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Asymptotic Solutions of the Dirichlet Problem for the Heat Equation at a Characteristic Point
(2015)
The Dirichlet problem for the heat equation in a bounded domain aS, a"e (n+1) is characteristic because there are boundary points at which the boundary touches a characteristic hyperplane t = c, where c is a constant. For the first time, necessary and sufficient conditions on the boundary guaranteeing that the solution is continuous up to the characteristic point were established by Petrovskii (1934) under the assumption that the Dirichlet data are continuous. The appearance of Petrovskii's paper was stimulated by the existing interest to the investigation of general boundary-value problems for parabolic equations in bounded domains. We contribute to the study of this problem by finding a formal solution of the Dirichlet problem for the heat equation in a neighborhood of a cuspidal characteristic boundary point and analyzing its asymptotic behavior.
The IR-based method of infrared transition moment orientational analysis (IR-TMOA) is employed to unravel molecular order in thin layers of the semiconducting polymer poly[N,N'-bis(2-octyldodecyl),-1,4,5,8-naphthalene-diimide-2,6-diyl]-alt-5-5'-(2,2'-bithiophene) (P(NDI2OD-T2)). Structure-specific vibrational bands are analyzed in dependence On polarization and inclination of the sample-With respect to the optical axis. By that the molecular Order parameter tensor for the respective molecular moieties with regard to the sample: coordinate system is deduced. Making use of the specificity of the IR spectral range, we are able to determine separately the orientation of atomistic planes defined through the naphthalenediimide (NDI) and bithiophene (T2) units relative to the substrate, and hence, relative to each other. A pronounced solvent effect is observed While chlorobenzene causes the T2 planes to align preferentially parallel to the substrate at an angle of 29 degrees, using a 1:1 chloronaphthalene:xylene mixture results in a reorientation of the T2 units from a face on into an edge on arrangement. In contrast the NDI unit remains unaffected. Additionally, for both solvents evidence is observed for the aggregation of chains in accord With recently published results obtained by UV-vis absorption spectroscopy.
Die fortschreitende Diffusion von E-Government ist ein Phänomen, dem in der internationa-len Forschungsliteratur bereits viel Aufmerksamkeit zu Teil wurde. Erstaunlich wenige Studien widmen sich bislang jedoch dezidiert dem Faktor Interdependenz, der eigentlichen Ursache von Diffusionsprozessen. In dieser Arbeit werden Interdependenzbeziehungen anhand dreier spezifischer Mechanismen der Diffusion, namentlich „Nachahmung“, „Wettbewerb“ und „Lernen“, untersucht. Auf Basis einer empirischen Analyse mit Daten zur Einführung von E-Government-Komponenten in 183 deutschen Städten über den Zeitraum von 1995 bis 2014 konnte ein Einfluss der Mechanismen „Nachahmung“ und „Lernen“ auf das Innovationsverhalten von Kommunen festgestellt werden. Für das Vorliegen von Wettbe-werbsdynamiken ließen sich demgegenüber keine Anhaltspunkte finden. Für zukünftige Forschungen zur Diffusion von Innovationen wird angeregt, verstärkt an die mechanismen- und prozessbasierte Perspektive von Diffusion als theoretischem Rahmenkonzept anzuknüpfen.
Nach dem Lebensbruch
(2015)
Im Kontext der algerischen Unabhängigkeit verließen die meisten französisch-jüdischen Staatsbürger/innen die vormalige Kolonie in Nordafrika. Der seinerseits algerischstämmige, jüdische, französische Historiker Benjamin Stora sieht in dieser Übersiedlung das letzte von drei Exilen, in die sich die algerisch-jüdische Bevölkerung während der 130-jährigen Kolonialzeit begeben habe. Ausgehend davon werden in dieser Arbeit drei Romane jüdischer Schriftsteller/innen algerischer Herkunft präsentiert, in denen die Thematik des Heimatverlusts bzw. des Exils behandelt wird, und zwar: Gil Ben Aychs Le livre d’Étoile, Annie Cohens Le marabout de Blida und Rolland Doukhans Berechit. Neben den Thesen Storas bilden im Übrigen die von Jacques Derrida bzw. Hélène Cixous geprägten Begriffe nostalgérie und algériance den gedanklichen Ausgangspunkt für die Untersuchungen.
Im ersten theoretischen Unterkapitel wird anhand verschiedener Definitionen und Sichtweisen des Begriffs Exil – u.a. von Elisabeth Bronfen, Edward Said, Hannah Arendt, Jean Améry, André Aciman – dessen Vielschichtigkeit erörtert. Daran anschließend wird ein Exilbegriff für die vorliegende Arbeit bestimmt, der einen erzwungenen oder freiwilligen, physischen oder mentalen Ortswechsel als Ausgangspunkt hat und seinerseits im Kontrast zu einer Heimat steht, welche als physisch-geografischer oder als ideell-abstrakter Raum gesehen werden kann. Im zweiten Theoriekapitel werden, basierend auf der Annahme, dass das Exil-Motiv eine wichtige Rolle im kollektiven Gedächtnis des Judentums spielt, drei Topoi herausgearbeitet, die sowohl von jüdischen als auch von nichtjüdischen Denker/innen, Literat/innen und Historiker/innen aufgenommen und weiterverarbeitet wurden, und zwar: die biblische Hiobsgeschichte, das Motiv der Wurzellosigkeit bzw. des „Ewigen“ oder „Wandernden Juden“, der Topos vom „Volk des Buches“. Anhand der Thesen Storas wird schließlich in einem dritten Theorieteil die Geschichte des algerischen Judentums in Kürze dargestellt.
Auf dieser theoretischen Grundlage werden im analytischen Teil der Arbeit die drei Romane untersucht. Dabei zeigen sich in allen drei Werken verschiedene Exilformen: das geographische, das soziale und das innere Exil, die einander in der Situation der Protagonist/innen überlagern. Außerdem werden Strategien im Umgang mit der Exilsituation deutlich, die mit der jüdischen Tradition und Herkunft der Figuren in Verbindung zu bringen sind. Dazu zählen jüdische Rituale des Alltags, die Suche nach Halt im Glauben, das Thema der Wurzellosigkeit im Kontrast zu Sesshaftigkeit, das Finden von Heimat im Schreiben und die jüdische Tradition der Textauslegung. Dazu wird jeder der Romane mit einem der drei präsentierten Bilder in Verbindung gebracht.
Entsorgt und ausgeblendet
(2015)
Die Kluft zwischen Ost- und Westdeutschen ist in den vergangenen Jahren nicht schmaler geworden. Bis heute sind Ostdeutsche nur selten in Führungspositionen in Wirtschaft, Politik und Medien anzutreffen. Offensichtlich ist die Herstellung der inneren Einheit ein schwieriger, langwieriger Prozess der Annäherung, der womöglich nie vollständig vollzogen werden kann. Diesem Prozess nachzugehen und zu zeigen, wie sich Eliten vor dem Hintergrund gesellschaftlicher Umbrüche positionieren, welche Voraussetzungen die beteiligten Generationen und Elitenvertreter in Ost- und Westdeutschland mitbrachten, in welcher Form sie tangiert waren und welche medialen Perspektiven sich daran knüpfen, ist Ziel dieses Buches. Denn der Umgang mit den ostdeutschen Eliten berührt unsere Zukunft.
With accelerating climate cooling in the late Cenozoic, glacial and periglacial erosion became more widespread on the surface of the Earth. The resultant shift in erosion patterns significantly changed the large-scale morphology of many mountain ranges worldwide. Whereas the glacial fingerprint is easily distinguished by its characteristic fjords and U-shaped valleys, the periglacial fingerprint is more subtle but potentially prevails in some mid- to high-latitude landscapes. Previous models have advocated a frost-driven control on debris production at steep headwalls and glacial valley sides. Here we investigate the important role that periglacial processes also play in less steep parts of mountain landscapes. Understanding the influences of frost-driven processes in low-relief areas requires a focus on the consequences of an accreting soil mantle, which characterises such surfaces. We present a new model that quantifies two key physical processes: frost cracking and frost creep, as a function of both temperature and sediment thickness. Our results yield new insights into how climate and sediment transport properties combine to scale the intensity of periglacial processes. The thickness of the soil mantle strongly modulates the relation between climate and the intensity of mechanical weathering and sediment flux. Our results also point to an offset between the conditions that promote frost cracking and those that promote frost creep, indicating that a stable climate can provide optimal conditions for only one of those processes at a time. Finally, quantifying these relations also opens up the possibility of including periglacial processes in large-scale, long-term landscape evolution models, as demonstrated in a companion paper.
With accelerating climate cooling in the late Cenozoic, glacial and periglacial erosion became more widespread on the surface of the Earth. The resultant shift in erosion patterns significantly changed the large-scale morphology of many mountain ranges worldwide. Whereas the glacial fingerprint is easily distinguished by its characteristic fjords and U-shaped valleys, the periglacial fingerprint is more subtle but potentially prevails in some mid- to high-latitude landscapes. Previous models have advocated a frost-driven control on debris production at steep headwalls and glacial valley sides. Here we investigate the important role that periglacial processes also play in less steep parts of mountain landscapes. Understanding the influences of frost-driven processes in low-relief areas requires a focus on the consequences of an accreting soil mantle, which characterises such surfaces. We present a new model that quantifies two key physical processes: frost cracking and frost creep, as a function of both temperature and sediment thickness. Our results yield new insights into how climate and sediment transport properties combine to scale the intensity of periglacial processes. The thickness of the soil mantle strongly modulates the relation between climate and the intensity of mechanical weathering and sediment flux. Our results also point to an offset between the conditions that promote frost cracking and those that promote frost creep, indicating that a stable climate can provide optimal conditions for only one of those processes at a time. Finally, quantifying these relations also opens up the possibility of including periglacial processes in large-scale, long-term landscape evolution models, as demonstrated in a companion paper.
The PAC2MAN mission
(2015)
An accurate forecast of flare and coronal mass ejection (CME) initiation requires precise measurements of the magnetic energy buildup and release in the active regions of the solar atmosphere. We designed a new space weather mission that performs such measurements using new optical instruments based on the Hanle and Zeeman effects. The mission consists of two satellites, one orbiting the L1 Lagrangian point (Spacecraft Earth, SCE) and the second in heliocentric orbit at 1AU trailing the Earth by 80 degrees (Spacecraft 80, SC80). Optical instruments measure the vector magnetic field in multiple layers of the solar atmosphere. The orbits of the spacecraft allow for a continuous imaging of nearly 73% of the total solar surface. In-situ plasma instruments detect solar wind conditions at 1AU and ahead of our planet. Earth-directed CMEs can be tracked using the stereoscopic view of the spacecraft and the strategic placement of the SC80 satellite. Forecasting of geoeffective space weather events is possible thanks to an accurate surveillance of the magnetic energy buildup in the Sun, an optical tracking through the interplanetary space, and in-situ measurements of the near-Earth environment.
In this paper a technique to obtain a first approximation for singular inverse Sturm-Liouville problems with a symmetrical potential is introduced. The singularity, as a result of unbounded domain (-infinity, infinity), is treated by considering numerically the asymptotic limit of the associated problem on a finite interval (-L, L). In spite of this treatment, the problem has still an ill-conditioned structure unlike the classical regular ones and needs regularization techniques. Direct computation of eigenvalues in iterative solution procedure is made by means of pseudospectral methods. A fairly detailed description of the numerical algorithm and its applications to specific examples are presented to illustrate the accuracy and convergence behaviour of the proposed approach.
