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In the past decades, development cooperation (DC) led by conventional bi- and multilateral donors has been joined by a large number of small, private or public-private donors. This pluralism of actors raises questions as to whether or not these new donors are able to implement projects more or less effectively than their conventional counterparts. In contrast to their predecessors, the new donors have committed themselves to be more pragmatic, innovative and flexible in their development cooperation measures. However, they are also criticized for weakening the function of local civil society and have the reputation of being an intransparent and often controversial alternative to public services. With additional financial resources and their new approach to development, the new donors have been described in the literature as playing a controversial role in transforming development cooperation. This dissertation compares the effectiveness of initiatives by new and conventional donors with regard to the provision of public goods and services to the poor in the water and sanitation sector in India.
India is an emerging country but it is experiencing high poverty rates and poor water supply in predominantly rural areas. It lends itself for analyzing this research theme as it is currently being confronted by a large number of actors and approaches that aim to find solutions for these challenges .
In the theoretical framework of this dissertation, four governance configurations are derived from the interaction of varying actor types with regard to hierarchical and non-hierarchical steering of their interactions. These four governance configurations differ in decision-making responsibilities, accountability and delegation of tasks or direction of information flow. The assumption on actor relationships and steering is supplemented by possible alternative explanations in the empirical investigation, such as resource availability, the inheritance of structures and institutions from previous projects in a project context, gaining acceptance through beneficiaries (local legitimacy) as a door opener, and asymmetries of power in the project context.
Case study evidence from seven projects reveals that the actors' relationship is important for successful project delivery. Additionally, the results show that there is a systematic difference between conventional and new donors. Projects led by conventional donors were consistently more successful, due to an actor relationship that placed the responsibility in the hands of the recipient actors and benefited from the trust and reputation of a long-term cooperation. The trust and reputation of conventional donors always went along with a back-up from federal level and trickled down as reputation also at local level implementation. Furthermore, charismatic leaders, as well as the acquired structures and institutions of predecessor projects, also proved to be a positive influencing factor for successful project implementation.
Despite the mixed results of the seven case studies, central recommendations for action can be derived for the various actors involved in development cooperation. For example, new donors could fulfill a supplementary function with conventional donors by developing innovative project approaches through pilot studies and then implementing them as a supplement to the projects of conventional donors on the ground. In return, conventional donors would have to make room the new donors by integrating their approaches into already programs in order to promote donor harmonization. It is also important to identify and occupy niches for activities and to promote harmonization among donors on state and federal sides.
The empirical results demonstrate the need for a harmonization strategy of different donor types in order to prevent duplication, over-experimentation and the failure of development programs. A transformation to successful and sustainable development cooperation can only be achieved through more coordination processes and national self-responsibility.
Datenbankbasierte epidemiologische Untersuchung über die Versorgung demenzerkrankter Patienten
(2016)
Hintergrund:
Demenz wird von der Weltgesundheitsorganisation als ein in der Regel chronisch oder progressiv verlaufendes Syndrom definiert, das von einer Vielzahl von Hirnerkrankungen verursacht wird, welche das Gedächtnis, das Denkvermögen, das Verhalten und die Fähigkeit, alltägliche Tätigkeiten auszuführen, beeinflussen. Weltweit leiden 47,5 Millionen Menschen unter Demenz und diese Zahl wird sich voraussichtlich bis zum Jahr 2050 verdreifachen.
In den vorliegenden Studien wurden zum Einem die Faktoren, welche mit dem Risiko einhergehen eine Demenz zu entwickeln, analysiert. Zum Anderen wurde die Persistenz der medikamentösen Behandlung von depressiven Zuständen mit Antidepressiva sowie die Persistenz der medikamentösen Behandlung von Verhaltensstörungen, therapiert mit Antipsychotika, bei Demenzpatienten untersucht.
Durchführung:
Alle drei Studien basieren auf den Daten der IMS Disease Analyzer-Datenbank.
Die Daten der Disease Analyzer-Datenbank werden über standardisierte Schnittstellen direkt monatlich aus dem Praxiscomputer generiert. Die Daten werden vor der Übertragung verschlüsselt und entsprechen in Umfang und Detaillierungsgrad der Patientenakte.
Risikofaktoren für eine Demenzdiagnose
Methode:
Insgesamt wurden in die Studie 11.956 Patienten mit einer Erstdiagnose (Indexdatum) einer Demenz (ICD 10: F01, F03, G30) zwischen Januar 2010 und Dezember 2014 eingeschlossen. 11.956 Kontrollpatienten (ohne Demenz) wurden den Patienten nach Alter, Geschlecht, Art der Krankenversicherung und Arzt zugeordnet. In beiden Fällen wurden die Praxisaufzeichnungen dazu verwendet, sicherzustellen, dass die Patienten vor dem Indexdatum jeweils 10 Jahre kontinuierlich beobachtet worden waren. Insgesamt wurden 23.912 Personen betrachtet.
