the preferred conformers.
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Begriffe wie „Industrie 4.0“, „Internet der Dinge“ und „Big Data“ haben unlängst Eingang in den allgemeinen Zeitgeist gefunden und stehen synonym für die zahlreichen, durch Digitalisierung sowie Automatisierung angestoßenen Veränderungen des menschlichen (Zusammen-)Lebens und der juristischen Bewertung. Namentlich der Einsatz autonomer, auf der Grundlage künstlicher Intelligenz agierender Systeme lässt die Anknüpfungspunkte eines Verschuldensvorwurfes schwinden und damit technische Innovation und tradiertes Verschuldensprinzip wie unversöhnliche Kinder verschiedener Zeiten wirken. Tatsächlich aber gewährleistet allein die Verknüpfung von Ausgleichspflicht und Sorgfaltswidrigkeit eine hinreichende Freiheitsgewähr sowie eine interessen- und einzelfallgerechte Schadenszuweisung und entspricht damit dem sozialen Gerechtigkeitsempfinden.
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Mit der bevorstehenden Entscheidung des Bundesverfassungsgerichts in der Sache Pechstein neigt sich eine scheinbar endlose Geschichte dem Ende entgegen. Es bleibt zu hoffen, dass auf die Frage der (un-)zulässigen Inanspruchnahme verfahrensgestaltender Marktmacht schlussendlich eine überzeugende Antwort gefunden wird, die bestehende Defizite benennt, die schutzwürdigen Athletenrechte stärkt und den Anstoß für eine sach- und interessengerechte Strukturreform in der Sportschiedsgerichtsbarkeit gibt.
Der anthropogene Klimawandel führt zu einem weltweiten Temperaturanstieg, in dessen Folge es (statistisch betrachtet) zu vermehrten, schadensbegründenden Wettereignissen, wie Stürmen, Überschwemmungen und Dürren, kommt. Realisiert sich das insofern bestehende Risiko, trifft es den Einzelnen hart und verdeutlicht die Notwendigkeit einer klimapolitischen Kursänderung. Diese versuchen zunehmend private, von staatlichen Lösungsansätzen enttäuschte Akteure im Wege der (Haftungs-)Klage herbeizuführen, deren Erfolgsaussichten indes recht kontrovers beurteilt werden. Der vorliegende Beitrag möchte die insoweit geführte Diskussion hinsichtlich der wesentlichen Fragestellungen um eine unaufgeregte Betrachtung ergänzen.
Die Verbindung eines Antrags auf Erlass eines (zweiten) Versäumnisurteils mit der Änderung des Streitgegenstands stellt ein in der wissenschaftlichen Diskussion wenig beachtetes, in der täglichen Praxis jedoch verschiedentlich anzutreffendes Phänomen dar. Vorliegend soll der hieraus resultierenden, noch nicht umfassend geklärten Frage nachgegangen werden, wie mit dem Begehren, den Einspruch gegen das erste Versäumnisurteil zu verwerfen, umzugehen ist, wenn die Klage nach dessen Erlass erweitert oder, in Ansehung zwischenzeitlicher Teilerfüllung, beschränkt wurde und prozessualer und titulierter Anspruch nicht mehr übereinstimmen.
Das EBV stellt die Grundlage zahlreicher komplexer wie prüfungsrelevanter Fragen dar, deren zufriedenstellende Lösung ein hohes Maß an Systemverständnis und Problembewusstsein voraussetzt. Der Beitrag bietet insofern dogmatische Hilfestellung, indem er die Binnenstruktur der §§ 985 ff. sowie deren Einordnung in das Gesamtgefüge des BGB offenlegt.
Der "Fall Pechstein"
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„Fehlgeleitet“
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Self-assembly, ordered nanostructures and functionality of polyelectrolyte-amphiphile complexes
(2000)
Recent global warming is pronounced in high-latitude regions (e.g. northern Asia), and will cause the vegetation to change. Future vegetation trends (e.g. the "arctic greening") will feed back into atmospheric circulation and the global climate system. Understanding the nature and causes of past vegetation changes is important for predicting the composition and distribution of future vegetation communities. Fossil pollen records from 468 sites in northern and eastern Asia were biomised at selected times between 40 cal ka bp and today. Biomes were also simulated using a climate-driven biome model and results from the two approaches compared in order to help understand the mechanisms behind the observed vegetation changes. The consistent biome results inferred by both approaches reveal that long-term and broad-scale vegetation patterns reflect global- to hemispheric-scale climate changes. Forest biomes increase around the beginning of the late deglaciation, become more widespread during the early and middle Holocene, and decrease in the late Holocene in fringe areas of the Asian Summer Monsoon. At the southern and southwestern margins of the taiga, forest increases in the early Holocene and shows notable species succession, which may have been caused by winter warming at ca. 7 cal ka bp. At the northeastern taiga margin (central Yakutia and northeastern Siberia), shrub expansion during the last deglaciation appears to prevent the permafrost from thawing and hinders the northward expansion of evergreen needle-leaved species until ca. 7 cal ka bp. The vegetation-climate disequilibrium during the early Holocene in the taiga-tundra transition zone suggests that projected climate warming will not cause a northward expansion of evergreen needle-leaved species.