Climate impacts on transocean dispersal and habitat in gray whales from the Pleistocene to 2100
(2015)
Arctic animals face dramatic habitat alteration due to ongoing climate change. Understanding how such species have responded to past glacial cycles can help us forecast their response to today's changing climate. Gray whales are among those marine species likely to be strongly affected by Arctic climate change, but a thorough analysis of past climate impacts on this species has been complicated by lack of information about an extinct population in the Atlantic. While little is known about the history of Atlantic gray whales or their relationship to the extant Pacific population, the extirpation of the Atlantic population during historical times has been attributed to whaling. We used a combination of ancient and modern DNA, radiocarbon dating and predictive habitat modelling to better understand the distribution of gray whales during the Pleistocene and Holocene. Our results reveal that dispersal between the Pacific and Atlantic was climate dependent and occurred both during the Pleistocene prior to the last glacial period and the early Holocene immediately following the opening of the Bering Strait. Genetic diversity in the Atlantic declined over an extended interval that predates the period of intensive commercial whaling, indicating this decline may have been precipitated by Holocene climate or other ecological causes. These first genetic data for Atlantic gray whales, particularly when combined with predictive habitat models for the year 2100, suggest that two recent sightings of gray whales in the Atlantic may represent the beginning of the expansion of this species' habitat beyond its currently realized range.
Climate impacts on transocean dispersal and habitat in gray whales from the Pleistocene to 2100
(2015)
Arctic animals face dramatic habitat alteration due to ongoing climate change. Understanding how such species have responded to past glacial cycles can help us forecast their response to today's changing climate. Gray whales are among those marine species likely to be strongly affected by Arctic climate change, but a thorough analysis of past climate impacts on this species has been complicated by lack of information about an extinct population in the Atlantic. While little is known about the history of Atlantic gray whales or their relationship to the extant Pacific population, the extirpation of the Atlantic population during historical times has been attributed to whaling. We used a combination of ancient and modern DNA, radiocarbon dating and predictive habitat modelling to better understand the distribution of gray whales during the Pleistocene and Holocene. Our results reveal that dispersal between the Pacific and Atlantic was climate dependent and occurred both during the Pleistocene prior to the last glacial period and the early Holocene immediately following the opening of the Bering Strait. Genetic diversity in the Atlantic declined over an extended interval that predates the period of intensive commercial whaling, indicating this decline may have been precipitated by Holocene climate or other ecological causes. These first genetic data for Atlantic gray whales, particularly when combined with predictive habitat models for the year 2100, suggest that two recent sightings of gray whales in the Atlantic may represent the beginning of the expansion of this species' habitat beyond its currently realized range.
A large-scale metabolic quantitative trait loci (mQTL) analysis was performed on the well-characterized Solanum pennellii introgression lines to investigate the genomic regions associated with secondary metabolism in tomato fruit pericarp. In total, 679 mQTLs were detected across the 76 introgression lines. Heritability analyses revealed that mQTLs of secondary metabolism were less affected by environment than mQTLs of primary metabolism. Network analysis allowed us to assess the interconnectivity of primary and secondary metabolism as well as to compare and contrast their respective associations with morphological traits. Additionally, we applied a recently established real-time quantitative PCR platform to gain insight into transcriptional control mechanisms of a subset of the mQTLs, including those for hydroxycinnamates, acyl-sugar, naringenin chalcone, and a range of glycoalkaloids. Intriguingly, many of these compounds displayed a dominant-negative mode of inheritance, which is contrary to the conventional wisdom that secondary metabolite contents decreased on domestication. We additionally performed an exemplary evaluation of two candidate genes for glycolalkaloid mQTLs via the use of virus-induced gene silencing. The combined data of this study were compared with previous results on primary metabolism obtained from the same material and to other studies of natural variance of secondary metabolism.
We define weak boundary values of solutions to those nonlinear differential equations which appear as Euler-Lagrange equations of variational problems. As a result we initiate the theory of Lagrangian boundary value problems in spaces of appropriate smoothness. We also analyse if the concept of mapping degree of current importance applies to the study of Lagrangian problems.
Mapping urban forest leaf area index with airborne lidar using penetration metrics and allometry
(2015)
In urban areas, leaf area index (LAI) is a key ecosystem structural attribute with implications for energy and water balance, gas exchange, and anthropogenic energy use. In this study, we estimated LAI spatially using airborne lidar in downtown Santa Barbara, California, USA. We implemented two different modeling approaches. First, we directly estimated effective LAI (LAIe) using scan angle- and clump-corrected lidar laser penetration metrics (LPM). Second, we adapted existing allometric equations to estimate crown structural metrics including tree height and crown base height using lidar. The latter approach allowed for LAI estimates at the individual tree-crown scale. The LPM method, at both high and decimated point densities, resulted in good linear agreement with estimates from ground-based hemispherical photography (r(2) = 0.82, y = 0.99x) using a model that assumed a spherical leaf angle distribution. Within individual tree crown segments, the lidar estimates of crown structure closely paralleled field measurements (e.g., r(2) = 0.87 for crown length). LAI estimates based on the lidar crown measurements corresponded well with estimates from field measurements (r(2) = 0.84, y = 0.97x + 0.10). Consistency of the LPM and allometric lidar methods was also strong at 71 validation plots (r(2) = 0.88) and at 450 additional sample locations across the entire study area (r(2) = 0.72). This level of correspondence exceeded that of the canopy hemispherical photography and allometric, ground-based estimates (r(2) = 0.53). The first-order alignment of these two disparate methods may indicate that the error bounds for mapping LAI in cities are small enough to pursue large scale, spatially explicit estimation. (C) 2015 Elsevier Inc All rights reserved.
Flow phenomena in the unsaturated zone are highly variable in time and space. Thus, it is challenging to measure and monitor such processes under field conditions. Here, we present a new setup and interpretation approach for combining a dye tracer experiment with a 4D ground-penetrating radar (GPR) survey. Therefore, we designed a rainfall experiment during which we measured three surface-based 3D GPR surveys using a pair of 500 MHz antennas. Such a survey setup requires accurate acquisition and processing techniquesto extract time-lapse information supporting the interpretation of selected cross-sections photographed after excavating the site. Our results reveal patterns of traveltime changes in the measured GPR data, which are associated with soil moisture changes. As distinct horizons are present at our site, such changes can be quantified and transferred into changes in total soil moisture content. Our soil moisture estimates are similar to the amount of infiltrated water, which confirms our experimental approach and makes us confident for further developing this strategy, especially, with respect to improving the temporal and spatial resolution. (C) 2015 Elsevier B.V. All rights reserved.
Topographic migration of 2D and 3D ground-penetrating radar data considering variable velocities
(2015)
We present a 2D/3D topographic migration scheme for ground-penetrating radar (GPR) data which is able to account for variable velocities by using the root mean square (rms) velocity approximation. We test our migration scheme using a synthetic 2D example and compare our migrated image to the results obtained using common GPR migration approaches. Furthermore, we apply it to 2D and 3D field data. These examples are recorded across common subsurface settings including surface topography and variations in the GPR subsurface velocity field caused by a shallow ground water table. In such field settings, our migration strategy provides well focused images of commonoffset GPR data without the need for a detailed interval velocity model. The synthetic and field examples demonstrate that our topographic migration scheme allows for accurate GPR imaging in the presence of variations in surface topography and subsurface velocity.
The networks of predator-prey interactions in ecological systems are remarkably complex, but nevertheless surprisingly stable in terms of long term persistence of the system as a whole. In order to understand the mechanism driving the complexity and stability of such food webs, we developed an eco-evolutionary model in which new species emerge as modifications of existing ones and dynamic ecological interactions determine which species are viable. The food-web structure thereby emerges from the dynamical interplay between speciation and trophic interactions. The proposed model is less abstract than earlier evolutionary food web models in the sense that all three evolving traits have a clear biological meaning, namely the average body mass of the individuals, the preferred prey body mass, and the width of their potential prey body mass spectrum. We observed networks with a wide range of sizes and structures and high similarity to natural food webs. The model networks exhibit a continuous species turnover, but massive extinction waves that affect more than 50% of the network are not observed.
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Belastung und Arbeitsfähigkeit des Europäischen Gerichtshofs für Menschenrechte: neuere Entwicklungen - Extraterritoriale Anwendbarkeit der Rassendiskriminierungskonvention - Globale Verantwortlichkeit oder traditionelles Souveränitätsdenken – Gründe für die Haltung zur “Responsibility to Protect” von nicht-westlichen Staaten
Global change, especially land-use intensification, affects human well-being by impacting the delivery of multiple ecosystem services (multifunctionality). However, whether biodiversity loss is a major component of global change effects on multifunctionality in real-world ecosystems, as in experimental ones, remains unclear. Therefore, we assessed biodiversity, functional composition and 14 ecosystem services on 150 agricultural grasslands differing in land-use intensity. We also introduce five multifunctionality measures in which ecosystem services were weighted according to realistic land-use objectives. We found that indirect land-use effects, i.e. those mediated by biodiversity loss and by changes to functional composition, were as strong as direct effects on average. Their strength varied with land-use objectives and regional context. Biodiversity loss explained indirect effects in a region of intermediate productivity and was most damaging when land-use objectives favoured supporting and cultural services. In contrast, functional composition shifts, towards fast-growing plant species, strongly increased provisioning services in more inherently unproductive grasslands.
We present results from VERITAS observations of the BL Lac object PG 1553+113 spanning the years 2010, 2011, and 2012. The time-averaged spectrum, measured between 160 and 560 GeV, is well described by a power law with a spectral index of 4.33 +/- 0.09. The time-averaged integral flux above 200 GeV measured for this period was (1.69 +/- 0.06) x 10(-11) photons cm(-2) s(-1), corresponding to 6.9% of the Crab Nebula flux. We also present the combined gamma-ray spectrum from the Fermi Large Area Telescope and VERITAS covering an energy range from 100 MeV to 560 GeV. The data are well fit by a power law with an exponential cutoff at 101.9 +/- 3.2 GeV. The origin of the cutoff could be intrinsic to PG 1553+113 or be due to the gamma-ray opacity of our universe through pair production off the extragalactic background light (EBL). Given lower limits to the redshift of z > 0.395 based on optical/UV observations of PG 1553+113, the cutoff would be dominated by EBL absorption. Conversely, the small statistical uncertainties of the VERITAS energy spectrum have allowed us to provide a robust upper limit on the redshift of PG 1553+113 of z <= 0.62. A strongly elevated mean flux of (2.50 +/- 0.14) x10(-11) photons cm(-2) s(-1) (10.3% of the Crab Nebula flux) was observed during 2012, with the daily flux reaching as high as (4.44 +/- 0.71) x10(-11) photons cm(-2) s(-1) (18.3% of the Crab Nebula flux) on MJD 56048. The light curve measured during the 2012 observing season is marginally inconsistent with a steady flux, giving a chi(2) probability for a steady flux of 0.03%.
We present the results of 71.6 hr of observations of the Geminga pulsar (PSR J0633+1746) with the VERITAS very-high-energy gamma-ray telescope array. Data taken with VERITAS between 2007 November and 2013 February were phase-folded using a Geminga pulsar timing solution derived from data recorded by the XMM-Newton and Fermi-LAT space telescopes. No significant pulsed emission above 100 GeV is observed, and we report upper limits at the 95% confidence level on the integral flux above 135 GeV (spectral analysis threshold) of 4.0x10(-13) s(-1) cm(-2) and 1.7 x 10(-13) s(-1) cm(-2) for the two principal peaks in the emission profile. These upper limits, placed in context with phase-resolved spectral energy distributions determined from 5 yr of data from the Fermi-Large Area Telescope (LAT), constrain possible hardening of the Geminga pulsar emission spectra above similar to 50 GeV.
Unprecedented study of the broadband emission of Mrk 421 during flaring activity in March 2010
(2015)
Context. Because of its proximity, Mrk 421 is one of the best sources on which to study the nature of BL Lac objects. Its proximity allows us to characterize its broadband spectral energy distribution (SED).
Aims. The goal is to better understand the mechanisms responsible for the broadband emission and the temporal evolution of Mrk 421. These mechanisms may also apply to more distant blazars that cannot be studied with the same level of detail.
Methods. A flare occurring in March 2010 was observed for 13 consecutive days (from MJD 55 265 to MJD 55 277) with unprecedented wavelength coverage from radio to very high energy (VHE; E > 100 GeV) gamma-rays with MAGIC, VERITAS, Whipple, Fermi-LAT, MAXI, RXTE, Swift, GASP-WEBT, and several optical and radio telescopes. We modeled the day-scale SEDs with one-zone and two-zone synchrotron self-Compton (SSC) models, investigated the physical parameters, and evaluated whether the observed broadband SED variability can be associated with variations in the relativistic particle population.