Mehrere Erkrankungen, die möglicherweise mit Demenz assoziiert sind, wurden anhand von allgemeinärztlichen Diagnosen bestimmt (ICD-10-Codes): Diabetes (E10-E14), Hypertonie (I10), Adipositas (E66), Hyperlipidämie (E78), Schlaganfall (einschließlich transitorische ischämische Attacke, TIA) (I63, I64, G45), Parkinson-Krankheit (G20, G21), intrakranielle Verletzung (S06), koronare Herzkrankheit (I20-I25), leichte kognitive Beeinträchtigung (F06) und psychische und Verhaltensstörungen durch Alkohol (F10). Das Vorhandensein mehrerer Medikamente, wie z. B. Statine, Protonenpumpenhemmer und Antihypertensiva (einschließlich Diuretika, Beta-Blocker, Calciumkanalblocker, ACE-Hemmer und Angiotensin-II), wurde ebenfalls bemessen.
Ergebnisse:
Das Durchschnittsalter für die 11.956 Demenzpatienten und die 11.956 der Kontrollkohorte war 80,4 (SD 5,3) Jahre. 39,0% der waren männlich. In dem multivariaten Regressionsmodell, wurden folgende Variablen mit einem erhöhten Risiko von Demenz in einem signifikanten Einfluß assoziiert: milde kognitive Beeinträchtigung (MCI) (OR: 2,12), psychische und Verhaltensstörungen durch Alkohol (1,96), Parkinson-Krankheit (PD) (1,89), Schlaganfall (1,68), intrakranielle Verletzung (1,30), Diabetes (1,17), Fettstoffwechselstörung (1,07), koronare Herzkrankheit (1,06). Der Einsatz von Antihypertensiva (0,96), Statinen (OR: 0,94) und Protonen-Pumpen-Inhibitoren (PPI) (0,93) wurden mit einem verringerten Risiko der Entwicklung von Demenz.
Schlussfolgerung:
Die gefundenen Risikofaktoren für Demenz stehen in Einklang mit der Literatur. Nichtsdestotrotz bedürfen die Zusammenhänge zwischen der Verwendung von Statinen, PPI und Antihypertensiva und einem verringerten Demenzrisiko weiterer Untersuchungen.
Persistenz der Behandlung mit Antidepressiva bei Patienten mit Demenz
Methode:
Patienten wurden ausgewählt, wenn bei ihnen im Zeitraum zwischen Januar 2004 und Dezember 2013 eine Demenzdiagnose (ICD 10: F01, F03, G30) und eine erste Verordnung eines trizyklischen Antidepressivums oder selektiven Serotonin-
Wiederaufnahmehemmers (SSRI) oder Serotonin-Noradrenalin-Wiederaufnahmehemmers (SSNRI) vorlagen. Ausgewählte Patienten wurden über einen Zeitraum von bis zu zwei Jahre nach dem Indexdatum beobachtet. Das letzte Nachbeobachtungsdatum eines Patienten war der 31. Dezember 2014. Insgesamt standen 12.281 Patienten für die Persistenzanalyse zur Verfügung. Der Hauptzielparameter war die Abbruchrate der Antidepressivabehandlung innerhalb von sechs Monaten nach dem Indexdatum. Behandlungsabbruch wurde definiert als ein Zeitraum von 90 Tagen ohne diese Therapie.
Als demographische Daten wurden Alter, Art der Krankenversicherung (privat oder gesetzlich), Art der Praxis (Neurologe oder Allgemeinmediziner) und Praxisregion (Ost- oder Westdeutschland) erhoben. Die folgenden Demenzdiagnosen wurden berücksichtigt: Alzheimer-Krankheit (G30), vaskuläre Demenz (F01) und nicht näher bezeichnete Demenz (F03). Darüber hinaus wurde der Charlson-Komorbiditäts-Index als allgemeiner Marker für Komorbidität verwendet. Darüber hinaus wurden die folgenden Diagnosen als Komorbiditäten in die Studie aufgenommen: Depression (ICD 10: F32-33), Delir (F05), Typ-2-Diabetes mellitus (E11, E14), Hypertonie (I10), koronare Herzkrankheit (I24, I25), Schlaganfall (I63, I64), Myokardinfarkt (I21-23) und Herzinsuffizienz (I50).