We present a calibration-set based on modern pollen and satellite-based Advanced Very High Resolution Radiometer (AVHRR) observations of woody cover (including needleleaved, broadleaved and total tree cover) in eastern continental Asia, which shows good performance under cross-validation with the modern analogue technique (all the coefficients of determination between observed and predicted values are greater than 0.65). The calibration-set is used to reconstruct woody cover from a taxonomically harmonized and temporally standardized fossil pollen dataset (including 274 cores) with 500-year resolution over the last 22 kyr. The spatial range of forest has not noticeably changed in eastern continental Asia during the last 22 kyr, although woody cover has, especially at the margin of the eastern Tibetan Plateau and in the forest-steppe transition area of north-central China. Vegetation was sparse during the LGM in the present forested regions, but woody cover increased markedly at the beginning of the Bolling/Allerod period (B/A; ca. 14.5 ka BP) and again at the beginning of the Holocene (ca. 11.5 ka BP), and is related to the enhanced strength of the East Asian Summer Monsoon. Forest flourished in the mid Holocene (ca. 8 ka BP) possibly due to favourable climatic conditions. In contrast, cover was stable in southern China (high cover) and arid central Asia (very low cover) throughout the investigated period. Forest cover increased in the north-eastern part of China during the Holocene. Comparisons of these regional pollen-based results with simulated forest cover from runs of a global climate model (for 9, 6 and 0 ka BP (ECHAM5/JSBACH similar to 1.125 degrees spatial resolution)) reveal many similarities in temporal change. The Holocene woody cover history of eastern continental Asia is different from that of other regions, likely controlled by different climatic variables, i.e. moisture in eastern continental Asia; temperature in northern Eurasia and North America. (C) 2016 Elsevier Ltd. All rights reserved.
Temporal and spatial stability of the vegetation climate relationship is a basic ecological assumption for pollen-based quantitative inferences of past climate change and for predicting future vegetation. We explore this assumption for the Holocene in eastern continental Asia (China, Mongolia). Boosted regression trees (BRT) between fossil pollen taxa percentages (Abies, Artemisia, Betula, Chenopodiaceae, Cyperaceae, Ephedra, Picea, Pinus, Poaceae and Quercus) and climate model outputs of mean annual precipitation (P-ann) and mean temperature of the warmest month (Mt(wa)) for 9 and 6 ka (ka = thousand years before present) were set up and results compared to those obtained from relating modern pollen to modern climate. Overall, our results reveal only slight temporal differences in the pollen climate relationships. Our analyses suggest that the importance of P-ann compared with Mt(wa) for taxa distribution is higher today than it was at 6 ka and 9 ka. In particular, the relevance of P-ann for Picea and Pinus increases and has become the main determinant. This change in the climate tree pollen relationship parallels a widespread tree pollen decrease in north-central China and the eastern Tibetan Plateau. We assume that this is at least partly related to vegetation climate disequilibrium originating from human impact. Increased atmospheric CO2 concentration may have permitted the expansion of moisture-loving herb taxa (Cyperaceae and Poaceae) during the late Holocene into arid/semi-arid areas. We furthermore find that the pollen climate relationship between north-central China and the eastern Tibetan Plateau is generally similar, but that regional differences are larger than temporal differences. In summary, vegetation climate relationships in China are generally stable in space and time, and pollen-based climate reconstructions can be applied to the Holocene. Regional differences imply the calibration-set should be restricted spatially.
A high resolution multi proxy (pollen, grain size, total organic carbon) record from a small mountain lake (Lake Khuisiin; 46.6 degrees N, 101.8 degrees E; 2270 m a.s.l.) in the south eastern Khangai Mountains of central Mongolia has been used to explore changes in vegetation and climate over the last 1200 years. The pollen data indicates that the vegetation changed from dry steppe dominated by Poaceae and Artemisia (ca AD 760-950), to Larix forest steppe (ca AD 950-1170), Larix Betula forest steppe (ca AD 1170-1380), meadow dominated by Cyperaceae and Poaceae (ca AD 1380-1830), and Larix Betula forest steppe (after similar to AD 1830). The cold-wet period between AD 1380 and 1830 may relate to the Little Ice Age. Environmental changes were generally subtle and climate change seems to have been the major driver of variations in vegetation until at least the early part of the 20th century, suggesting that either the level of human activity was generally low, or the relationship between human activity and vegetation did not alter substantially between AD 760 and 1830. A review of centennial scale moisture records from China and Mongolia revealed that most areas experienced major changes at ca AD 1500 and AD 1900. However, the moisture availability since AD 1500 varied between sites, with no clear regional pattern or relationship to present day conditions. Both the reconstructions and the moisture levels simulation on a millennium scale performed in the MPI Earth System Model indicate that the monsoon-westerlies transition area shows a greater climate variability than those areas influenced by the westerlies, or by the summer monsoon only.
This study examines the course and driving forces of recent vegetation change in the Mongolian steppe. A sediment core covering the last 55years from a small closed-basin lake in central Mongolia was analyzed for its multi-proxy record at annual resolution. Pollen analysis shows that highest abundances of planted Poaceae and highest vegetation diversity occurred during 1977-1992, reflecting agricultural development in the lake area. A decrease in diversity and an increase in Artemisia abundance after 1992 indicate enhanced vegetation degradation in recent times, most probably because of overgrazing and farmland abandonment. Human impact is the main factor for the vegetation degradation within the past decades as revealed by a series of redundancy analyses, while climate change and soil erosion play subordinate roles. High Pediastrum (a green algae) influx, high atomic total organic carbon/total nitrogen (TOC/TN) ratios, abundant coarse detrital grains, and the decrease of C-13(org) and N-15 since about 1977 but particularly after 1992 indicate that abundant terrestrial organic matter and nutrients were transported into the lake and caused lake eutrophication, presumably because of intensified land use. Thus, we infer that the transition to a market economy in Mongolia since the early 1990s not only caused dramatic vegetation degradation but also affected the lake ecosystem through anthropogenic changes in the catchment area.