Results. The activity of Mrk 421 initially was high and then slowly decreased during the 13-day period. The flux variability was remarkable at the X-ray and VHE bands, but it was minor or not significant at the other bands. The variability in optical polarization was also minor. These observations revealed an almost linear correlation between the X-ray flux at the 2-10 keV band and the VHE gamma-ray flux above 200 GeV, consistent with the gamma-rays being produced by inverse-Compton scattering in the Klein-Nishina regime in the framework of SSC models. The one-zone SSC model can describe the SED of each day for the 13 consecutive days reasonably well, which once more shows the success of this standard theoretical scenario to describe the SEDs of VHE BL Lacs such as Mrk 421. This flaring activity is also very well described by a two-zone SSC model, where one zone is responsible for the quiescent emission, while the other smaller zone, which is spatially separated from the first, contributes to the daily variable emission occurring at X-rays and VHE gamma-rays. The second blob is assumed to have a smaller volume and a narrow electron energy distribution with 3 x 10(4) < gamma < 6 x 10(5), where. is the Lorentz factor of the electrons. Such a two-zone scenario would naturally lead to the correlated variability at the X-ray and VHE bands without variability at the optical/UV band, as well as to shorter timescales for the variability at the X-ray and VHE bands with respect to the variability at the other bands.
Conclusions. Both the one-zone and the two-zone SSC models can describe the daily SEDs via the variation of only four or five model parameters, under the hypothesis that the variability is associated mostly with the underlying particle population. This shows that the particle acceleration and cooling mechanism that produces the radiating particles might be the main mechanism responsible for the broadband SED variations during the flaring episodes in blazars. The two-zone SSC model provides a better agreement with the observed SED at the narrow peaks of the low-and high-energy bumps during the highest activity, although the reported one-zone SSC model could be further improved by varying the parameters related to the emitting region itself (delta, B and R), in addition to the parameters related to the particle population.
Aims. We perform an extensive characterization of the broadband emission of Mrk 421, as well as its temporal evolution, during the non-flaring (low) state. The high brightness and nearby location (z = 0.031) of Mrk 421 make it an excellent laboratory to study blazar emission. The goal is to learn about the physical processes responsible for the typical emission of Mrk 421, which might also be extended to other blazars that are located farther away and hence are more difficult to study.
Methods. We performed a 4.5-month multi-instrument campaign on Mrk 421 between January 2009 and June 2009, which included VLBA, F-GAMMA, GASP-WEBT, Swift, RXTE, Fermi-LAT, MAGIC, and Whipple, among other instruments and collaborations. This extensive radio to very-high-energy (VHE; E > 100 GeV) gamma-ray dataset provides excellent temporal and energy coverage, which allows detailed studies of the evolution of the broadband spectral energy distribution.
Results. Mrk421 was found in its typical (non-flaring) activity state, with a VHE flux of about half that of the Crab Nebula, yet the light curves show significant variability at all wavelengths, the highest variability being in the X-rays. We determined the power spectral densities (PSD) at most wavelengths and found that all PSDs can be described by power-laws without a break, and with indices consistent with pink/red-noise behavior. We observed a harder-when-brighter behavior in the X-ray spectra and measured a positive correlation between VHE and X-ray fluxes with zero time lag. Such characteristics have been reported many times during flaring activity, but here they are reported for the first time in the non-flaring state. We also observed an overall anti-correlation between optical /UV and X-rays extending over the duration of the campaign.
Conclusions. The harder-when-brighter behavior in the X-ray spectra and the measured positive X-ray/VHE correlation during the 2009 multiwavelength campaign suggests that the physical processes dominating the emission during non-flaring states have similarities with those occurring during flaring activity. In particular, this observation supports leptonic scenarios as being responsible for the emission of Mrk 421 during non-flaring activity. Such a temporally extended X-ray /VHE correlation is not driven by any single flaring event, and hence is difficult to explain within the standard hadronic scenarios. The highest variability is observed in the X-ray band, which, within the one-zone synchrotron self-Compton scenario, indicates that the electron energy distribution is most variable at the highest energies.
Context. Blazars are variable sources on various timescales over a broad energy range spanning from radio to very high energy (>100 GeV, hereafter VHE). Mrk 501 is one of the brightest blazars at TeV energies and has been extensively studied since its first VHE detection in 1996. However, most of the gamma-ray studies performed on Mrk 501 during the past years relate to flaring activity, when the source detection and characterization with the available gamma-ray instrumentation was easier to perform.
Aims. Our goal is to characterize the source gamma-ray emission in detail, together with the radio-to-X-ray emission, during the non-flaring (low) activity, which is less often studied than the occasional flaring (high) activity.
Methods. We organized a multiwavelength (MW) campaign on Mrk 501 between March and May 2008. This multi-instrument effort included the most sensitive VHE gamma-ray instruments in the northern hemisphere, namely the imaging atmospheric Cherenkov telescopes MAGIC and VERITAS, as well as Swift, RXTE, the F-GAMMA, GASP-WEBT, and other collaborations and instruments. This provided extensive energy and temporal coverage of Mrk 501 throughout the entire campaign.
Results. Mrk 501 was found to be in a low state of activity during the campaign, with a VHE flux in the range of 10%-20% of the Crab nebula flux. Nevertheless, significant flux variations were detected with various instruments, with a trend of increasing variability with energy and a tentative correlation between the X-ray and VHE fluxes. The broadband spectral energy distribution during the two different emission states of the campaign can be adequately described within the homogeneous one-zone synchrotron self-Compton model, with the (slightly) higher state described by an increase in the electron number density.
Conclusions. The one-zone SSC model can adequately describe the broadband spectral energy distribution of the source during the two months covered by the MW campaign. This agrees with previous studies of the broadband emission of this source during flaring and non-flaring states. We report for the first time a tentative X-ray-to-VHE correlation during such a low VHE activity. Although marginally significant, this positive correlation between X-ray and VHE, which has been reported many times during flaring activity, suggests that the mechanisms that dominate the X-ray/VHE emission during non-flaring-activity are not substantially different from those that are responsible for the emission during flaring activity.
Plant communities are often dispersal-limited and zoochory can be an efficient mechanism for plants to colonize new patches of potentially suitable habitat. We predicted that seed dispersal by ungulates acts as an ecological filter - which differentially affects individuals according to their characteristics and shapes species assemblages - and that the filter varies according to the dispersal mechanism (endozoochory, fur-epizoochory and hoof-epizoochory). We conducted two-step individual participant data meta-analyses of 52 studies on plant dispersal by ungulates in fragmented landscapes, comparing eight plant traits and two habitat indicators between dispersed and non-dispersed plants. We found that ungulates dispersed at least 44% of the available plant species. Moreover, some plant traits and habitat indicators increased the likelihood for plant of being dispersed. Persistent or nitrophilous plant species from open habitats or bearing dry or elongated diaspores were more likely to be dispersed by ungulates, whatever the dispersal mechanism. In addition, endozoochory was more likely for diaspores bearing elongated appendages whereas epizoochory was more likely for diaspores released relatively high in vegetation. Hoof-epizoochory was more likely for light diaspores without hooked appendages. Fur-epizoochory was more likely for diaspores with appendages, particularly elongated or hooked ones. We thus observed a gradient of filtering effect among the three dispersal mechanisms. Endozoochory had an effect of rather weak intensity (impacting six plant characteristics with variations between ungulate-dispersed and non-dispersed plant species mostly below 25%), whereas hoof-epizoochory had a stronger effect (eight characteristics included five ones with above 75% variation), and fur-epizoochory an even stronger one (nine characteristics included six ones with above 75% variation). Our results demonstrate that seed dispersal by ungulates is an ecological filter whose intensity varies according to the dispersal mechanism considered. Ungulates can thus play a key role in plant community dynamics and have implications for plant spatial distribution patterns at multiple scales.
This paper reopens the discussion on focus marking in Akan (Kwa,
Niger-Congo) by examining the semantics of the so-called focus marker
in the language. It is shown that the so-called focus marker expresses
exhaustivity when it occurs in a sentence with narrow focus. The study
employs four standard tests for exhaustivity proposed in the literature
to examine the semantics of Akan focus constructions (Szabolsci 1981,
1994; É. Kiss 1998; Hartmann and Zimmermann 2007). It is shown that
although a focused entity with the so-called focus marker nà is
interpreted to mean ‘only X and nothing/nobody else,’ this meaning
appears to be pragmatic.
Das 8. Herbsttreffen Patholinguistik mit dem Schwerpunktthema "Besonders behandeln? Sprachtherapie im Rahmen primärer Störungsbilder" fand am 15.11.2014 in Potsdam statt. Das Herbsttreffen wird seit 2007 jährlich vom Verband für Patholinguistik e.V. (vpl) durchgeführt.
Der vorliegende Tagungsband beinhaltet die vier Hauptvorträge zum Schwerpunktthema, die vier Kurzvorträge aus dem Spektrum Patholinguisitk sowie die Beiträge der Posterpräsentationen zu weiteren Themen aus der sprachtherapeutischen Forschung und Praxis.
We study the possibility of obtaining a computational turbulence model by means of non-dissipative regularisation of the compressible atmospheric equations for climate-type applications. We use an -regularisation (Lagrangian averaging) of the atmospheric equations. For the hydrostatic and compressible atmospheric equations discretised using a finite volume method on unstructured grids, deterministic and non-deterministic numerical experiments are conducted to compare the individual solutions and the statistics of the regularised equations to those of the original model. The impact of the regularisation parameter is investigated. Our results confirm the principal compatibility of -regularisation with atmospheric dynamics and encourage further investigations within atmospheric model including complex physical parametrisations.
Central Asia is located at the confluence of large-scale atmospheric circulation systems. It is thus likely to be highly susceptible to changes in the dynamics of those systems; however, little is still known about the regional paleoclimate history. Here we present carbon and hydrogen isotopic compositions of n-alkanoic acids from a late Holocene sediment core from Lake Karakuli (eastern Pamir, Xinjiang Province, China). Instrumental evidence and isotopeenabled climate model experiments with the Laboratoire de Meteorologie Dynamique Zoom model version 4 (LMDZ4) demonstrate that delta D values of precipitation in the region are influenced by both temperature and precipitation amount. We find that these parameters are inversely correlated on an annual scale, i.e., the climate has varied between relatively cool and wet and more warm and dry over the last 50 years. Since the isotopic signals of these changes are in the same direction and therefore additive, isotopes in precipitation are sensitive recorders of climatic changes in the region. Additionally, we infer that plants use year-round precipitation (including snowmelt), and thus leaf wax delta D values must also respond to shifts in the proportion of moisture derived from westerly storms during late winter and early spring. Downcore results give evidence for a gradual shift to cooler and wetter climates between 3.5 and 2.5 cal kyr BP, interrupted by a warm and dry episode between 3.0 and 2.7 kyr BP. Further cool and wet episodes occur between 1.9 and 1.5 and between 0.6 and 0.1 kyr BP, the latter coeval with the Little Ice Age. Warm and dry episodes from 2.5 to 1.9 and 1.5 to 0.6 kyr BP coincide with the Roman Warm Period and Medieval Climate Anomaly, respectively. Finally, we find a drying tend in recent decades. Regional comparisons lead us to infer that the strength and position of the westerlies, and wider northern hemispheric climate dynamics, control climatic shifts in arid Central Asia, leading to complex local responses. Our new archive from Lake Karakuli provides a detailed record of the local signatures of these climate transitions in the eastern Pamir.