Ergebnisse:
Nach sechs Monaten Nachbeobachtung hatten 52,7 % (von 12,281 Demenzpatienten) der mit Antidepressiva behandelten Demenzpatienten die Medikamenteneinnahme abgebrochen. Die multivariaten Regressionsanalysen zeigten ein signifikant geringeres Risiko für einen Behandlungsabbruch bei mit SSRRI oder SSNRI behandelten Patienten verglichen mit Patienten, die trizyklische Antidepressiva einnahmen. Es zeigte sich ein signifikant geringeres Risiko eines Behandlungsabbruchs bei jüngeren Patienten.
Schlussfolgerung:
Die Ergebnisse zeigen eine unzureichende Persistenz mit Antipsychotika bei Demenzpatienten unter Alltagsbedingungen. Es muss eine Verbesserung erreicht werden, um die in den Richtlinien empfohlene Behandlung sicherzustellen.
Persistenz der Behandlung mit Antipsychotika bei Patienten mit Demenz
Methode:
Diese Studie umfasste Patienten im Alter ab 60 Jahren mit Demenz beliebigen Ursprungs, die zwischen Januar 2009 und Dezember 2013 (Indexdatum) zum ersten Mal Antipsychotikaverordnungen (ATC: N05A) von deutschen Psychiatern erhielten. Der Nachbeobachtungszeitraum endete im Oktober 2015. Die Demenz wurde auf Grundlage der ICD-10-Codes für vaskuläre Demenz (F01), nicht näher bezeichnete Demenz (F03) und Alzheimer-Krankheit (G30) bewertet.
Der Hauptzielparameter war die Behandlungspersistenzrate über einen Zeitraum von mehr als 6 Monaten nach dem Indexdatum. Die Persistenz wurde als Therapiezeit ohne Absetzen der Behandlung, definiert als mindestens 180 Tage ohne Antipsychotikatherapie, geschätzt. Alle Patienten wurden für eine Dauer von bis zu zwei Jahren ab ihrem Indexdatum beobachtet.
Gleichzeitig auftretende Erkrankungen wurden anhand von Diagnosen (ICD-10-Codes) von Depression (F32, F33), Parkinson-Krankheit (G20), psychischer Störungen aufgrund bekannter physiologischer Erkrankungen (F06) und Persönlichkeits- und Verhaltensstörungen aufgrund physiologischer Erkrankungen (F07) bestimmt. Als demographische Daten wurden Alter, Geschlecht und Art der Krankenversicherung (privat/gesetzlich) erhoben.
Ergebnisse:
12,979 Demenzpatienten mit einem Durchschnittsalter von 82 Jahre (52.1% leben in Pflegeheimen) wurden in diese Studie analysiert. Nach zwei Jahren Nachbeobachtung hatten 54,8 %, 57,2 %, 61,1 % bzw. 65,4 % der Patienten zwischen 60-69, 70-79, 80-89 bzw. 90-99 Jahren Antipsychotikaverordnungen erhalten (p<0,001). 82,6 % der in Pflegeheimen lebenden Patienten und 76,2 % der Patienten in häuslicher Pflege setzten ihre Behandlung ebenfalls länger als 6 Monate fort; nach zwei Jahren lag der Anteil bei 63,9 % (in Pflegeheimen) bzw. 55,0 % (in häuslicher Pflege) (p<0,001).
Schlussfolgerung:
Die Studie zeigt, dass der Anteil der mit Antipsychotika behandelten Demenzpatienten sehr hoch ist. Weitere Studien, einschließlich qualitativer Untersuchungen, sind nötig, um die Gründe für dieses Verschreibungsverhalten zu verstehen und zu erklären.
In der vorliegenden Arbeit wird die planetare Grenzschicht in Ny-Ålesund, Spitzbergen, sowohl bezüglich kleinskaliger („mikrometeorologischer“) Effekte als auch in ihrer Kopplung mit der Synoptik untersucht. Dazu werden verschiedene Beobachtungsdaten aus der Säule und in Bodennähe zusammengezogen und bewertet. Die so gewonnenen Datensätze werden dann zur Validierung eines nicht-hydrostatischen, regionalen Klimamodells genutzt. Weiterhin werden orographisch bedingte Einflüsse, die Untergrundbeschaffenheit und die lokale Heterogenität der Unterlage untersucht. Hierzu werden meteorologische Größen, wie die Variabilität der Temperatur und insbesondere die jährliche Windverteilung in Bodennähe untersucht und es erfolgt ein Vergleich von in-situ gemessenen turbulenten Flüssen von den Eddy-Kovarianz-Messkomplexen bei Ny-Ålesund und im Bayelva-Tal unter demselben Aspekt. Es zeigt sich, dass der Eddy-Kovarianz-Messkomplex im Bayelva-Tal sehr stark durch eine orographisch bedingte Kanalisierung der Strömung beeinflusst ist und sich nicht für Vergleiche mit regionalen Klimamodellen mit horizontalen Auflösungen von <1km eignet. Die hohe Bodenfeuchte im Bayelva-Tal führt zudem zu einem deutlich kleineren Bowen-Verhältnis, als es für diese Region zu erwarten ist. Der Eddy-Kovarianz-Messkomplex bei Ny-Ålesund erweist sich hingegen als geeigneter für solche Modellvergleiche, aufgrund der typischen, küstennahen Windverteilung und des repräsentativen Footprints. Letzteres wird durch die Bestimmung der Footprint-Klimatologie des Jahres 2013 mit einem aktuellen Footprint-Modell erarbeitet.