This study examines the course and driving forces of recent vegetation change in the Mongolian steppe. A sediment core covering the last 55years from a small closed-basin lake in central Mongolia was analyzed for its multi-proxy record at annual resolution. Pollen analysis shows that highest abundances of planted Poaceae and highest vegetation diversity occurred during 1977-1992, reflecting agricultural development in the lake area. A decrease in diversity and an increase in Artemisia abundance after 1992 indicate enhanced vegetation degradation in recent times, most probably because of overgrazing and farmland abandonment. Human impact is the main factor for the vegetation degradation within the past decades as revealed by a series of redundancy analyses, while climate change and soil erosion play subordinate roles. High Pediastrum (a green algae) influx, high atomic total organic carbon/total nitrogen (TOC/TN) ratios, abundant coarse detrital grains, and the decrease of C-13(org) and N-15 since about 1977 but particularly after 1992 indicate that abundant terrestrial organic matter and nutrients were transported into the lake and caused lake eutrophication, presumably because of intensified land use. Thus, we infer that the transition to a market economy in Mongolia since the early 1990s not only caused dramatic vegetation degradation but also affected the lake ecosystem through anthropogenic changes in the catchment area.
AimFossil pollen spectra from lake sediments in central and western Mongolia have been used to interpret past climatic variations, but hitherto no suitable modern pollen-climate calibration set has been available to infer past climate changes quantitatively. We established such a modern pollen dataset and used it to develop a transfer function model that we applied to a fossil pollen record in order to investigate: (1) whether there was a significant moisture response to the Younger Dryas event in north-western Mongolia; and (2) whether the early Holocene was characterized by dry or wet climatic conditions.
LocationCentral and western Mongolia.
MethodsWe analysed pollen data from surface sediments from 90 lakes. A transfer function for mean annual precipitation (P-ann) was developed with weighted averaging partial least squares regression (WA-PLS) and applied to a fossil pollen record from Lake Bayan Nuur (49.98 degrees N, 93.95 degrees E, 932m a.s.l.). Statistical approaches were used to investigate the modern pollen-climate relationships and assess model performance and reconstruction output.
ResultsRedundancy analysis shows that the modern pollen spectra are characteristic of their respective vegetation types and local climate. Spatial autocorrelation and significance tests of environmental variables show that the WA-PLS model for P-ann is the most valid function for our dataset, and possesses the lowest root mean squared error of prediction.
Main conclusionsPrecipitation is the most important predictor of pollen and vegetation distributions in our study area. Our quantitative climate reconstruction indicates a dry Younger Dryas, a relatively dry early Holocene, a wet mid-Holocene and a dry late Holocene.
Sugar amino acids (SAAs), as biologically interesting structures bearing both amino and carboxylic acid functional groups represent an important class of multifunctional building blocks. In this study, we develop an easy access to novel SAAs in only three steps starting from nitro compounds in high yields in analytically pure form, easily available by ceric (IV) mediated radical additions. Such novel SAAs have been applied in the assembly of total nine carbopeptoids with the form of linear homo-and heterooligomers for the structural investigations employing circular dichroism (CD) spectroscopy, which suggest that the carbopeptoids emerge a well-extended, left (or right)-handed conformation similar to polyproline II (PPII) helices. NMR studies also clearly demonstrated the presence of ordered secondary structural elements. 2D-ROESY spectra were acquired to identify i+1NH <-> (C1H)-C-i, (C2H)-C-i correlations which support the conformational analysis of tetramers by CD spectroscopy. These findings provide interesting information of SAAs and their oligomers as potential scaffolds for discovering new drugs and materials.
Low birth weight (LBW) is associated with diseases in adulthood. The birthweight attributed risk is independent of confounding such as gestational age, sex of the newborn but also social factors. The birthweight attributed risk for diseases in later life holds for the whole spectrum of birthweight. This raises the question what pathophysiological principle is actually behind the association. In this review, we provide evidence that LBW is a surrogate of insulin resistance. Insulin resistance has been identified as a key factor leading to type 2 diabetes, cardiovascular disease as well as kidney diseases. We first provide evidence linking LBW to insulin resistance during intrauterine life. This might be caused by both genetic (genetic variations of genes controlling glucose homeostasis) and/or environmental factors (due to alterations of macronutrition and micronutrition of the mother during pregnancy, but also effects of paternal nutrition prior to conception) leading via epigenetic modifications to early life insulin resistance and alterations of intrauterine growth, as insulin is a growth factor in early life. LBW is rather a surrogate of insulin resistance in early life - either due to inborn genetic or environmental reasons - rather than a player on its own.
This paper challenges the solely rational view of the scenario technique as a strategy and foresight tool designed to cope with uncertainty by considering multiple possible future states. The paper employs an affordance-based view that allows for the identification and structuring of hidden, emergent attributes of the scenario technique beyond the intended ones. The suggested framework distinguishes between affordances (1) that are intended by the organization and relate to its goals, (2) that emergently generate organizational benefits, and (3) that do not relate to organizational but individual interests. Also, constraints in the use of scenarios are discussed. Affordance theory’s specific lens shows that the emergence of such attributes depends on the users’ specific intentions.
This paper challenges the solely rational view of the scenario technique as a strategy and foresight tool designed to cope with uncertainty by considering multiple possible future states. The paper employs an affordance-based view that allows for the identification and structuring of hidden, emergent attributes of the scenario technique beyond the intended ones. The suggested framework distinguishes between affordances (1) that are intended by the organization and relate to its goals, (2) that emergently generate organizational benefits, and (3) that do not relate to organizational but individual interests. Also, constraints in the use of scenarios are discussed. Affordance theory’s specific lens shows that the emergence of such attributes depends on the users’ specific intentions.
This paper challenges the solely rational view of the scenario technique as a strategy and foresight tool designed to cope with uncertainty by considering multiple possible future states. The paper employs an affordance-based view that allows for the identification and structuring of hidden, emergent attributes of the scenario technique beyond the intended ones. The suggested framework distinguishes between affordances (1) that are intended by the organization and relate to its goals, (2) that emergently generate organizational benefits, and (3) that do not relate to organizational but individual interests. Also, constraints in the use of scenarios are discussed. Affordance theory’s specific lens shows that the emergence of such attributes depends on the users’ specific intentions.