Central Asia is located at the confluence of large-scale atmospheric circulation systems. It is thus likely to be highly susceptible to changes in the dynamics of those systems; however, little is still known about the regional paleoclimate history. Here we present carbon and hydrogen isotopic compositions of n-alkanoic acids from a late Holocene sediment core from Lake Karakuli (eastern Pamir, Xinjiang Province, China). Instrumental evidence and isotopeenabled climate model experiments with the Laboratoire de Meteorologie Dynamique Zoom model version 4 (LMDZ4) demonstrate that delta D values of precipitation in the region are influenced by both temperature and precipitation amount. We find that these parameters are inversely correlated on an annual scale, i.e., the climate has varied between relatively cool and wet and more warm and dry over the last 50 years. Since the isotopic signals of these changes are in the same direction and therefore additive, isotopes in precipitation are sensitive recorders of climatic changes in the region. Additionally, we infer that plants use year-round precipitation (including snowmelt), and thus leaf wax delta D values must also respond to shifts in the proportion of moisture derived from westerly storms during late winter and early spring. Downcore results give evidence for a gradual shift to cooler and wetter climates between 3.5 and 2.5 cal kyr BP, interrupted by a warm and dry episode between 3.0 and 2.7 kyr BP. Further cool and wet episodes occur between 1.9 and 1.5 and between 0.6 and 0.1 kyr BP, the latter coeval with the Little Ice Age. Warm and dry episodes from 2.5 to 1.9 and 1.5 to 0.6 kyr BP coincide with the Roman Warm Period and Medieval Climate Anomaly, respectively. Finally, we find a drying tend in recent decades. Regional comparisons lead us to infer that the strength and position of the westerlies, and wider northern hemispheric climate dynamics, control climatic shifts in arid Central Asia, leading to complex local responses. Our new archive from Lake Karakuli provides a detailed record of the local signatures of these climate transitions in the eastern Pamir.
Samples of 474 forest stands in Germany were analysed for concentrations of polycyclic aromatic hydrocarbons (PAHs) in three sampling depths. Enhanced concentrations were mainly found at spots relatively close to densely industrialized and urbanized regions and at some topographically elevated areas. Average enrichment factors between mineral soil and humic layer depend on humus type i.e. decrease from mull via moder to more Based on their compound-patterns, the observed samples could be assigned to three main clusters. For some parts of our study area a uniform assignment of samples to clusters over larger regions could be identified. For instance, samples taken at vicinity to brown-coal strip-mining districts are characterized by high relative abundances of low-molecular-weight PAHs. These results suggest that PAHs are more likely originated from local and regional emitters rather than from long-range transport and that specific source-regions can be identified based on PAH fingerprints. (C) 2015 Elsevier Ltd. All rights reserved.
Purpose: Ethnic minority groups show elevated suicide attempt rates across Europe. Evidence suggests a similar trend for women of Turkish origin in Germany, yet data on suicidal behaviour in minorities in Germany is scarce. The objective was to examine rates of suicidal behaviour, underlying motives, and to explore the effectiveness of an intervention program.
Methods: From 05/2009-09/2011, data on all suicide attempts among women of Turkish origin who presented at a hospital-based emergency unit in Berlin, Germany, were collected. A multi-modal intervention was conducted in 2010 and the effects of age, generation and the intervention on suicide attempt rates were examined.
Results: At the start, the highest rate was found in women aged 18-24 years with 225.4 (95% CI = 208.8-242.0)/100,000. Adjustment disorder was the most prevalent diagnosis with 49.7% (n = 79), being more common in second-generation women (P = .004). Further analyses suggested an effect of the intervention in the youngest age group (trend change of beta = -1.25; P = .017).
Conclusion: Our findings suggest a particularly high rate of suicide attempts by 18-24-year-old, second-generation women of Turkish origin in Berlin. Furthermore, our results suggest a trend change in suicide attempts in women aged 18-24 years related to a population-based intervention program. (C) 2015 Elsevier Masson SAS. All rights reserved.
Climate or Land Use?
(2015)
This study intends to contribute to the ongoing discussion on whether land use and land cover changes (LULC) or climate trends have the major influence on the observed increase of flood magnitudes in the Sahel. A simulation-based approach is used for attributing the observed trends to the postulated drivers. For this purpose, the ecohydrological model SWIM (Soil and Water Integrated Model) with a new, dynamic LULC module was set up for the Sahelian part of the Niger River until Niamey, including the main tributaries Sirba and Goroul. The model was driven with observed, reanalyzed climate and LULC data for the years 1950-2009. In order to quantify the shares of influence, one simulation was carried out with constant land cover as of 1950, and one including LULC. As quantitative measure, the gradients of the simulated trends were compared to the observed trend. The modeling studies showed that for the Sirba River only the simulation which included LULC was able to reproduce the observed trend. The simulation without LULC showed a positive trend for flood magnitudes, but underestimated the trend significantly. For the Goroul River and the local flood of the Niger River at Niamey, the simulations were only partly able to reproduce the observed trend. In conclusion, the new LULC module enabled some first quantitative insights into the relative influence of LULC and climatic changes. For the Sirba catchment, the results imply that LULC and climatic changes contribute in roughly equal shares to the observed increase in flooding. For the other parts of the subcatchment, the results are less clear but show, that climatic changes and LULC are drivers for the flood increase; however their shares cannot be quantified. Based on these modeling results, we argue for a two-pillar adaptation strategy to reduce current and future flood risk: Flood mitigation for reducing LULC-induced flood increase, and flood adaptation for a general reduction of flood vulnerability.
In the last decade, the number and dimensions of catastrophic flooding events in the Niger River Basin (NRB) have markedly increased. Despite the devastating impact of the floods on the population and the mainly agriculturally based economy of the riverine nations, awareness of the hazards in policy and science is still low. The urgency of this topic and the existing research deficits are the motivation for the present dissertation.
The thesis is an initial detailed assessment of the increasing flood risk in the NRB. The research strategy is based on four questions regarding (1) features of the change in flood risk, (2) reasons for the change in the flood regime, (3) expected changes of the flood regime given climate and land use changes, and (4) recommendations from previous analysis for reducing the flood risk in the NRB.
The question examining the features of change in the flood regime is answered by means of statistical analysis. Trend, correlation, changepoint, and variance analyses show that, in addition to the factors exposure and vulnerability, the hazard itself has also increased significantly in the NRB, in accordance with the decadal climate pattern of West Africa. The northern arid and semi-arid parts of the NRB are those most affected by the changes.
As potential reasons for the increase in flood magnitudes, climate and land use changes are attributed by means of a hypothesis-testing framework. Two different approaches, based on either data analysis or simulation, lead to similar results, showing that the influence of climatic changes is generally larger compared to that of land use changes. Only in the dry areas of the NRB is the influence of land use changes comparable to that of climatic alterations.
Future changes of the flood regime are evaluated using modelling results. First ensembles of statistically and dynamically downscaled climate models based on different emission scenarios are analyzed. The models agree with a distinct increase in temperature. The precipitation signal, however, is not coherent. The climate scenarios are used to drive an eco-hydrological model. The influence of climatic changes on the flood regime is uncertain due to the unclear precipitation signal. Still, in general, higher flood peaks are expected. In a next step, effects of land use changes are integrated into the model. Different scenarios show that regreening might help to reduce flood peaks. In contrast, an expansion of agriculture might enhance the flood peaks in the NRB. Similarly to the analysis of observed changes in the flood regime, the impacts of climate- and land use changes for the future scenarios are also most severe in the dry areas of the NRB.
In order to answer the final research question, the results of the above analysis are integrated into a range of recommendations for science and policy on how to reduce flood risk in the NRB. The main recommendations include a stronger consideration of the enormous natural climate variability in the NRB and a focus on so called “no-regret” adaptation strategies which account for high uncertainty, as well as a stronger consideration of regional differences. Regarding the prevention and mitigation of catastrophic flooding, the most vulnerable and sensitive areas in the basin, the arid and semi-arid Sahelian and Sudano-Sahelian regions, should be prioritized. Eventually, an active, science-based and science-guided flood policy is recommended. The enormous population growth in the NRB in connection with the expected deterioration of environmental and climatic conditions is likely to enhance the region´s vulnerability to flooding. A smart and sustainable flood policy can help mitigate these negative impacts of flooding on the development of riverine societies in West Africa.
A concentrated solution of a symmetric triblock copolymer with a thermoresponsive poly(methoxy diethylene glycol acrylate) (PMDEGA) middle block and short hydrophobic, fully deuterated polystyrene end blocks is investigated in D2O where it undergoes a lower critical solution temperature-type phase transition at ca. 36 A degrees C. Small-angle neutron scattering (SANS) in a wide temperature range (15-50 A degrees C) is used to characterize the size and inner structure of the micelles as well as the correlation between the micelles and the formation of aggregates by the micelles above the cloud point (CP). A model featuring spherical core-shell micelles, which are correlated by a hard-sphere potential or a sticky hard-sphere potential together with a Guinier form factor describing aggregates formed by the micelles above the CP, fits the SANS curves well in the entire temperature range. The thickness of the thermoresponsive micellar PMDEGA shell as well as the hard-sphere radius increase slightly already below the cloud point. Whereas the thickness of the thermoresponsive micellar shell hardly shrinks when heating through the CP and up to 50 A degrees C, the hard-sphere radius decreases within 3.5 K at the CP. The volume fraction decreases already significantly below the CP, which may be at the origin of the previously observed gel-sol transition far below the CP (Miasnikova et al., Langmuir 28: 4479-4490, 2012). Above the CP, small, and at higher temperatures, large aggregates are formed by the micelles.
We assessed intra-individual variability of response times (RT) and single-trial P3 amplitudes following targets in healthy adults during a Flanker/NO-GO task. RT variability and variability of the neural responses coupled at the faster frequencies examined (0.07-0.17 Hz) at Pz, the target-P3 maxima, despite non-significant associations for overall variability (standard deviation, SD). Frequency-specific patterns of variability in the single-trial P3 may help to understand the neurophysiology of RT variability and its explanatory models of attention allocation deficits beyond intra-individual variability summary indices such as SD.
Aging is a highly controlled biological process characterized by a progressive deterioration of various cellular activities. One of several hallmarks of aging describes a link to transcriptional alteration, suggesting that it may impact the steady-state mRNA levels. We analyzed the mRNA steady-state levels of polyCAG-encoding transgenes and endogenous genes under the control of well-characterized promoters for intestinal (vha-6), muscular (unc-54, unc-15) and pan-neuronal (rgef-1, unc-119) expression in the nematode Caenorhabditis elegans. We find that there is not a uniform change in transcriptional profile in aging, but rather a tissue-specific difference in the mRNA levels of these genes. While levels of mRNA in the intestine (vha-6) and muscular (unc-54, unc-15) cells decline with age, pan-neuronal tissue shows more stable mRNA expression (rgef-1, unc-119) which even slightly increases with the age of the animals. Our data on the variations in the mRNA abundance from exemplary cases of endogenous and transgenic gene expression contribute to the emerging evidence for tissue-specific variations in the aging process.
The mechanisms by which climate and vegetation affect erosion rates over various time scales lie at the heart of understanding landscape response to climate change. Plot-scale field experiments show that increased vegetation cover slows erosion, implying that faster erosion should occur under low to moderate vegetation cover. However, demonstrating this concept over long time scales and across landscapes has proven to be difficult, especially in settings complicated by tectonic forcing and variable slopes. We investigate this problem by measuring cosmogenic Be-10-derived catchment-mean denudation rates across a range of climate zones and hillslope gradients in the Kenya Rift, and by comparing our results with those published from the Rwenzori Mountains of Uganda. We find that denudation rates from sparsely vegetated parts of the Kenya Rift are up to 0.13 mm/yr, while those from humid and more densely vegetated parts of the Kenya Rift flanks and the Rwenzori Mountains reach a maximum of 0.08 mm/yr, despite higher median hillslope gradients. While differences in lithology and recent land-use changes likely affect the denudation rates and vegetation cover values in some of our studied catchments, hillslope gradient and vegetation cover appear to explain most of the variation in denudation rates across the study area. Our results support the idea that changing vegetation cover can contribute to complex erosional responses to climate or land-use change and that vegetation cover can play an important role in determining the steady-state slopes of mountain belts through its stabilizing effects on the land surface.