Weiterhin wird die Auswirkung von (Anti-) Zyklonen über den Archipel auf die zeitliche Variabilität der lokalen Grenzschichteigenschaften untersucht und bewertet. Dazu wird ein Zyklonen-Detektions-Algorithmus auf ERA-Interim-Reanalysedatensätze angewendet, wodurch die Häufigkeit von nahezu ideal konzentrischen Hoch- und die Tiefdruckgebieten für drei Jahre bestimmt wird. Aus dieser Verteilung werden insgesamt drei interessante Zeiträume zu verschiedenen Jahreszeiten ausgewählt und im Rahmen von Prozessstudien die lokalen bodennahen meteorologischen Messungen, der turbulente Austausch an der Oberfläche und die Grenzschichtdynamik in der Säule untersucht. Die zeitliche Variabilität der dynamischen Grenzschichtstabilität in der Säule wird anhand von zeitlich hoch aufgelösten vertikalen Profilen der Bulk-Richardson-Zahl aus Kompositprofilen aus Fernerkundungsinstrumenten (Radiometer, Wind-LIDAR) sowie Mastdaten (BSRN-Mast) untersucht und die Grenzschichthöhe ermittelt. Aus diesen Analysen ergibt sich eine deutliche Abhängigkeit der thermischen Stabilität beim Durchzug von Fronten, eine damit einhergehende erhebliche Abhängigkeit der Grenzschichtdynamik und der Grenzschichthöhe sowie des turbulenten Austauschs von der zeitlichen Variabilität der Windgeschwindigkeit in der Säule.
Auf Grundlage der Standortanalysen und Prozessstudien erfolgt ein Vergleich der bodennahen Messungen und den Beobachtungen aus der Säule, sowohl von den genannten Fernerkundungsinstrumenten als auch von In-situ-Messungen (Radiosonden) für den Zeitraum einer Radiosondierungskampagne mit dem nicht-hydrostatischen, regionalen Klimamodel WRF (ARW). Auf Grundlage der Fragestellung, inwieweit aktuelle Schemata die Grenzschichtcharakteristika in orographisch stark gegliedertem Gelände in der Arktis reproduzieren können, werden zwei Grenzschichtparametrisierungsschemata mit verschiedenen Ordnungen der Schließung validiert. Hierzu wird die zeitliche Variabilität der Temperatur, der Feuchte und des Windfeldes in der Säule bis 2000m in den Simulationen mit den Beobachtungsdaten vergleichen. Es wird gezeigt, dass durch Modifikation der Initialwertfelder eine sehr gute Übereinstimmung zwischen den Simulationen und den Beobachtungen bereits bei einer horizontalen Auflösung von 1km erreicht werden kann und die Wahl des Grenzschichtschemas nur untergeordneten Einfluss hat. Hieraus werden Ansätze der Weiterentwicklung der Parametrisierungen, aber auch Empfehlungen bezüglich der Initialwertfelder, wie der Landmaske und der Orographie, vorgeschlagen.
Background: Low back pain (LBP) is one of the world wide leading causes of limited activity and disability. Impaired motor control has been found to be one of the possible factors related to the development or persistence of LBP. In particularly, motor control strategies seemed to be altered in situations requiring reactive responses of the trunk counteracting sudden external forces. However, muscular responses were mostly assessed in (quasi) static testing situations under simplified laboratory conditions. Comprehensive investigations in motor control strategies during dynamic everyday situations are lacking. The present research project aimed to investigate muscular compensation strategies following unexpected gait perturbations in people with and without LBP. A novel treadmill stumbling protocol was tested for its validity and reliability to provoke muscular reflex responses at the trunk and the lower extremities (study 1). Thereafter, motor control strategies in response to sudden perturbations were compared between people with LBP and asymptomatic controls (CTRL) (study 2). In accordance with more recent concepts of motor adaptation to pain, it was hypothesized that pain may have profound consequences on motor control strategies in LBP. Therefore, it was investigated whether differences in compensation strategies were either consisting of changes local to the painful area at the trunk, or also being present in remote areas such as at the lower extremities.