The growing global demand for meat is being thwarted by shrinking agricultural areas, and opposes efforts to mitigate methane emissions and to improve public health. Cultured meat could contribute to solve these problems, but will such meat be marketable, competitive, and accepted? Using the Delphi method, this study explored the potential development of cultured meat by 2027. Despite the acknowledged urgency to develop sustainable meat alternatives, participants doubt that challenges regarding mass production, production costs, and consumer acceptance will be overcome by 2027. Considering the noticeable impacts of global warming, further research and development as well as a change in consumer perceptions is inevitable.
The growing global demand for meat is being thwarted by shrinking agricultural areas, and opposes efforts to mitigate methane emissions and to improve public health. Cultured meat could contribute to solve these problems, but will such meat be marketable, competitive, and accepted? Using the Delphi method, this study explored the potential development of cultured meat by 2027. Despite the acknowledged urgency to develop sustainable meat alternatives, participants doubt that challenges regarding mass production, production costs, and consumer acceptance will be overcome by 2027. Considering the noticeable impacts of global warming, further research and development as well as a change in consumer perceptions is inevitable.
Robo advisors represent a digital financial advice solution challenging traditional wealth and asset management, investment advice, retirement planning, and tax-loss harvesting. Based on algorithms, big data analysis, machine learning, and other technologies, these services minimize the necessity for human intervention. Based on an international three-stage Delphi study, we provide a plausible forecast of the development of the robo advisor industry, with regards to market development, competition, drivers of growth, customer segments, challenges, services, technologies, and societal change. The results suggest that the financial advice market will experience a further increase in the number of robo advisor services available. Existing and traditional financial advice players will be forced to adjust to the changing environment of the market. Due to low fees and ease of use, robo advisors will be made available to a broad cross section of society, and will cause significant market losses for traditional investment advice companies. Ten years from now, the predominant investment class will remain Exchange Traded Funds (ETFs). Even though degrees of human intervention are expected to vary considering the complexity of advice, automation will increase in significance when it comes to the development of robo advisors.
Equity crowdfunding
(2021)
In this study, we explore the development of equity crowdfunding (ECF) over the next 5 to 10 years by conducting an international Delphi study. Our results indicate that the ECF market is expected to grow significantly. However, it is unlikely to disrupt other forms of financing and will not cover all SME financing needs. ECF will remain a funding technique for SMEs and small investors; it is unlikely to attract large corporations or institutional investors. Platforms will impose stricter requirements for capital raisers, expand their services, and innovate their business models. National governments will probably partly liberalize the ECF market.
Executive education (EE) has been an established means for management education. However, due to the ever-changing business environment, progress in education technology, and new competitors, EE has been continuously evolving and can be expected to further change. Employing a three-stage international Delphi study, we identify a plausible scenario for the further development of EE over the next decade. The results suggest major changes for management training. The panel expects major shifts in teaching methods and curricula construction. Business schools are expected to increase content customization, to adapt delivery formats, and to enhance coverage of topical issues to better respond to leaders' needs.
In this study, we analyze the forecast accuracy and profitability of buy recommendations published in five major German financial magazines for private households based on fundamental analysis. The results show a high average forecast accuracy but with a very high standard deviation, which indicates poor forecast accuracy with regard to individual stocks. The recommendation profitability slightly exceeds the performance of the MSCI World index. Considering the involved risk, which is represented by a high standard deviation, the excess returns appear to be insufficient.
In this study, we analyze the forecast accuracy and profitability of buy recommendations published in five major German financial magazines for private households based on fundamental analysis. The results show a high average forecast accuracy but with a very high standard deviation, which indicates poor forecast accuracy with regard to individual stocks. The recommendation profitability slightly exceeds the performance of the MSCI World index. Considering the involved risk, which is represented by a high standard deviation, the excess returns appear to be insufficient.
Institutional entrepreneurship comprises the activities of agents who disrupt existing social institutions or create new ones, often to enable diffusion, especially of radical innovations, in a market. The increased interest in institutional entrepreneurship has produced a large number of scholarly publications, especially in the last five years. As a consequence, the literature landscape is somewhat complex and scattered. We aim to compile a quantitative overview of the field within business and management research by conducting bibliometric performance analyses and science mappings. We identified the most productive and influential journals, authors, and articles with the highest impact. We found that institutional entrepreneurship has stronger ties to organization studies than to entrepreneurship research. Additionally, a large body of literature at the intersection of institutions and entrepreneurship does not refer to institutional entrepreneurship theory. The science mappings revealed a distinction between theoretical and conceptual research on one hand and applied and empirical research on the other hand. Research clusters reflect the structure–agency problem by focusing on the change agent’s goals and interests, strategies, and specific implementation mechanisms, as well as the relevance of public agents for existing institutions, and a more abstract process rather than agency view.
Institutional entrepreneurship comprises the activities of agents who disrupt existing social institutions or create new ones, often to enable diffusion, especially of radical innovations, in a market. The increased interest in institutional entrepreneurship has produced a large number of scholarly publications, especially in the last five years. As a consequence, the literature landscape is somewhat complex and scattered. We aim to compile a quantitative overview of the field within business and management research by conducting bibliometric performance analyses and science mappings. We identified the most productive and influential journals, authors, and articles with the highest impact. We found that institutional entrepreneurship has stronger ties to organization studies than to entrepreneurship research. Additionally, a large body of literature at the intersection of institutions and entrepreneurship does not refer to institutional entrepreneurship theory. The science mappings revealed a distinction between theoretical and conceptual research on one hand and applied and empirical research on the other hand. Research clusters reflect the structure–agency problem by focusing on the change agent’s goals and interests, strategies, and specific implementation mechanisms, as well as the relevance of public agents for existing institutions, and a more abstract process rather than agency view.