Supernova remnants (SNRs) are among the most important targets for gamma-ray observatories. Being prominent non-thermal sources, they are very likely responsible for the acceleration of the bulk of Galactic cosmic rays (CRS). To firmly establish the SNR paradigm for the origin of cosmic rays, it should be confirmed that protons are indeed accelerated in, and released from, SNRs with the appropriate flux and spectrum. This can be done by detailed theoretical models which account for microphysics of acceleration and various radiation processes of hadrons and leptons. The current generation of Cherenkov telescopes has insufficient sensitivity to constrain theoretical models. A new facility, the Cherenkov Telescope Array (CTA), will have superior capabilities and may finally resolve this long standing issue of high-energy astrophysics. We want to assess the capabilities of CTA to reveal the physics of various types of SNRs in the initial 2000 years of their evolution. During this time, the efficiency to accelerate cosmic rays is highest. We perform time-dependent simulations of the hydrodynamics, the magnetic fields, the cosmic-ray acceleration, and the non-thermal emission for type Ia, Ic and IIP SNRs. We calculate the CTA response to the y-ray emission from these SNRs for various ages and distances, and we perform a realistic analysis of the simulated data. We derive distance limits for the detectability and resolvability of these SNR types at several ages. We test the ability of CTA to reconstruct their morphological and spectral parameters as a function of their distance. Finally, we estimate how well CTA data will constrain the theoretical models. (C) 2014 Elsevier B.V. All rights reserved.
Towards the assimilation of tree-ring-width records using ensemble Kalman filtering techniques
(2015)
This paper investigates the applicability of the Vaganov–Shashkin–Lite (VSL) forward model for tree-ring-width chronologies as observation operator within a proxy data assimilation (DA) setting. Based on the principle of limiting factors, VSL combines temperature and moisture time series in a nonlinear fashion to obtain simulated TRW chronologies. When used as observation operator, this modelling approach implies three compounding, challenging features: (1) time averaging, (2) “switching recording” of 2 variables and (3) bounded response windows leading to “thresholded response”. We generate pseudo-TRW observations from a chaotic 2-scale dynamical system, used as a cartoon of the atmosphere-land system, and attempt to assimilate them via ensemble Kalman filtering techniques. Results within our simplified setting reveal that VSL’s nonlinearities may lead to considerable loss of assimilation skill, as compared to the utilization of a time-averaged (TA) linear observation operator. In order to understand this undesired effect, we embed VSL’s formulation into the framework of fuzzy logic (FL) theory, which thereby exposes multiple representations of the principle of limiting factors. DA experiments employing three alternative growth rate functions disclose a strong link between the lack of smoothness of the growth rate function and the loss of optimality in the estimate of the TA state. Accordingly, VSL’s performance as observation operator can be enhanced by resorting to smoother FL representations of the principle of limiting factors. This finding fosters new interpretations of tree-ring-growth limitation processes.
Extract: Topics in psycholinguistics and the neurocognition of language rarely attract the attention of journalists or the general public. One topic that has done so, however, is the potential benefits of bilingualism for general cognitive functioning and development, and as a precaution against cognitive decline in old age. Sensational claims have been made in the public domain, mostly by journalists and politicians. Recently (September 4, 2014) The Guardian reported that “learning a foreign language can increase the size of your brain”, and Michael Gove, the UK's previous Education Secretary, noted in an interview with The Guardian (September 30, 2011) that “learning languages makes you smarter”. The present issue of BLC addresses these topics by providing a state-of-the-art overview of theoretical and experimental research on the role of bilingualism for cognition in children and adults.
Extract: Topics in psycholinguistics and the neurocognition of language rarely attract the attention of journalists or the general public. One topic that has done so, however, is the potential benefits of bilingualism for general cognitive functioning and development, and as a precaution against cognitive decline in old age. Sensational claims have been made in the public domain, mostly by journalists and politicians. Recently (September 4, 2014) The Guardian reported that “learning a foreign language can increase the size of your brain”, and Michael Gove, the UK's previous Education Secretary, noted in an interview with The Guardian (September 30, 2011) that “learning languages makes you smarter”. The present issue of BLC addresses these topics by providing a state-of-the-art overview of theoretical and experimental research on the role of bilingualism for cognition in children and adults.
Re-observations with the HESS telescope array of the very high-energy (VHE) source HESS J1018-589A that is coincident with the Fermi-LAT gamma-ray binary 1FGL J1018.6-5856 have resulted in a source detection significance of more than 9 sigma and the detection of variability (chi(2)/nu of 238.3/155) in the emitted gamma-ray flux. This variability confirms the association of HESS J1018-589A with the high-energy gamma-ray binary detected Fermi-LAT and also confirms the point-like source as a new VHE binary system. The spectrum of HESS J1018-589A is best fit with a power-law function with photon index Gamma = 2.20 +/- 0.14(stat) +/- 0.2(sys). Emission is detected up to similar to 20 TeV. The mean differential flux level is (2.9 +/- 0.4) x 10(-13) TeV-1 cm(-2) s(-1) at 1 TeV, equivalent to similar to 1% of the flux from the Crab Nebula at the same energy. Variability is clearly detected the night-by-night light curve. When folded on the orbital period of 16.58 days, the rebinned light curve peaks in phase with the observed X-ray high-energy phaseograms. The fit of the HESS phaseogram to a constant flux provides evidence of periodicity at the level of N-sigma > 3 sigma. The of the VHE phaseogram and measured spectrum suggest a low-inclination, low-eccentricity system with a modest impact from VHE gamma-ray due to pair production (tau less than or similar to 1 at 300 GeV).
G349.7+0.2 is a young Galactic supernova remnant (SNR) located at the distance of 11.5 kpc and observed across the entire electromagnetic spectrum from radio to high energy (HE; 0.1 GeV < E < 100 GeV) gamma-rays. Radio and infrared observations indicate that the remnant is interacting with a molecular cloud. In this paper, the detection of very high energy (VHE, E > 100 GeV) gamma-ray emission coincident with this SNR with the High Energy Stereoscopic System (HESS.) is reported. This makes it one of the farthest Galactic SNR ever detected in this domain. An integral flux F(E > 400 GeV) = (6.5 +/- 1.1(stat) +/- 1.3(syst)) x 10-11 ph cm(-2) s(-1) corresponding to similar to 0.7% of that of the Crab Nebula and to a luminosity of similar to 10(34) erg s(-1) above the same energy threshold, and a steep photon index Gamma(VHE) = 2.8 +/- 0.27(stat) +/- 0.20(syst) are measured. The analysis of more than 5 yr of Fermi-LAT data towards this source shows a power-law like spectrum with a best-fit photon index Gamma(HE) = 2.2 +/- 0.04.2(stat-0.31sys)(+0.13), The combined gamma-ray spectrum of 0349.7+0.2 can be described by either a broken power law (I3PL) or a power law with exponential (or sub exponential) cutoff (PLC). In the former case, the photon break energy is found at E-br,E-gamma = 551(-30)(+70) GeV, slightly higher than what is usually observed in the HE/VHE gamma-ray emitting middle-aged SNRs known to be interacting with molecular clouds. In the latter case. the exponential (respectively sub-exponential) cutoff energy is measured at E-cat,E-gamma = 1.4(-0.55)(+1.6) (respectively 0.35(-0.21)(+0.75)) TeV. A pion decay process resulting from the interaction of the accelerated protons and nuclei with the dense surrounding medium is clearly the preferred scenario to explain the gamma-ray emission. The BPL with a spectral steepening of 0.5-1 and the PLC provide equally good fits to the data. The product or the average gas density and the total energy content of accelerated protons and nuclei amounts to nu W-p similar to 5 x 10(51) erg cm(-3)
Context. Puppis A is an interesting similar to 4 kyr-old supernova remnant (SNR) that shows strong evidence of interaction between the forward shock and a molecular cloud. It has been studied in detail from radio frequencies to high-energy (HE, 0.1-100 GeV) gamma-rays. An analysis of the Fermi-LAT data has shown extended HE gamma-ray emission with a 0.2-100 GeV spectrum exhibiting no significant deviation from a power law, unlike most of the GeV-emitting SNRs known to be interacting with molecular clouds. This makes it a promising target for imaging atmospheric Cherenkov telescopes (IACTs) to probe the gamma-ray emission above 100 GeV.
Aims. Very-high-energy (VHE, E >= 0.1 TeV) gamma-ray emission from Puppis A has been, for the first time, searched for with the High Energy Stereoscopic System (HESS.).
Methods. Stereoscopic imaging of Cherenkov radiation from extensive air showers is used to reconstruct the direction and energy of the incident gamma-rays in order to produce sky images and source spectra. The profile likelihood method is applied to find constraints on the existence of a potential break or cutoff in the photon spectrum.
Results. The analysis of the HESS. data does not reveal any significant emission towards Puppis A. The derived upper limits on the differential photon flux imply that its broadband gamma-ray spectrum must exhibit a spectral break or cutoff. By combining Fermi-LAT and HESS. measurements, the 99% confidence-level upper limits on such a cutoff are found to be 450 and 280 GeV, assuming a power law with a simple exponential and a sub-exponential cutoff, respectively. It is concluded that none of the standard limitations (age, size, radiative losses) on the particle acceleration mechanism, assumed to be continuing at present, can explain the lack of VHE signal. The scenario in which particle acceleration has ceased some time ago is considered as an alternative explanation. The HE/VHE spectrum of Puppis A could then exhibit a break of non-radiative origin (as observed in several other interacting SNRs, albeit at somewhat higher energies), owing to the interaction with dense and neutral material, in particular towards the NE region.
An annihilation signal of dark matter is searched for from the central region of the Milky Way. Data acquired in dedicated on-off observations of the Galactic center region with H.E.S.S. are analyzed for this purpose. No significant signal is found in a total of similar to 9 h of on-off observations. Upper limits on the velocity averaged cross section, <sigma upsilon >, for the annihilation of dark matter particles with masses in the range of similar to 300 GeV to similar to 10 TeV are derived. In contrast to previous constraints derived from observations of the Galactic center region, the constraints that are derived here apply also under the assumption of a central core of constant dark matter density around the center of the Galaxy. Values of <sigma upsilon > that are larger than 3 x 10(-24) cm(3)/s are excluded for dark matter particles with masses between similar to 1 and similar to 4 TeV at 95% C.L. if the radius of the central dark matter density core does not exceed 500 pc. This is the strongest constraint that is derived on <sigma upsilon > for annihilating TeV mass dark matter without the assumption of a centrally cusped dark matter density distribution in the search region.
Very high energy (VHE, E > 100 GeV)gamma-ray flaring activity of the high-frequency peaked BL Lac object PG 1553 + 113 has been detected by the H.E.S.S. telescopes. The flux of the source increased by a factor of 3 during the nights of 2012 April 26 and 27 with respect to the archival measurements with a hint of intra-night variability. No counterpart of this event has been detected in the Fermi-Large Area Telescope data. This pattern is consistent with VHE gamma(-)ray flaring being caused by the injection of ultrarelativistic particles, emitting.-rays at the highest energies. The dataset offers a unique opportunity to constrain the redshift of this source at z = 0.49 +/- 0.04 using a novel method based on Bayesian statistics. The indication of intra-night variability is used to introduce a novel method to probe for a possible Lorentz invariance violation (LIV), and to set limits on the energy scale at which Quantum Gravity (QG) effects causing LIV may arise. For the subluminal case, the derived limits are E-QG,E- 1 > 4.10 x 10(17) GeV and E-QG,E- 2 > 2.10 x 10(10) GeV for linear and quadratic LIV effects, respectively.
The Large Magellanic Cloud, a satellite galaxy of the Milky Way, has been observed with the High Energy Stereoscopic System (H.E.S.S.) above an energy of 100 billion electron volts for a deep exposure of 210 hours. Three sources of different types were detected: the pulsar wind nebula of the most energetic pulsar known, N 157B; the radio-loud supernova remnant N 132D; and the largest nonthermal x-ray shell, the superbubble 30 Dor C. The unique object SN 1987A is, unexpectedly, not detected, which constrains the theoretical framework of particle acceleration in very young supernova remnants. These detections reveal the most energetic tip of a g-ray source population in an external galaxy and provide via 30 Dor C the unambiguous detection of g-ray emission from a superbubble.