Methods: All investigations were performed on a custom build split-belt treadmill simulating trip-like events by unexpected rapid deceleration impulses (amplitude: 2 m/s; duration: 100 ms; 200 ms after heel contact) at 1m/s baseline velocity. A total number of 5 (study 1) and 15 (study 2) right sided perturbations were applied during walking trials. Muscular activities were assessed by surface electromyography (EMG), recorded at 12 trunk muscles and 10 (study 1) respectively 5 (study 2) leg muscles. EMG latencies of muscle onset [ms] were retrieved by a semi-automatic detection method. EMG amplitudes (root mean square (RMS)) were assessed within 200 ms post perturbation, normalized to full strides prior to any perturbation [RMS%]. Latency and amplitude investigations were performed for each muscle individually, as well as for pooled data of muscles grouped by location. Characteristic pain intensity scores (CPIS; 0-100 points, von Korff) based on mean intensity ratings reported for current, worst and average pain over the last three months were used to allocate participants into LBP (≥30 points) or CTRL (≤10 points). Test-retest reproducibility between measurements was determined by a compilation of measures of reliability. Differences in muscular activities between LBP and CTRL were analysed descriptively for individual muscles; differences based on grouped muscles were statistically tested by using a multivariate analysis of variance (MANOVA, α =0.05).
Results: Thirteen individuals were included into the analysis of study 1. EMG latencies revealed reflex muscle activities following the perturbation (mean: 89 ms). Respective EMG amplitudes were on average 5-fold of those assessed in unperturbed strides, though being characterized by a high inter-subject variability. Test-retest reliability of muscle latencies showed a high reproducibility, both for muscles at the trunk and legs. In contrast, reproducibility of amplitudes was only weak to moderate for individual muscles, but increased when being assessed as a location specific outcome summary of grouped muscles. Seventy-six individuals were eligible for data analysis in study 2. Group allocation according to CPIS resulted in n=25 for LBP and n=29 for CTRL. Descriptive analysis of activity onsets revealed longer delays for all muscles within LBP compared to CTRL (trunk muscles: mean 10 ms; leg muscles: mean 3 ms). Onset latencies of grouped muscles revealed statistically significant differences between LBP and CTRL for right (p=0.009) and left (p=0.007) abdominal muscle groups. EMG amplitude analysis showed a high variability in activation levels between individuals, independent of group assignment or location. Statistical testing of grouped muscles indicated no significant difference in amplitudes between LBP and CTRL.
Discussion: The present research project could show that perturbed treadmill walking is suitable to provoke comprehensive reflex responses at the trunk and lower extremities, both in terms of sudden onsets and amplitudes of reflex activity. Moreover, it could demonstrate that sudden loadings under dynamic conditions provoke an altered reflex timing of muscles surrounding the trunk in people with LBP compared to CTRL. In line with previous investigations, compensation strategies seemed to be deployed in a task specific manner, with differences between LBP and CTRL being evident predominately at ventral sides. No muscular alterations exceeding the trunk could be found when being assessed under the automated task of locomotion. While rehabilitation programs tailored towards LBP are still under debate, it is tempting to urge the implementation of dynamic sudden loading incidents of the trunk to enhance motor control and thereby to improve spinal protection. Moreover, in respect to the consistently observed task specificity of muscular compensation strategies, such a rehabilitation program should be rich in variety.
Prevalence of Achilles tendinopathy increases with age, leading to a weaker tendon with predisposition to rupture. Previous studies, investigating Achilles tendon (AT) properties, are restricted to standardized isometric conditions. Knowledge regarding the influence of age and pa-thology on AT response under functional tasks remains limited. Therefore, the aim of the thesis was to investigate the influence of age and pathology on AT properties during a single-leg vertical jump.
Healthy children, asymptomatic adults and patients with Achilles tendinopathy participated. Ultrasonography was used to assess AT-length, AT-cross-sectional area and AT-elongation. The reliability of the methodology used was evaluated both Intra- and inter-rater at rest and at maximal isometric plantar-flexion contraction and was further implemented to investigate tendon properties during functional task. During the functional task a single-leg vertical jump on a force plate was performed while simultaneously AT elongation and vertical ground reaction forces were recorded. AT compliance [mm/N] (elongation/force) and AT strain [%] (elongation/length) were calculated. Differences between groups were evaluated with respect to age (children vs. adults) and pathology (asymptomatic adults vs. patients).