Radical innovations
(2021)
The fast growing body of radical innovation research is fragmented and difficult to overlook. We provide an overview of the most cited journals, authors, and publications and conduct a bibliographic coupling to structure the literature landscape. We identified the following research clusters: management of radical innovations, organizational learning and knowledge, financial aspects of radical innovation, radical innovation adoption and diffusion, radical industry innovations as challenges for incumbents, and radical innovation in specific industries. Based on an in-depth content analysis of these clusters, we identify the following future research opportunities: A systematic compilation of all intra- and extra-organizational management aspects, moderators, and mediators, extending radical innovation research's epistemological basis by adding strategic foresight, further research in individual, group (team), organizational, and inter-organizational capabilities required for radical innovation, a managerial perspective on adoption and diffusion of radical innovations, applying portfolio theory and real options theory to radical innovation research, stronger research efforts on coping strategies for firms faced with competitors' radical innovations, and intensifying both industry-specific and cross-industry research.
The scenario technique is widely used to cope with uncertainties plan for alternate future situations. The extensive research led to a scattered literature landscape. To organize the field quantitatively, we conduct bibliometric performance analyses and a bibliographic coupling analysis. Results show an increased interest in scenario research since 2009 and clear distinctions between strategic and operational as well as methodological and applied research. Future research can be expected to further enhance the method towards robust decision making and to combine it with methods searching for most likely scenarios, such as prediction markets, crowdsourcing, and superforecasting. Additionally, cognitive and behavioral aspects of using the scenario technique might draw further attention. The scenario technique is expected to be applied across all industries and will probably play an increasing role in currently underrepresented business functions such as marketing and innovation.
Family businesses strive not only for economic prosperity but also for social and environmental values and achievements. In an ever-changing business environment, dynamic capabilities are required to sustain performance across these areas. To understand these mechanisms in order to proactively manage them, it is necessary to identify their specific microfoundations and uncover how these relate to sustainability. However, research on sustainability dynamic capabilities in family businesses and their microfoundations is scarce. To address this research gap, we conducted semi-structured interviews with 11 German and Swiss family businesses from different industries of different ages and sizes. Our findings suggest that the majority of dynamic capability microfoundations relate to economic sustainability, with a specific focus on future orientation, traditional mindsets, rapid decision-making, intuition, speed, and resource slack. Further, we find the social aspects of innovative mindsets, human capital investments, and participation to be the specific microfoundations that strongly link with social and, eventually, economic sustainability. However, we did not find specific microfoundations for environmental sustainability.
Entrepreneurship education (EE) has attracted much scholarly attention, showing exponential growth in publication and citation numbers. The research field has become broad, complex, and fragmented, making it increasingly difficult to oversee. Our research goal is to organise and integrate the previous literature. To this end, we use bibliometric analyses, differing from prior analyses, which are outdated or have a different focus. Our results show an immense growth in publications and citations over the last decade and an almost equal involvement of business and educational research. We identify the most productive and influential journals and authors. Our co-citation analysis reveals two research clusters, one focusing on psychological constructs relating to EE, and the other on entrepreneurial behaviour and new venture creation. Based on a review of the 25 most-cited articles on an annual basis, we identify and quantify the most relevant research themes and integrate them into a research framework that we propose for future research. A major finding is that extant research centres around the outcomes of entrepreneurship education, whereas its pedagogy is still mainly a black box.
Entrepreneurship education has gained widespread attention in both education practice and research over the past three decades. However, whereas research has a strong focus on its effects and many normative concepts exist, little is known about how entrepreneurship is actually taught. To address this research gap, we conduct a curriculum analysis of the 50 best programs in entrepreneurship, according to the 2018 Financial Times ranking “Top MBAs for Entrepreneurship 2018”. In particular, we examine their objectives, learning contents and teaching as well as assessment methods as four major dimensions of a graduate entrepreneurship curriculum. The results show that the programs are primarily business and management programs, with a comparatively small share of entrepreneurship itself. Entrepreneurship-specific goals are entrepreneurial attitudes and competences, such as entrepreneurial leadership, entrepreneurial mindset, entrepreneurial skills, opportunity creation, opportunity identification, and transforming uncertainty into opportunity. The learning contents also focus on business, management, and law, whereas the contents relating to entrepreneurship include entrepreneurial failure, entrepreneurial management, entrepreneurial thinking, and entrepreneurship in general. Teaching methods are mainly the ones usually found in higher education, with business plans and prototyping as additional entrepreneurial ones. Assessment methods do not differ from those in business and management education.
The role of the GMP nucleotides of the bis-molybdopterin guanine dinucleotide (bis-MGD) cofactor of the DMSO reductase family has long been a subject of discussion. The recent characterization of the bis-molybdopterin (bis-Mo-MPT) cofactor present in the E. coli YdhV protein, which differs from bis-MGD solely by the absence of the nucleotides, now enables studying the role of the nucleotides of bis-MGD and bis-MPT cofactors in Moco insertion and the activity of molybdoenzymes in direct comparison. Using the well-known E. coli TMAO reductase TorA as a model enzyme for cofactor insertion, we were able to show that the GMP nucleotides of bis-MGD are crucial for the insertion of the bis-MGD cofactor into apo-TorA.
The role of the GMP nucleotides of the bis-molybdopterin guanine dinucleotide (bis-MGD) cofactor of the DMSO reductase family has long been a subject of discussion. The recent characterization of the bis-molybdopterin (bis-Mo-MPT) cofactor present in the E. coli YdhV protein, which differs from bis-MGD solely by the absence of the nucleotides, now enables studying the role of the nucleotides of bis-MGD and bis-MPT cofactors in Moco insertion and the activity of molybdoenzymes in direct comparison. Using the well-known E. coli TMAO reductase TorA as a model enzyme for cofactor insertion, we were able to show that the GMP nucleotides of bis-MGD are crucial for the insertion of the bis-MGD cofactor into apo-TorA.