Aims. Previous observations with the High Energy Stereoscopic System (H.E.S.S.) have revealed an extended very-high-energy (VHE; E > 100 GeV) gamma-ray source, HESS J1834-087, coincident with the supernova remnant (SNR) W41. The origin of the gamma-ray emission was investigated in more detail with the H.E.S.S. array and the Large Area Telescope (LAT) onboard the Fermi Gamma-ray Space Telescope.
Methods. The gamma-ray data provided by 61 h of observations with H.E.S.S., and four years with the Fermi LAT were analyzed, covering over five decades in energy from 1.8 GeV up to 30 TeV. The morphology and spectrum of the TeV and GeV sources were studied and multiwavelength data were used to investigate the origin of the gamma-ray emission toward W41.
Results. The TeV source can be modeled with a sum of two components: one point-like and one significantly extended (sigma(TeV) = 0.17 degrees +/- 0.01 degrees), both centered on SNR W41 and exhibiting spectra described by a power law with index Gamma(TeV) similar or equal to 2.6. The GeV source detected with Fermi LAT is extended (sigma(GeV) = 0.15 degrees +/- 0.03 degrees) and morphologically matches the VHE emission. Its spectrum can be described by a power-law model with an index Gamma(GeV) = 2.15 +/- 0.12 and smoothly joins the spectrum of the whole TeV source. A break appears in the gamma-ray spectra around 100 GeV. No pulsations were found in the GeV range.
Conclusions. Two main scenarios are proposed to explain the observed emission: a pulsar wind nebula (PWN) or the interaction of SNR W41 with an associated molecular cloud. X-ray observations suggest the presence of a point-like source (a pulsar candidate) near the center of the remnant and nonthermal X-ray diffuse emission that could arise from the possibly associated PWN. The PWN scenario is supported by the compatible positions of the TeV and GeV sources with the putative pulsar. However, the spectral energy distribution from radio to gamma-rays is reproduced by a one-zone leptonic model only if an excess of low-energy electrons is injected following a Maxwellian distribution by a pulsar with a high spin-down power (> 10(37) erg s(-1)). This additional low-energy component is not needed if we consider that the point-like TeV source is unrelated to the extended GeV and TeV sources. The interacting SNR scenario is supported by the spatial coincidence between the gamma-ray sources, the detection of OH (1720 MHz) maser lines, and the hadronic modeling.
The gamma-ray spectrum of the low-frequency-peaked BL Lac (LBL) object AP Librae is studied, following the discovery of very-high-energy (VHE; E > 100 GeV) gamma-ray emission up to the TeV range by the H.E.S.S. experiment. Thismakes AP Librae one of the few VHE emitters of the LBL type. The measured spectrum yields a flux of (8.8 +/- 1.5(stat) +/- 1.8(sys)) x 10(-12) cm(-2) s(-1) above 130 GeV and a spectral index of Gamma = 2.65 +/- 0.19(stat) +/- 0.20(sys). This study also makes use of Fermi-LAT observations in the high energy (HE, E > 100 MeV) range, providing the longest continuous light curve (5 years) ever published on this source. The source underwent a flaring event between MJD 56 306-56 376 in the HE range, with a flux increase of a factor of 3.5 in the 14 day bin light curve and no significant variation in spectral shape with respect to the low-flux state. While the H.E.S.S. and (low state) Fermi-LAT fluxes are in good agreement where they overlap, a spectral curvature between the steep VHE spectrum and the Fermi-LAT spectrum is observed. The maximum of the gamma-ray emission in the spectral energy distribution is located below the GeV energy range.
Reproducibility is a defining feature of science, but the extent to which it characterizes current research is unknown. We conducted replications of 100 experimental and correlational studies published in three psychology journals using high-powered designs and original materials when available. Replication effects were half the magnitude of original effects, representing a substantial decline. Ninety-seven percent of original studies had statistically significant results. Thirty-six percent of replications had statistically significant results; 47% of original effect sizes were in the 95% confidence interval of the replication effect size; 39% of effects were subjectively rated to have replicated the original result; and if no bias in original results is assumed, combining original and replication results left 68% with statistically significant effects. Correlational tests suggest that replication success was better predicted by the strength of original evidence than by characteristics of the original and replication teams.
Warum Religion?
(2015)
Die meisten Religionen versprechen ein Leben nachdem Tod, in dem es glücklicher oder gerechter oder sonst wie besser zugehen soll als auf der Erde. Wie schön wäre es, wenn wir wirklich auf ein ewiges Leben in der Gegenwart Gottes oder auf ein neues Leben in einem unverbrauchten Körper hoffen könnten! Wir könnten gelassener mit irdischem Scheitern umgehen und eher loslassen, wenn wir sicher sein könnten, dass alles, was uns hier widerfährt, nur ein Übergang in eine bessere Existenz ist. Aber lenken die Religionen mit solchen Versprechungen nicht nur von irdischen Missständen ab? Mit solchen Argumenten sind die Religionen als Opium des Volkes in Sippenhaft genommen worden. Jenseits dessen stellt sich das Problem des szientistischen Zweifels. Wie soll mich eine religiöse Überzeugung durch mein Leben tragen, wenn die Überzeugung nicht überzeugend ist? Ist es wirklich glaubwürdig, dass Jesus von Nazareth nach drei Tagen im Grab wieder auferstanden sein soll? Wenn ich das nicht glauben kann, kann ich auch nicht an meine eigene Auferstehung glauben. Wohl kaum eine andere Religionsphilosophie stellt eine so enge Beziehung zwischen religiösem Glauben und irdischem Wohlergehen her wie die des amerikanischen Pragmatismus: Bei William James heißt es ausdrücklich, dass ein religiöser Glaube das Leben »leicht und glücklich« machen könne. Und kaum eine Religionsphilosophie benennt so deutlich das Problem des szientistischen Zweifels. Im ersten Teil des Buches, Religion, pragmatisch betrachtet, befassen sich Johannes Ev. Hafner, Christian Thies und Christoph Türcke mit der Funktion von Religion in unserer Gesellschaft und in unseren konkreten Lebensvollzügen. Im zweiten Teil stellen Michael Blume, Matthias Jung, Ludwig Nagl und Marie-Luise Raters Positionen der pragmatistischen Religionsphilosophie auf den Prüfstand.
Editorial (Dr. Roswitha Lohwaßer) ; Erwartungen und Ziele. Fragen der kentron-Redaktion an die Mitglieder der Versammlung des Zentrums für Lehrerbildung und Bildungsforschung (Prof. Dr. Bernd Meier, Prof. Dr. Agi Schründer, Prof. Dr. Andreas Borowski, Prof. Dr. Erin Gerlach, Matthias Schall, Prof. Dr. Martin Leubner, Prof. Dr. Bernd Schmidt) ; PSI - Potsdam. Professionalisierung - Schulpraktische Studien - Inklusion: Potsdamer Modell der Lehrerbildung (Dr. Jolanda Hermanns) ; Professionalisierung. Verbesserung des Professionswissens von Lehramtsstudierenden durch Integration von fachwissenschaftlichen und fachdidaktischen Ausbildungsanteilen (Dr. Ingrid Glowinksi) ; Schulpraktische Studien. Stärkung des Kompetenzerwerbs bei der Integration schulpraktischer Elemente (Prof. Dr. Andreas Borowski) ; Inklusion und Heterogenität (Prof. Dr. Antje Ehlert)
Reworking postcolonialism
(2015)
An interdisciplinary collection of essays, Reworking Postcolonialism explores questions of work, precarity, migration, minority and indigenous rights in relation to contemporary globalization. It focuses on the impact of global market forces on the formation of new subject positions among urban dwellers, exiles, and other disenfranchised communities. Bringing together political, economic and literary approaches to texts and events from across the postcolonial world, the essays collected here investigate the transformative effects of the global dissemination of capital and goods and the movements of people. They call for a revision of existing discourses on rights, entitlements and citizenship.
Politische Bildung
(2015)
Die Reihe Politische Bildung vermittelt zwischen den vielfältigen Gegenständen des Politischen und der Auseinandersetzung mit diesen Gegenständen in politischen Bildungsprozessen an Schulen, außerschulischen Einrichtungen und Hochschulen. Deshalb werden theoretische Grundlagen, empirische Studien und handlungsanleitende Konzeptionen zur politischen Bildung vorgestellt, um unterschiedliche Zugänge und Sichtweisen zu Theorie und Praxis politischer Bildung aufzuzeigen und zur Diskussion zu stellen. Die Reihe Politische Bildung wendet sich an Studierende, Referendare und Lehrende der schulischen und außerschulischen politischen Bildung.
Nachhaltige Grundsicherung
(2015)
Wie lässt sich Armut weltweit überwinden, ohne dabei auf einen Fortschritt zu setzen, der die Biosphäre überlastet und die Lebensgrundlagen der Menschheit zerstört? Die Autorinnen und Autoren haben im interdisziplinären Gespräch nach Antworten auf diese Frage gesucht und je eigene, teils überraschende Schlussfolgerungen formuliert. Ihren Ansatz nennen sie „Nachhaltige Grundsicherung“. Dabei handelt es sich weniger um ein isoliertes sozialpolitisches Instrument, sondern vielmehr um ein Geflecht von Maßnahmen, die als Grundelemente einer Großen Transformation unserer Produktions-, Konsum- und Lebensweisen und einer Post-2015-Agenda dienen könnten.
Editorial (Dr. Roswitha Lohwaßer) ; Inklusion braucht Struktur. Impulse aus dem Response-to-Intervention-Modell für die Gestaltung eines inklusiven Wandels (Prof. Dr. Christian Huber) ; MoBas-TaPir-FeSch. Heterogenität und Inklusion an der Humanwissenschaftlichen Fakultät (Prof. Dr. Barbara Höhle und Dr. Julia Festman) ; Kinder mit Lernstörungen professionell begleiten. Was gebraucht und wer gebraucht wird (Beatrice Trüeb, Marina Rottig) ; Sprachliches Denken und seine Bedeutung beim mathematischen Lernen (Dr. Jörg Kwapis) ; Konzeptionelle Veränderungen der schulpraktischen Studien im Rahmen des IEP. Status quo der Umsetzung und Ausblick (Jörn Simon) ; Meine Ausrichtung des Sachunterrichts (Prof. Dr. Hartmut Giest) ; Mehr Medienkompetenz in der Lehramtsausbildung (Christian Bleek und Cornelia Brückner) ; Phoniatrisches Gutachten. Sprecherziehung für zukünftige Lehrerinnen und Lehrer
hat an der Universität Tradition (Katharina Paulke) ; Satzung für das Zentrums für Lehrerbildung und Bildungsforschung der Universität Potsdam
Literatur und Malerei sind im Frankreich des 19. Jahrhunderts aufs Engste miteinander verknüpft. Sie bringen ein geradezu unerschöpfliches Arsenal an malenden Dichtern beziehungsweise dichtenden Malern hervor. Wie lässt sich dieser reiche Bestand fruchtbar machen für die jüngsten theoretischen Studien der vielzitierten „Wende zum Bild“? Und umgekehrt: Welche neuen Lesarten gewinnen diese sowohl literarischen als auch künstlerischen Primärmaterialien im Fokus der aktuellen theoretischen Arbeiten?
Vor dem Hintergrund des gegenwärtig transdisziplinär diskutierten iconic turn, aber auch ausgehend von Studien zum konkreten Zusammenspiel von Text- und Bildmedium, fragt dieser Band nach dem Potential der Interferenz von Visualisierungs-, Visibilisierungs- und Verschriftlichungsstrategien im Frankreich des 19. Jahrhunderts. Er widmet sich Fragen der Repräsentation, des Bildens und des Bildes und versteht sich als Beitrag zu einer bildwissenschaftlich informierten Literaturund Kulturwissenschaft.