Good to excellent reliability with low levels of variability was achieved in the assessment of AT properties. During the jumps AT elongation was found to be statistical significant higher in children. However, no statistical significant difference was found for force among the groups. AT compliance and strain were found to be statistical significant higher only in children. No significant differences were found between asymptomatic adults and patients with tendinopathy.
The methodology used to assess AT properties is reliable, allowing its implementation into further investigations. Higher AT-compliance in children might be considered as a protective factor against load-related injuries. During functional task, when higher forces are acting on the AT, tendinopathy does not result in a weaker tendon.
The impact of collagen modifications by methylglyoxal on fibroblast function and the role in aging
(2016)
Difficulties with object relative clauses (ORC), as compared to subject relative clauses (SR), are widely attested across different languages, both in adults and in children. This SR-ORC asymmetry is reduced, or even eliminated, when the embedded constituent in the ORC is a pronoun, rather than a lexical noun phrase. The studies included in this thesis were designed to explore under what circumstances the pronoun facilitation occurs; whether all pronouns have the same effect; whether SRs are also affected by embedded pronouns; whether children perform like adults on such structures; and whether performance is related to cognitive abilities such as memory or grammatical knowledge. Several theoretical approaches that explain the pronoun facilitation in relative clauses are evaluated. The experimental data have been collected in three languages–German, Italian and Hebrew–stemming from both children and adults.
In the German study (Chapter 2), ORCs with embedded 1st- or 3rd-person pronouns are compared to ORCs with an embedded lexical noun phrase. Eye-movement data from 5-year-old children show that the 1st-person pronoun facilitates processing, but not the 3rd-person pronoun. Moreover, children’s performance is modulated by additive effects of their memory and grammatical skills. In the Italian study (Chapter 3), the 1st-person pronoun advantage over the 3rd-person pronoun is tested in ORCs and SRs that display a similar word order. Eye-movement data from 5-year-olds and adult controls and reading times data from adults are pitted against the outcome of a corpus analysis, showing that the 1st-/3rd-person pronoun asymmetry emerges in the two relative clause types to an equal extent. In the Hebrew study (Chapter 4), the goal is to test the effect of a special kind of pronoun–a non-referential arbitrary subject pronoun–on ORC comprehension, in the light of potential confounds in previous studies that used this pronoun. Data from a referent-identification task with 4- to 5-year-olds indicate that, when the experimental material is controlled, the non-referential pronoun does not necessarily facilitate ORC comprehension. Importantly, however, children have even more difficulties when the embedded constituent is a referential pronoun. The non-referentiality / referentiality asymmetry is emphasized by the relation between children’s performance on the experimental task and their memory skills.
Together, the data presented in this thesis indicate that sentence processing is not only driven by structural (or syntactic) factors, but also by discourse-related ones, like pronouns’ referential properties or their discourse accessibility mechanism, which is defined as the level of ease or difficulty with which referents of pronouns are identified and retrieved from the discourse model. Although independent in essence, these structural and discourse factors can in some cases interact in a way that affects sentence processing. Moreover, both types of factors appear to be strongly related to memory. The data also support the idea that, from early on, children are sensitive to the same factors that affect adults’ sentence processing, and that the processing strategies of both populations are qualitatively similar.
In sum, this thesis suggests that a comprehensive theory of human sentence processing needs to account for effects that are due to both structural and discourse-related factors, which operate as a function of memory capacity.
Intracontinental deformation usually is a result of tectonic forces associated with distant plate collisions. In general, the evolution of mountain ranges and basins in this environment is strongly controlled by the distribution and geometries of preexisting structures. Thus, predictive models usually fail in forecasting the deformation evolution in these kinds of settings. Detailed information on each range and basin-fill is vital to comprehend the evolution of intracontinental mountain belts and basins. In this dissertation, I have investigated the complex Cenozoic tectonic evolution of the western Tien Shan in Central Asia, which is one of the most active intracontinental ranges in the world. The work presented here combines a broad array of datasets, including thermo- and geochronology, paleoenvironmental interpretations, sediment provenance and subsurface interpretations in order to track changes in tectonic deformation. Most of the identified changes are connected and can be related to regional-scale processes that governed the evolution of the western Tien Shan.