We describe the first microsatellite loci for the gynogenetic Amazon molly, Poecilia formosa, an all-female species arisen through hybridization of the bisexual species Poecilia mexicana and Poecilia latipinna. The loci showed one to six alleles and an expected heterozygosity between zero and 0.75. As expected with parthenogenetic inheritance, most loci were either constantly homozygous (five loci) or constantly heterozygous (eight loci). For six loci, both heterozygotes and homozygotes occurred. This and the fact that some loci only showed alleles of one of the ancestral species could indicate genome homogenization through mitotic gene conversion. Our new loci conformed to the hybrid origin of Amazon molly and are also applicable to both ancestral bisexual species
Intraspecific brood parasitism (IBP) is a remarkable phenomenon by which parasitic females can increase their reproductive output by laying eggs in conspecific females' nests in addition to incubating eggs in their own nest. Kin selection could explain the tolerance, or even the selective advantage, of IBP, but different models of IBP based on game theory yield contradicting predictions. Our analyses of seven polymorphic autosomal microsatellites in two eider duck colonies indicate that relatedness between host and parasitizing females is significantly higher than the background relatedness within the colony. This result is unlikely to be a by-product of relatives nesting in close vicinity, as nest distance and genetic identity are not correlated. For eider females that had been ring-marked during the decades prior to our study, our analyses indicate that (i) the average age of parasitized females is higher than the age of nonparasitized females, (ii) the percentage of nests with alien eggs increases with the age of nesting females, (iii) the level of IBP increases with the host females' age, and (iv) the number of own eggs in the nest of parasitized females significantly decreases with age. IBP may allow those older females unable to produce as many eggs as they can incubate to gain indirect fitness without impairing their direct fitness: genetically related females specialize in their energy allocation, with young females producing more eggs than they can incubate and entrusting these to their older relatives. Intraspecific brood parasitism in ducks may constitute cooperation among generations of closely related females.
To unravel the postglacial colonization history and the current intercolony dispersal in the common eider, Somateria mollissima, we analysed genetic variation at a part of the mitochondrial control region and five unlinked autosomal microsatellite loci in 175 eiders from 11 breeding colonies, covering the entire European distribution range of this species. As a result of extreme female philopatry, mitochondrial DNA differentiation is substantial both among local colonies and among distant geographical regions. Our study further corroborates the previous hypothesis of a single Pleistocene refugium for European eiders. A nested clade analysis on mitochondrial haplotypes suggests that (i) the Baltic Sea eider population is genetically closest to a presumably ancestral population and that (ii) the postglacial recolonization progressed in a stepwise fashion via the North Sea region and the Faroe Islands to Iceland. Current long-distance dispersal is limited. Differentiation among colonies is much less pronounced at microsatellite loci. The geographical pattern of this nuclear genetic variation is to a large extent explained by isolation by distance. As female dispersal is very limited, the geographical pattern of nuclear variation is probably explained by male-mediated gene flow among breeding colonies. Our study provides genetic evidence for the assumed prominent postglacial colonization route shaping the present terrestrial fauna of the North Atlantic islands Iceland and the Faroes. It suggests that this colonization had been a stepwise process originating in continental Europe. It is the first molecular study on eider duck populations covering their entire European distribution range
We isolated and characterized 16 new di- and tetranudeotide microsatellite markers for the critically endangered Asian box turtle genus Cuora, focusing on the "Cuora trifasciata" species complex. The new markers were then used to analyse genetic variability and divergence amongst five described species within this complex, namely C. aurocapitata (n = 18), C. cyclornata (n = 31), C. pani (n = 6), C. trifasciata (n = 58), and C. zhoui (n = 7). Our results support the view that all five species represent valid taxa. Within two species (C. trifasciata and C. cyclornata), two distinct morphotypes were corroborated by microsatellite divergence. For three individuals, morphologically identified as being of hybrid origin, the hybrid status was confirmed by our genetic analysis. Our results confirm the controversial species (Cuora aurocapitata, C. cyclornata) and subspecies/morphotypes (C. cyclornata meieri, C. trifasciata cf. trifasciata) to be genetically distinct, which has critical implications for conservation strategies.
River ecosystems receive and process vast quantities of terrestrial organic carbon, the fate of which depends strongly on microbial activity. Variation in and controls of processing rates, however, are poorly characterized at the global scale. In response, we used a peer-sourced research network and a highly standardized carbon processing assay to conduct a global-scale field experiment in greater than 1000 river and riparian sites. We found that Earth’s biomes have distinct carbon processing signatures. Slow processing is evident across latitudes, whereas rapid rates are restricted to lower latitudes. Both the mean rate and variability decline with latitude, suggesting temperature constraints toward the poles and greater roles for other environmental drivers (e.g., nutrient loading) toward the equator. These results and data set the stage for unprecedented “next-generation biomonitoring” by establishing baselines to help quantify environmental impacts to the functioning of ecosystems at a global scale.
In 1992, the flora and vegetation of an area of linear sand dunes at Nizzana, western Negev desert, Israel, was investigated. Seven different plant communities were found and a vegetation map of the research area was produced. The plant communities were distinguished by only the dominating perennial species. Nevertheless, the results of the study indicate, that also annual species may be suitable as a tool to distinguish between desert plant communities.
Relationships between shrubs and annual communities in a sandy desert ecosystem : a three-year study
(1997)
A field study was designed to investigate the effect of shrubs on the dynamics and structure of annual plant communities in a sandy desert ecosystem. Densities of emerging and reproductive plants of all annual species were monitored in permanent quadrats located under shrubs and in open areas between shrubs during three successive years; a relatively dry one, a relatively wet one, and a very dry one. A total of 29 species were recorded in the study. Of these, 19 species did not show any evidence for differences in abundance between the two habitats. Nine species exhibited year-to-year variation in their responses to the shrub-opening gradient, being more common in a particular habitat during one year, and showing no response or even an opposite response during a different year. Only one species was consistently more abundant under shrubs throughout the whole study period, and no species was consistently more abundant in the openings. These findings contradict the hypothesis that annual species associated with desert shrub communities can be categorized into distinct groups based on their 'preference' for shrubs vs. openings. Ordination analyses of community-level patterns indicated that annual communities inhabiting the openings were more stable than those inhabiting the shrub habitat. The main lesson from this study is the importance of long-term observations in studies attempting to characterize community-level responses to environmental gradients.