Este volumen se ha propuesto incluir no solamente los debates teóricos y metodológicos con respecto a la posible definición del microrrelato como "cuarto género" y los diversos análisis sobre el desarrollo y la historia del mismo, sino también relacionar la minificción literaria con otras prácticas simbólicas (como las minificciones cinematográficas, etc.), y considerar las nuevas posibilidades de difusión de la minificción en los medios masivos de comunicación y, sobre todo, en las redes sociales (Facebook, Twitter) y en el Internet en general. En los cuatro apartados del volumen, sus autores se ocupan de la teoría del género y la historia del micorrelato literario; analizan la intertextualidad del nuevo género; interpretan una serie de minificciones literarias de autoras y autores hispanoamericanos y españoles; y consideran otras formas de lo micromediático, los litblogs, la producción de microrrelatos en las redes sociales, y las minificciones cinematográficas.
The fourth volume in the LAPASEC series (Landau-Paris Studies on the Eighteenth Century), this collection of essays is based on an international conference held in Landau, in June 2014. The symposium united scholars from the United States, Britain, France, Germany, and Spain. The best papers delivered at this occasion were augmented with additional contributions by scholars working on aspects of the (landscape) garden in the long eighteenth century. Focussing on some neglected aspects of the discourse on gardens in the Enlightenment and in early Romanticism, the book systematically unfolds the variety and importance of European garden culture in a comparative perspective. Particular attention is given to the special configuration of discourses concerned with the garden that actually had an impact on writing and planning. This configuration consisted of theory, praxis, and the metaphorical as well as concrete appropriation of both. This is the reason why the book is divided into three parts – the theory of gardens, the garden as utopos and eutopos between Cythera and pleasure garden, and the exotic (non-European) garden and its influence on the Old World. The assessment of the discourse on gardens of the long eighteenth century thus covers a relatively large area. What the three parts have in common is the fact that they focus especially on the rhizomatic connection of the discourses. Partly derived from botany, the idea of the rhizome, further developed and theorized by Deleuze and Guattari, seems to be a concept of thinking that is particularly well suited for the enterprise undertaken in this book. With the present collection of scholarly essays from five countries, the editors hope to make accessible important contemporary research on the garden in the spirit of Voltaire who famously urged his contemporaries: "il faut cultiver notre jardin". This book not only "cultivates" the garden in Voltaire's sense, it also demonstrates how the discourse on the garden affected.
Der kurdische Knoten
(2015)
Alles nur Strategie?
(2015)
Neues Denken in der DDR
(2015)
Das Ende des Kalten Krieges brachte keine Ära des Friedens. Dabei hätte es ermöglicht, der Menschheitsgeschichte eine positive Wendung zu geben. Im „Neuen Denken“ waren deren Umrisse angelegt: Der mit nuklear-strategischen Waffen geführte Krieg hätte die Menschheit vernichtet. Es gibt nur noch gleiche und gemeinsame Sicherheit für alle Seiten oder keine. Im Westen wurde das „Neue Denken“ jedoch als Moment des Scheiterns des Realsozialismus angesehen, nicht als Chance. In diesem Band wird präsentiert, was in der DDR bis 1990 dazu konzeptionell entwickelt wurde.
Friedhelm Hufen ist geboren im letzten Kriegswinter in Winterberg, im Sauerland, aufgewachsen ist er in Leverkusen und Münster. Studiert hat er in Münster,
Freiburg und Princeton. Insbesondere der Aufenthalt in den Vereinigten Staaten hat durch die damalige Rechtsprechung des Supreme Courts und die Erfahrung des melting pot sein Freiheits- und Verfahrensverständnis nachhaltig geprägt. Den
größten Einfluss auf Friedhelm Hufen aber hatten seine akademischen Lehrer:
Hans-Peter Schneider, der seine Habilitation in Hannover betreut hat, sowie vor allem sein Freiburger Doktorvater Konrad Hesse. Das politische, realitätsbezogene und integrative Verfassungsverständnis hat hier seinen Ursprung und findet sich
sowohl in der Dissertation zum Thema Gleichheitssatz und Bildungsplanung als auch in der Habilitationsschrift zur Freiheit der Kunst in staatlichen Institutionen.
Friedhelm Hufen denkt nicht vom Staat, sondern von der Verfassung her. Das Grundgesetz hat elementare Bedeutung für sein Rechtsverständnis und seine Sicht auf die Wissenschaften vom Recht. Die Verfassung ist für ihn nicht allein eine
Rechtsnorm, sondern sie ist der Gesamtzustand eines politischen Gemeinwesens, das sich mit der Verfassung zugleich ein Gesetz dafür gegeben hat, wie das Zusammenleben der Menschen organisiert sein soll. Denken von der Verfassung her bedeutet für Friedhelm Hufen wiederum Denken von der Freiheit her. Freiheit
und Verantwortung sind für ihn zwei Seiten einer Medaille. Seine Abschiedsvorlesung in Mainz war dem Motto Selbst Denken; gewidmet. Das Kantsche Diktum "sapere aude" stand dabei Pate. Weil ihm Freiheit so wichtig ist, bevorzugt Friedhelm Hufen staatliche Organisationsstrukturen, die eine möglichst große Gewähr für Freiheit und Pluralismus bieten: den Bundesstaat und alle Formen der Selbstverwaltung.
Kaiser Konstantins Hinwendung zum Christentum hatte weitreichende Folgen sowohl für das Römische Imperium als auch das aufstrebende Christentum. Neben die traditionelle Autorität der Kaiser traten zunehmend die Führer der jungen Kirche, die Bischöfe. Beide Institutionen verantworten ab der Mitte des 4. Jahrhunderts weitgehend die Reichspolitik, die Staat und Kirche in eine Beziehung zwischen Kooperation und Machtkampf bringt und ihr Verhältnis zueinander in den folgenden Jahrhunderten prägen wird.
Das Buch liefert einen neuen Blick auf das Ende des Imperiums und den Aufstieg des Christentums. Die Kaiser waren nicht mehr Gott ebenbürtig, sondern „Diener“, und das nur dann, wenn sie der Kirche dienten. Am Ende war die Kirche Erbe des Römischen Imperiums und der Bischof von Rom (später Papst genannt) in der Nachfolge der Cäsaren Mittelpunkt nicht nur der christlichen Welt.
Der Autor, bekannter und anerkannter Experte, zeichnet ein faszinierendes Bild der Epoche und spannt den Bogen durch „eines der längsten Jahrhunderte“ der europäischen Geschichte.
Welche mobilen internetfähigen Geräte Studierende der Universität Potsdam nutzen und in welchem Rahmen dies geschieht, soll die hiermit vorgelegte Untersuchung aufzeigen.
Im Sommersemester 2014 hat die AG eLEARNiNG der Universität Potsdam unter 290 Studierenden unterschiedlicher Fachrichtungen eine Umfrage zum Umgang mobilen, internetfähigen Endgeräten durchgeführt, um das E-Learning-Angebot den Bedürfnissen der Studierenden entsprechend anpassen und weiterentwickeln zu können. Um einen Vergleich zwischen verschiedenen Studiengängen und -standorten ziehen zu können, wurde die Befragung mit Studierenden in Veranstaltungen mit konträren Parametern (Studienfach, Semesterzahl, Universitätsstandort) durchgeführt.
Der Band dokumentiert die Ergebnisse einer nationalen Tagung der Leibniz-Sozietät der Wissenschaften zu Berlin und des Zentrums für Lehrerbildung und Bildungsforschung der Universität Potsdam. Im Vordergrund steht die Entwicklung eines einheitlichen Rahmenlehrplans für die Länder Berlin und Brandenburg. Dabei wird - ausgehend von grundlegenden Positionen zu einer zeitgemäßen Allgemeinbildung - ein exemplarischer Ansatz gewählt und die Curriculumentwicklung für das relativ junge Unterrichtsfach <I>Wirtschaft - Arbeit - Technik </I>näher untersucht. Neben aktuellen Fragen der Curriculumentwicklung der Gegenwart werden vor allem differenzierte Positionen der nationalen Fachgesellschaften zu einer zeitgemäßen technisch-ökonomischen Bildung deutlich. Das Buch leistet einen Beitrag zur Entwicklung von Perspektiven für eine interdisziplinäre Forschung, die eine arbeitsorientierte Bildung für alle Kinder und Jugendlichen zum Ziel hat.
Wasser für Arkadien
(2015)
Wolf-Rayet Stars
(2015)
Nearly 150 years ago, the French astronomers Charles Wolf and Georges Rayet described stars with very conspicuous spectra that are dominated by bright and broad emission lines. Meanwhile termed Wolf-Rayet Stars after their discoverers, those objects turned out to represent important stages in the life of massive stars.
As the first conference in a long time that was specifically dedicated to Wolf-Rayet stars, an international workshop was held in Potsdam, Germany, from 1.-5. June 2015. About 100 participants, comprising most of the leading experts in the field as well as as many young scientists, gathered for one week of extensive scientific exchange and discussions. Considerable progress has been reported throughout, e.g. on finding such stars, modeling and analyzing their spectra, understanding their evolutionary context, and studying their circumstellar nebulae. While some major questions regarding Wolf-Rayet stars still remain open 150 years after their discovery, it is clear today that these objects are not just interesting stars as such, but also keystones in the evolution of galaxies.
These proceedings summarize the talks and posters presented at the Potsdam Wolf-Rayet workshop. Moreover, they also include the questions, comments, and discussions emerging after each talk, thereby giving a rare overview not only about the research, but also about the current debates and unknowns in the field. The Scientific Organizing Committee (SOC) included Alceste Bonanos (Athens), Paul Crowther (Sheffield), John Eldridge (Auckland), Wolf-Rainer Hamann (Potsdam, Chair), John Hillier (Pittsburgh), Claus Leitherer (Baltimore), Philip Massey (Flagstaff), George Meynet (Geneva), Tony Moffat (Montreal), Nicole St-Louis (Montreal), and Dany Vanbeveren (Brussels).
Genisa-Blätter
(2015)
Im Rahmen von zwei Workshops für Nachwuchswissenschaftler unterschiedlicher Disziplinen, die im November 2012 bzw. im Oktober 2013 in Veitshöchheim (Unterfranken) stattfanden, wurde eine Auswahl des reichhaltigen Materials der Genisa-Forschungsstelle genau unter die Lupe genommen. Erstmals war es somit möglich, das vielfältige Quellenmaterial durch eine gemeinsame fächerübergreifende Bearbeitung zu untersuchen und sich durch inhaltliche Verknüpfungen und Assoziationen der fachkundigen Teilnehmer der Komplexität des fränkischen Judentums angemessen zu nähern. Erfreulicherweise haben einige der Workshop-Teilnehmer ihre Arbeitsergebnisse für diese Publikation aufbereitet.
Die bei den Workshops untersuchten Quellenstücke wiesen keinen gemeinsamen inhaltlichen Schwerpunkt auf. Den Teilnehmern wurde eine Auswahl aus der großen Bandbreite zur Bearbeitung zur Verfügung gestellt. Untersucht wurden schriftliche und materielle Quellen unterschiedlichsten Inhalts, Sprache und Erhaltungszustands, die sich an den Sprachkenntnissen der Workshop-Teilnehmer orientierten. Hier hoffen wir auch in Zukunft, von den Spezialkenntnissen der Teilnehmer profitieren zu können.
Eine umfassende Bewertung nach der Bearbeitung des Materials an nur einem Wochenende kann nicht erfolgen. Das erklärte Ziel der Workshops und der daraus entstandenen Publikation ist es, die Genisot in ihrer Vielfalt einem interessierten Publikum bekannt zu machen. Zugleich soll Interesse für weitere und intensivere Forschungen mit dieser speziellen jüdischen Quellengattung geweckt werden. Es wird sich zeigen, in wie weit die Fortsetzung der Workshops in den nächsten Jahren unser Bild vom jüdischen Leben in Franken bereichern kann.