The NW-SE trending Talas-Fergana fault (TFF) separates the western from the central Tien Shan and constitutes a world-class example of the influence of preexisting anisotropies on the subsequent structural development of a contractile orogen. While to the east most of ranges and basins have a sub-parallel E-W trend, the triangular-shaped Fergana basin forms a substantial feature in the western Tien Shan morphology with ranges on all three sides. In this thesis, I present 55 new thermochronologic ages (apatite fission track and zircon (U-Th)/He)) used to constrain exhumation histories of several mountain ranges in the western Tien Shan. At the same time, I analyzed the Fergana basin-fill looking for progressive changes in sedimentary paleoenvironments, source areas and stratal geometrical configurations in the subsurface and outcrops.
The data presented in this thesis suggests that low cooling rates (<1°C Myr-1), calm depositional environments, and low depositional rates (<10 m Myr-1) were widely distributed across the western Tien Shan, describing a quiescent tectonic period throughout the Paleogene. Increased cooling rates in the late Cenozoic occurred diachronously and with variable magnitudes in different ranges. This rapid cooling stage is interpreted to represent increased erosion caused by active deformation and constrains the onset of Cenozoic deformation in the western Tien Shan. Time-temperature histories derived from the northwestern Tien Shan samples show an increase in cooling rates by ~25 Ma. This event is correlated with a synchronous pulse
iv
in the South Tien Shan. I suggest that strike-slip motion along the TFF commenced at the Oligo-Miocene boundary, facilitating CCW rotation of the Fergana basin and enabling exhumation of the linked horsetail splays. Higher depositional rates (~150 m Myr-1) in the Oligo-Miocene section (Massaget Fm.) of the Fergana basin suggest synchronous deformation in the surrounding ranges. The central Alai Range also experienced rapid cooling around this time, suggesting that the onset of intramontane basin fragmentation and isolation is coeval. These results point to deformation starting simultaneously in the late Oligocene – early Miocene in geographically distant mountain ranges. I suggest that these early uplifts are controlled by reactivated structures (like the TFF), which are probably the frictionally weakest and most-suitably oriented for accommodating and transferring N-S horizontal shortening along the western Tien Shan.
Afterwards, in the late Miocene (~10 Ma), a period of renewed rapid cooling affected the Tien Shan and most mountain ranges and inherited structures started to actively deform. This episode is widely distributed and an increase in exhumation is interpreted in most of the sampled ranges. Moreover, the Pliocene section in the basin subsurface shows the higher depositional rates (>180 m Myr-1) and higher energy facies. The deformation and exhumation increase further contributed to intramontane basin partitioning. Overall, the interpretation is that the Tien Shan and much of Central Asia suffered a global increase in the rate of horizontal crustal shortening. Previously, stress transfer along the rigid Tarim block or Pamir indentation has been proposed to account for Himalayan hinterland deformation. However, the extent of the episode requires a different and broader geodynamic driver.
Ephraim Carlebach
(2016)
Precision horticulture encompasses site- or tree-specific management in fruit plantations. Of decisive importance is spatially resolved data (this means data from each tree) from the production site, since it may enable customized and, therefore, resource-efficient production measures.
The present thesis involves an examination of the apparent electrical conductivity of the soil (ECa), the plant water status spatially measured by means of the crop water stress index (CWSI), and the fruit quality (e.g. fruit size) for Prunus domestica L. (plums) and Citrus x aurantium, Syn. Citrus paradisi (grapefruit). The goals of the present work were i) characterization of the 3D distribution of the apparent electrical conductivity of the soil and variability of the plant’s water status; ii) investigation of the interaction between ECa, CWSI, and fruit quality; and iii) an approach for delineating management zones with respect to managing trees individually.
To that end, the main investigations took place in the plum orchard. This plantation got a slope of 3° grade on Pleistocene and post-Pleistocene substrates in a semi-humid climate (Potsdam, Germany) and encloses an area of 0.37 ha with 156 trees of the cultivar ˈTophit Plusˈ on a Wavit rootstock. The plantation was laid in 2009 with annual and biannual trees spaced 4 m distance along the irrigation system and 5 m between the rows. The trees were watered three times a week with a drip irrigation system positioned 50 cm above ground level providing 1.6 l per tree per event. With the help of geoelectric measurements, the apparent electrical conductivity of the upper soil (0.25 m) was measured for each tree with an electrode spacing of 0.5 m (4-point light hp). In this manner, the plantation was spatially charted with respect to the soil’s ECa. Additionally, tomography measurements were performed for 3D mapping of the soil ECa and spot checks of drilled cores with a profile of up to 1 m. The vegetative, generative, and fruit quality data were collected for each tree. The instantaneous plant water status was comprehensively determined in spot checks with the established Scholander method for water potential analysis (Scholander pressure bomb) as well as thermal imaging. An infrared camera was used for the thermal imaging (ThermaCam SC 500), mounted on a tractor 3.3 m above ground level. The thermal images (320 x 240 px) of the canopy surface were taken with an aperture of 45° and a geometric resolution of 8.54 x 6.41 mm. With the aid of the canopy temperature readings from the thermal images, cross-checked with manual temperature measurements of a dry and a wet reference leaf, the crop water stress index (CWSI) was calculated. Adjustments in CWSI for measurements in a semi-humid climate were developed, whereas the collection of reference temperatures was automatically collected from thermal images.