Recently, numerous studies have pointed to the importance of positive interactions in natural communities. There is now a broad consensus that the balance between negative and positive interactions should shift along environmental gradients, with competition prevailing under environmentally benign conditions and positive interactions dominating under harsh conditions. A commonly cited example of the importance of facilitation in harsh environments is the preference of desert annual plants for the areas under the canopy of shrubs. The recognition of apparently positive effects of desert shrubs on annuals, however, has been mostly based on density measurements, while fitness parameters of the understory plants have been ignored. Also, the temporal consistency of such effects has not been previously tested. Based on conceptual ideas about the balance between interference and facilitation, we predicted that positive effects of the shrubs on the understory should dominate in dry years, while in favorable years, negative effects would be stronger. We tested our hypothesis by measuring the direction and magnitude of the shrub effect on demographic responses of four desert annual plant species during four consecutive seasons of differing rainfall. The results contradicted our initial hypothesis. Depending on the species, the effect of the shrubs shifted from either negative to neutral or from neutral to positive with increasing annual rainfall. However, this trend was stronger for the effect of shrubs on plant reproductive success than on their densities. Our data highlight the importance of measuring fitness parameters in studies of plant-plant interactions. We suggest that the negative effects of shrubs on plant fitness were due to rainfall interception, while positive effects were related to increased nutrient availability beneath shrubs. However, the mechanisms by which the shrubs and annuals interact can only be resolved using an experimental approach. Our results contradict previous hypotheses about the relative importance of positive and negative interactions along environmental gradients. A simple conceptual model summarizing the proposed role of rainfall in determining the direction of shrub effects on their understory annuals is presented.
An unresolved discussion in contemporary ecology deals with the relative importance of competition along environmental gradients. In deserts, local-scale differences in environmental productivity may be caused by the presence of shrubs, which represent a favorable habitat for annual populations within a nutrient-poor matrix. In this study, we attempted to test the hypothesis that facilitation of desert annuals by shrubs increase the intensity of competition among the annual plants. Such negative indirect effects have so far been ignored in studies about plant-plant interactions. We tested our hypothesis by measuring seedling survival and fecundity of four abundant annual plant species with and without neighbors in open areas and under shrub canopies in a sandy desert area. Our findings did not indicate indirect negative effects of shrubs on their understory annuals. Sensitivity to the presence of neighbors varied between species and surprisingly, the species with the smallest seeds was the only one which was not negatively affected by the presence of neighbors. In contrast to our hypothesis, there was no difference between the habitat types shrubs and openings in absolute and relative competition intensity. Our overall results suggest that negative indirect effects of shrubs are unimportant in determining demographic response of understory annual plants.
Raumwissen als Raumpolitik?
(2018)
Inhalt: - I. Einleitung - II. Begriff und Bedeutung von Globalisierung - 1. Einzelerscheinungen der Globalisierung - 2. Globalisierung als Denationalisierung und Entstaatlichung - III. Die Bedeutung des Welthandelsrechts im Prozeß der Globalisierung - 1. Allgemeine ökonomische und rechtliche Aspekte - 2. Die Akteure im Welthandelssystem - 3. Offene Märkte und Nichtdiskriminierung als zwei wesentliche Grundprinzipien der WTO-Rechtsordnung - 4. Die ordnungspolitischen Handlungsfreiheiten der WTO-Mitglieder - IV. Zusammenfassung - Literatur
The overuse of rainforests in the last century and its consequences necessitate a rethinking of logging policies. To this end models have been developed to simulate rainforest dynamics and to allow optional management strategies to be evaluated. Parameterisation of presently existing models for a certain site needs a lot of work, thus the parameterisation effort is too high to apply the models to a wide range of rainforests. Hence, in this paper we introduce the simplified model FORREG using the knowledge we have gained from a more complex model, FORMIX3-Q. The FORREG model uses differential equations to determine the volume growth of three successional species groups. Parameterisation is simplified by a genetic algorithm, which determines the required internal model parameters from characteristics of the forest dynamics. The new model is employed to assess the sustainability of various logging policies in terms of yield and damage. Results for three forests are discussed: (1) the tropical lowland rain forest in the Deramakot Forest Reserve, (2) the Lambir National Park in Malaysia and (3) a subtropical forest in Paraguay. Our model reproduces both undisturbed forest dynamics and dynamics of logged forests simulated with FORMIX3-Q very well. However, the resultant volumes of yield and damage differ slightly from those gained by FORMIX3-Q if short logging cycles are simulated. Choosing longer logging cycles leads to a good correspondence of both models. For the Deramakot Forest Reserve different logging cycles are compared and discussed. (c) 2006 Elsevier B.V. All rights reserved.
Drylands worldwide are exposed to a highly variable environment and face a high risk of degradation. The effects of global climate change such as altered precipitation patterns and increased temperature leading to reduced water availability will likely increase this risk. At the same time, an elevated atmospheric CO2 level could mitigate the effects of reduced water availability by increasing the water use efficiency of plants. To prevent degradation of drylands, it is essential to understand the underlying processes that affect water availability and vegetation cover. Since water and vegetation are strongly interdependent in water-limited ecosystems, changes can lead to highly non- linear effects. We assess these effects by developing an ecohydrological model of soil moisture and vegetation cover. The water component of the model simulates the daily dynamics of surface water and water contents in two soil layers. Vegetation is represented by two functional types: shrubs and grasses. These compete for soil water and strongly influence hydrological processes. We apply the model to a Namibian thornbush savanna and evaluate the separate and combined effects of decreased annual precipitation, increased temperature, more variable precipitation and elevated atmospheric CO2 on soil moisture and on vegetation cover. The results show that two main factors control the response of plant types towards climate change, namely a change in water availability and a change in water allocation to a specific plant type. Especially, reduced competitiveness of grasses can lead to a higher risk of shrub encroachment in these systems.