Jahresbericht 2014
(2015)
Das MenschenRechtsZentrum der Universität Potsdam (MRZ) beging im Jahr 2014 sein zwanzigjähriges Bestehen. Aus diesem Grund beschäftigt sich der aktuelle Jahresbericht nicht nur – wie ansonsten üblich – mit der spezifischen Organisationsstruktur und der Arbeit im Berichtszeitraum, sondern gibt einleitend einen knappen Überblick über die umfangreiche Tätigkeit des MRZ seit seiner Gründung. Diese Bilanz wird durch eine ausführliche Liste der Veranstaltungen und Schriftenreihen im Anhang vervollständigt.
Jahresbericht 2013
(2015)
1. Allgemeiner Überblick
2. Organisationsstruktur des MRZ
2.1 Angehörige des MRZ
2.2 Wissenschaftlicher Beirat des MRZ
2.3 Förderverein
3. Aktivitäten im Berichtszeitraum
3.1 Forschungsprojekte und wissenschaftliche Veranstaltungen
3.2 Promotionen
3.3 Lehrveranstaltungen
3.4 Publikationen – Neuerscheinungen 2013
3.5 Wissenschaftliche Vorträge, Vorlesungen, Fachgespräche u. ä.
4. Anhang
Über die Autoren
(2015)
Die Open Access-Strategie der Universität Potsdam verfolgt das Ziel, den offenen Zugang zu wissenschaftlichen Publikationen von Wissenschaftlern der Universität Potsdam nachhaltig zu fördern. Dazu werden sieben übergeordnete strategische Ziele definiert, aus denen in einem zweiten Schritt konkrete Handlungsfelder abgeleitet werden.
Die Strategie wurde am 16.12.2015 vom Senat der Universität Potsdam zustimmend zur Kenntnis genommen.
Traditionally, business process management systems only execute and monitor business process instances based on events that originate from the process engine itself or from connected client applications. However, environmental events may also influence business process execution. Recent research shows how the technological improvements in both areas, business process management and complex event processing, can be combined and harmonized. The series of technical reports included in this collection provides insights in that combination with respect to technical feasibility and improvements based on real-world use cases originating from the EU-funded GET Service project – a project targeting transport optimization and green-house gas reduction in the logistics domain. Each report is complemented by a working prototype.
This collection introduces six use cases from the logistics domain. Multiple transports – each being a single process instance – may be affected by the same events at the same point in time because of (partly) using the same transportation route, transportation vehicle or transportation mode (e.g. containers from multiple process instances on the same ship) such that these instances can be (partly) treated as batch. Thus, the first use case shows the influence of events to process instances processed in a batch. The case of sharing the entire route may be, for instance, due to origin from the same business process (e.g. transport three containers, where each is treated as single process instance because of being transported on three trucks) resulting in multi-instance process executions. The second use case shows how to handle monitoring and progress calculation in this context. Crucial to transportation processes are frequent changes of deadlines. The third use case shows how to deal with such frequent process changes in terms of propagating the changes along and beyond the process scope to identify probable deadline violations. While monitoring transport processes, disruptions may be detected which introduce some delay. Use case four shows how to propagate such delay in a non-linear fashion along the process instance to predict the end time of the instance. Non-linearity is crucial in logistics because of buffer times and missed connection on intermodal transports (a one-hour delay may result in a missed ship which is not going every hour). Finally, use cases five and six show the utilization of location-based process monitoring. Use case five enriches transport processes with real-time route and traffic event information to improve monitoring and planning capabilities. Use case six shows the inclusion of spatio-temporal events on the example of unexpected weather events.
Design and Implementation of service-oriented architectures imposes a huge number of research questions from the fields of software engineering, system analysis and modeling, adaptability, and application integration. Component orientation and web services are two approaches for design and realization of complex web-based system. Both approaches allow for dynamic application adaptation as well as integration of enterprise application.
Commonly used technologies, such as J2EE and .NET, form de facto standards for the realization of complex distributed systems. Evolution of component systems has lead to web services and service-based architectures. This has been manifested in a multitude of industry standards and initiatives such as XML, WSDL UDDI, SOAP, etc. All these achievements lead to a new and promising paradigm in IT systems engineering which proposes to design complex software solutions as collaboration of contractually defined software services.
Service-Oriented Systems Engineering represents a symbiosis of best practices in object-orientation, component-based development, distributed computing, and business process management. It provides integration of business and IT concerns.
The annual Ph.D. Retreat of the Research School provides each member the opportunity to present his/her current state of their research and to give an outline of a prospective Ph.D. thesis. Due to the interdisciplinary structure of the Research Scholl, this technical report covers a wide range of research topics. These include but are not limited to: Self-Adaptive Service-Oriented Systems, Operating System Support for Service-Oriented Systems, Architecture and Modeling of Service-Oriented Systems, Adaptive Process Management, Services Composition and Workflow Planning, Security Engineering of Service-Based IT Systems, Quantitative Analysis and Optimization of Service-Oriented Systems, Service-Oriented Systems in 3D Computer Graphics sowie Service-Oriented Geoinformatics.
Design and implementation of service-oriented architectures impose numerous research questions from the fields of software engineering, system analysis and modeling, adaptability, and application integration. Service-oriented Systems Engineering represents a symbiosis of best practices in object orientation, component-based development, distributed computing, and business process management. It provides integration of business and IT concerns. Service-oriented Systems Engineering denotes a current research topic in the field of IT-Systems Engineering with high potential in academic research and industrial application.
The annual Ph.D. Retreat of the Research School provides all members the opportunity to present the current state of their research and to give an outline of prospective Ph.D. projects. Due to the interdisciplinary structure of the Research School, this technical report covers a wide range of research topics. These include but are not limited to: Human Computer Interaction and Computer Vision as Service; Service-oriented Geovisualization Systems; Algorithm Engineering for Service-oriented Systems; Modeling and Verification of Self-adaptive Service-oriented Systems; Tools and Methods for Software Engineering in Service-oriented Systems; Security Engineering of Service-based IT Systems; Service-oriented Information Systems; Evolutionary Transition of Enterprise Applications to Service Orientation; Operating System Abstractions for Service-oriented Computing; and Services Specification, Composition, and Enactment.
Every year, the Hasso Plattner Institute (HPI) invites guests from industry and academia to a collaborative scientific workshop on the topic “Operating the Cloud”. Our goal is to provide a forum for the exchange of knowledge and experience between industry and academia. Hence, HPI’s Future SOC Lab is the adequate environment to host this event which is also supported by BITKOM.
On the occasion of this workshop we called for submissions of research papers and practitioners’ reports. “Operating the Cloud” aims to be a platform for productive discussions of innovative ideas, visions, and upcoming technologies in the field of cloud operation and administration.
In this workshop proceedings the results of the second HPI cloud symposium "Operating the Cloud" 2014 are published. We thank the authors for exciting presentations and insights into their current work and research. Moreover, we look forward to more interesting submissions for the upcoming symposium in 2015.
Umweltbericht 2013–2014
(2015)
Aus dem Inhalt:
Vorwort
Umweltforschung
Umweltthemen in Lehre und Weiterbildung
Studienprogramme mit Umweltbezug und Lehrveranstaltungen
Umweltbezogene Weiterbildung für Mitarbeiterinnen und Mitarbeiter
Betrieb und Verwaltung
Gebäudebewirtschaftung, Energie- und Medienverbrauch
Flächenverbrauch & Schutz der biologischen Vielfalt
Papier- und Tonerverbrauch
Entsorgung und Sicherheitswesen
Ausblick
Nostalghia
(2015)
Andrej Tarkovskij ist es gelungen, sich mit einem relativ kleinen Oeuvre in die Filmgeschichte einzuschreiben, obwohl fast alle seine Filme als schwer verständlich gelten. Legenden ranken sich um sie. Die Protokollierung des Films Nostalghia soll der intensiveren wissenschaftlichen Erforschung eine verlässliche Grundlage geben. Deshalb wurde der deutschen Dialogfassung nicht die in deutschen Synchronisationen übliche Fassung zugrunde gelegt, sondern eine genauere Eigenübersetzung angefertigt.
Das Nachwort besteht aus einem poetologischen Kommentar und einer Bildergalerie, die Stills aus dem Film neben aktuelle Bilder von den wichtigsten Drehorten stellt.
Mit Kinderschuhen im Gepäck
(2015)
Zu kleine Kinderschuhe zwängen ein, zu große geben keinen Halt. Liebe, Fürsorge und Mitgefühl helfen, die jeweils passenden Kinderschuhe zu finden. In ihnen lernt das Kind am besten, seine individuellen Fähigkeiten zu entfalten, sie in die Gemeinschaft einzubringen und seinen eigenen Weg zu finden.
Der Band spannt einen Bogen von neurowissenschaftlichen Erkenntnissen und Grundfragen des Biografierens über Porträts von Persönlichkeiten bis hin zu gelebten menschenrechtlichen Werten.
Die Autoren und Autorinnen, Studierende der Universität Potsdam, gehen auf Spurensuche und fragen, wie die von ihnen vorgestellten Menschen zu denen wurden, die sie waren oder sind, ob und wie sie sich selbst fanden, ihre persönlichen Fähigkeiten entfalteten und anderen halfen. Sie stoßen auf kraftschenkende Kindheiten und erlebtes Glück, auf Authentizität, Verantwortung und Gleichwürdigkeit ebenso wie auf Schicksalsschläge, Ablehnung und Unrecht, auf Wünsche und Sehnsüchte, innere Zerrissenheit und Schmerz, vor allem aber auf die individuellen und sozialen Stärken dieser Persönlichkeiten.
Das Buch „Organisation und Unsicherheit“ geht der Frage nach, wie Organisationen mit radikalen Wandlungsprozessen in den Organisation selbst und der Umwelt umgehen. Übergreifende These ist, dass Fehler, Unsicherheit, Ambivalenz und die Unplanbarkeit organisationaler Prozesse den Organisationsalltag maßgeblich prägen. Aus unterschiedlichen theoretischen Perspektiven und anhand verschiedener empirischer Analysen zu Jugendämtern, Bildungseinrichtungen, zum Umgang mit Großschadenslagen, zu Institutionen des Finanzmarktes u.a.m. wird gezeigt, welche Konsequenzen sich daraus für das Handeln in Organisationen und die Beziehungen zwischen Organisationen und Umwelt ergeben.
Der vorliegende Sammelband setzt sich grundlegend aus interdisziplinärer Perspektive mit einer Kulturgeschichte von Krieg und Frieden am Beginn der Moderne auseinander. Kriegserfahrungen und Friedenssehnsucht prägten nicht nur die Politik des 18. Jahrhunderts, sondern mindestens ebenso sehr auch die Künste, die Wissenschaften und das tägliche Leben. Die Praxis der Kriegführung und die damit verbundenen Diskurse von Patriotismus und Nationalismus standen jedoch in erheblicher Spannung zu wichtigen Epochensignaturen der Aufklärung, darunter z. B. Naturrecht, Vernunft- und Geschichtsoptimismus, Toleranz und Kosmopolitismus. Die Phänomene ›Krieg‹ und ›Frieden‹ werden hier als Anlässe und Ergebnisse von kultureller Sinnstiftung mit ihren charakteristischen Brüchen und Verwerfungen wissenschaftlich verhandelt. Im Zentrum stehen vielfältige Repräsentationen und Inszenierungen, Erinnerungen und Rituale sowie auch Interpretationen und Rhetoriken von Krieg und Frieden unter aufklärerischen Vorzeichen. Der Band ist hervorgegangen aus der Jahrestagung der Deutschen Gesellschaft für die Erforschung des 18. Jahrhunderts (DGEJ) im Jahr 2012. Beigetragen haben sowohl nationale als auch internationale Wissenschaftlerinnen und Wissenschaftler aus der Literatur- und Geschichtswissenschaft sowie aus der Philosophie, der Theologie, der Medizin, dem Völkerrecht und der Musikwissenschaft mit einschlägigen Fallstudien zu verschiedenen Bereichen der Hoch- und Alltagskultur.