The bonitur data were transformed with the help of a variance stabilization process into a normal distribution. The statistical analyses as well as the automatic evaluation routine were performed with several scripts in MATLAB® (R2010b and R2016a) and a free program (spatialtoolbox). The hot spot analysis served to check whether an observed pattern is statistically significant. The method was evaluated with an established k-mean analysis. To test the hot-spot analysis by comparison, data from a grapefruit plantation (Adana, Turkey) was collected, including soil ECa, trunk circumference, and yield data. The plantation had 179 trees on a soil of type Xerofkuvent with clay and clay-loamy texture. The examination of the interaction between the critical values from the soil and plant water status information and the vegetative and generative plant growth variables was performed with the application from ANOVA.
The study indicates that the variability of the soil and plant information in fruit production is high, even considering small orchards. It was further indicated that the spatial patterns found in the soil ECa stayed constant through the years (r = 0.88 in 2011-2012 and r = 0.71 in 2012-2013). It was also demonstrated that CWSI determination may also be possible in semi-humid climate. A correlation (r = - 0.65, p < 0.0001) with the established method of leaf water potential analysis was found. The interaction between the ECa from various depths and the plant variables produced a highly significant connection with the topsoil in which the irrigation system was to be found. A correlation between yield and ECatopsoil of r = 0.52 was determined. By using the hot-spot analysis, extreme values in the spatial data could be determined. These extremes served to divide the zones (cold-spot, random, hot-spot). The random zone showed the highest correlation to the plant variables.
In summary it may be said that the cumulative water use efficiency (WUEc) was enhanced with high crop load. While the CWSI had no effect on fruit quality, the interaction of CWSI and WUEc even outweighed the impact of soil ECa on fruit quality in the production system with irrigation. In the plum orchard, irrigation was relevant for obtaining high quality produce even in the semi-humid climate.
Complex networks are ubiquitous in nature and society. They appear in vastly different domains, for instance as social networks, biological interactions or communication networks. Yet in spite of their different origins, these networks share many structural characteristics. For instance, their degree distribution typically follows a power law. This means that the fraction of vertices of degree k is proportional to k^(−β) for some constant β; making these networks highly inhomogeneous. Furthermore, they also typically have high clustering, meaning that links between two nodes are more likely to appear if they have a neighbor in common.
To mathematically study the behavior of such networks, they are often modeled as random graphs. Many of the popular models like inhomogeneous random graphs or Preferential Attachment excel at producing a power law degree distribution. Clustering, on the other hand, is in these models either not present or artificially enforced.
Hyperbolic random graphs bridge this gap by assuming an underlying geometry to the graph: Each vertex is assigned coordinates in the hyperbolic plane, and two vertices are connected if they are nearby. Clustering then emerges as a natural consequence: Two nodes joined by an edge are close by and therefore have many neighbors in common. On the other hand, the exponential expansion of space in the hyperbolic plane naturally produces a power law degree sequence. Due to the hyperbolic geometry, however, rigorous mathematical treatment of this model can quickly become mathematically challenging.
In this thesis, we improve upon the understanding of hyperbolic random graphs by studying its structural and algorithmical properties. Our main contribution is threefold. First, we analyze the emergence of cliques in this model. We find that whenever the power law exponent β is 2 < β < 3, there exists a clique of polynomial size in n. On the other hand, for β >= 3, the size of the largest clique is logarithmic; which severely contrasts previous models with a constant size clique in this case. We also provide efficient algorithms for finding cliques if the hyperbolic node coordinates are known. Second, we analyze the diameter, i. e., the longest shortest path in the graph. We find
that it is of order O(polylog(n)) if 2 < β < 3 and O(logn) if β > 3. To complement
these findings, we also show that the diameter is of order at least Ω(logn). Third, we provide an algorithm for embedding a real-world graph into the hyperbolic plane using only its graph structure. To ensure good quality of the embedding, we perform extensive computational experiments on generated hyperbolic random graphs. Further, as a proof of concept, we embed the Amazon product recommendation network and observe that products from the same category are mapped close together.