Dry lands are exposed to a highly variable environment and face a high risk of degradation. The effects of climate change are likely to increase this risk; thus a profound knowledge of the system dynamics is crucial for evaluating management options. This applies particularly for the interactions between water and vegetation, which exhibit strong feedbacks. To evaluate these feedbacks and the effects of climate change on soil moisture dynamics, we developed a generic, process-based, spatially explicit soil moisture model of two soil layers, which can be coupled with vegetation models. A time scale relevant for ecological processes can be simulated without difficulty, and the model avoids complex parameterization with data that are unavailable for most regions of the world. We applied the model to four sites in Israel along a precipitation and soil type gradient and assessed the effects of climate change by comparing possible climatic changes with present climate conditions. The results show that in addition to temperature, the total amount of precipitation and its intra-annual variability are an important driver of soil moisture patterns. This indicates that particularly with regard to climate change, the approach of many ecological models that simulate water dynamics on an annual base is far too simple to make reliable predictions. Thus, the introduced model can serve as a valuable tool to improve present ecological models of dry lands because of its focus on the applicability and transferability.
Um den zunehmenden Diebstahl digitaler Identitäten zu bekämpfen, gibt es bereits mehr als ein Dutzend Technologien. Sie sind, vor allem bei der Authentifizierung per Passwort, mit spezifischen Nachteilen behaftet, haben andererseits aber auch jeweils besondere Vorteile. Wie solche Kommunikationsstandards und -Protokolle wirkungsvoll miteinander kombiniert werden können, um dadurch mehr Sicherheit zu erreichen, haben die Autoren dieser Studie analysiert. Sie sprechen sich für neuartige Identitätsmanagement-Systeme aus, die sich flexibel auf verschiedene Rollen eines einzelnen Nutzers einstellen können und bequemer zu nutzen sind als bisherige Verfahren. Als ersten Schritt auf dem Weg hin zu einer solchen Identitätsmanagement-Plattform beschreiben sie die Möglichkeiten einer Analyse, die sich auf das individuelle Verhalten eines Nutzers oder einer Sache stützt.
Ausgewertet werden dabei Sensordaten mobiler Geräte, welche die Nutzer häufig bei sich tragen und umfassend einsetzen, also z.B. internetfähige Mobiltelefone, Fitness-Tracker und Smart Watches. Die Wissenschaftler beschreiben, wie solche Kleincomputer allein z.B. anhand der Analyse von Bewegungsmustern, Positionsund Netzverbindungsdaten kontinuierlich ein „Vertrauens-Niveau“ errechnen können. Mit diesem ermittelten „Trust Level“ kann jedes Gerät ständig die Wahrscheinlichkeit angeben, mit der sein aktueller Benutzer auch der tatsächliche Besitzer ist, dessen typische Verhaltensmuster es genauestens „kennt“.
Wenn der aktuelle Wert des Vertrauens-Niveaus (nicht aber die biometrischen Einzeldaten) an eine externe Instanz wie einen Identitätsprovider übermittelt wird, kann dieser das Trust Level allen Diensten bereitstellen, welche der Anwender nutzt und darüber informieren will. Jeder Dienst ist in der Lage, selbst festzulegen, von welchem Vertrauens-Niveau an er einen Nutzer als authentifiziert ansieht. Erfährt er von einem unter das Limit gesunkenen Trust Level, kann der Identitätsprovider seine Nutzung und die anderer Services verweigern.
Die besonderen Vorteile dieses Identitätsmanagement-Ansatzes liegen darin, dass er keine spezifische und teure Hardware benötigt, um spezifische Daten auszuwerten, sondern lediglich Smartphones und so genannte Wearables. Selbst Dinge wie Maschinen, die Daten über ihr eigenes Verhalten per Sensor-Chip ins Internet funken, können einbezogen werden. Die Daten werden kontinuierlich im Hintergrund erhoben, ohne dass sich jemand darum kümmern muss. Sie sind nur für die Berechnung eines Wahrscheinlichkeits-Messwerts von Belang und verlassen niemals das Gerät. Meldet sich ein Internetnutzer bei einem Dienst an, muss er sich nicht zunächst an ein vorher festgelegtes Geheimnis – z.B. ein Passwort – erinnern, sondern braucht nur die Weitergabe seines aktuellen Vertrauens-Wertes mit einem „OK“ freizugeben.
Ändert sich das Nutzungsverhalten – etwa durch andere Bewegungen oder andere Orte des Einloggens ins Internet als die üblichen – wird dies schnell erkannt. Unbefugten kann dann sofort der Zugang zum Smartphone oder zu Internetdiensten gesperrt werden. Künftig kann die Auswertung von Verhaltens-Faktoren noch erweitert werden, indem z.B. Routinen an Werktagen, an Wochenenden oder im Urlaub erfasst werden. Der Vergleich mit den live erhobenen Daten zeigt dann an, ob das Verhalten in das übliche Muster passt, der Benutzer also mit höchster Wahrscheinlichkeit auch der ausgewiesene Besitzer des Geräts ist.
Über die Techniken des Managements digitaler Identitäten und die damit verbundenen Herausforderungen gibt diese Studie einen umfassenden Überblick. Sie beschreibt zunächst, welche Arten von Angriffen es gibt, durch die digitale Identitäten gestohlen werden können. Sodann werden die unterschiedlichen Verfahren von Identitätsnachweisen vorgestellt. Schließlich liefert die Studie noch eine zusammenfassende Übersicht über die 15 wichtigsten Protokolle und technischen Standards für die Kommunikation zwischen den drei beteiligten Akteuren: Service Provider/Dienstanbieter, Identitätsprovider und Nutzer. Abschließend wird aktuelle Forschung des Hasso-Plattner-Instituts zum Identitätsmanagement vorgestellt.