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On 6 June 1982, Israel invaded Lebanon to fight the Palestinian
Liberation Organization (PLO). Between August 1982 and February
1984, the US, France, Britain and Italy deployed a Multinational
Force (MNF) to Beirut. Its task was to act as an interposition force to
bolster the government and to bring peace to the people. The
mission is often forgotten or merely remembered in context with
the bombing of US Marines’ barracks. However, an analysis of the
Italian contingent shows that the MNF was not doomed to fail and
could accomplish its task when operational and diplomatic efforts
were coordinated. The Italian commander in Beirut, General Franco
Angioni, followed a successful approach that sustained neutrality,
respectful behaviour and minimal force, which resulted in a
qualified success of the Italian efforts.
Forging an Italian hero?
(2018)
Over the last two decades, Amedeo Guillet (1909–2010) has been turned into a public and military hero. His exploits as a guerrilla leader in Italian East Africa in 1941 have been exaggerated to forge a narrative of an honourable resistance against overwhelming odds. Thereby, Guillet has been showcased as a romanticized colonial explorer who was an apolitical and timeless Italian officer. He has been compared to Lawrence of Arabia in order to raise his international visibility, while his genuine Italian brand is perpetuated domestically. By elevating him to an official role model, the Italian Army has gained a focal point for military heroism that was also acceptable in the public memory as the embodiment of a ‘glorious’ defeat narrative.
The Italian Army’s participation in Hitler’s war against the Soviet Union has remained unrecognized and understudied. Bastian Matteo Scianna offers a wide-ranging, in-depth corrective. Mining Italian, German and Russian sources, he examines the history of the Italian campaign in the East between 1941 and 1943, as well as how the campaign was remembered and memorialized in the domestic and international arena during the Cold War. Linking operational military history with memory studies, this book revises our understanding of the Italian Army in the Second World War.
Die Rolle Italiens im Zweiten Weltkrieg wird, trotz enormer Fortschritte in den letzten Jahren, häufig stiefmütterlich behandelt oder bleibt das Metier einiger Spezialisten. Emanuele Sica und Richard Carrier, beide ausgewiesene Experten und in Kanada lehrend, haben einen anregenden Sammelband vorgelegt, der vergleichende (Ein‑)Blicke gestattet. Der Band überzeugt durch eine gute Balance zwischen quellengesättigten Beiträgen und neuen Erkenntnissen sowie sekundärliteraturgestützten Synthesen. Das Hauptaugenmerk liegt hierbei deutlich auf militärischen Themen, auch wenn durchaus sozialgeschichtliche Aspekte einfließen.
Der erste Abschnitt untersucht die Besatzungsherrschaft in Jugoslawien, Kreta und Südfrankreich. Wissenschaftliche Untersuchungen zur italienischen Besatzungsherrschaft haben in den letzten Jahren das ehemals vorherrschende Bild des »guten Italieners« einer notwendigen Korrektur unterzogen. Diese Besatzungen können mittlerweile als eines der am besten erforschten Felder bezeichnet werden.
Eric Gobetti und Federico Goddi steuern konzise Zusammenfassungen ihrer Monografien bei. Gobetti, der die italienische Besatzung Jugoslawiens von 1941 bis 1943 beleuchtet, hebt die zugleich arrogante und unkoordinierte Okkupationspolitik sowie die kontraproduktive Zusammenarbeit mit lokalen radikalen Nationalisten hervor. Diese beiden Faktoren, so Gobetti, bestärkten den Widerstand gegen die Italiener und beendeten faschistische Träume eines Imperiums entlang der Adria. Goddi analysiert in seinem primärquellenreichen Beitrag die Reaktionen des italienischen Militärs auf den montenegrinischen Aufstand am 13. Juli 1941. Anhand des Militärgerichts in Cetinje verdeutlicht der Autor die unterschiedlichen Repressionsinstrumente und die Zusammenarbeit mit lokalen Kollaborateuren, wobei nicht immer deutlich wird, in welche Richtung Goddi argumentiert.
Der Beitrag von Paolo Fonzi über das italienische Besatzungsregime auf Kreta ist besonders hervorzuheben. Fonzi zeigt, dass im Vergleich zur italienischen Besatzung auf dem griechischen Festland die Herrschaft über den östlichen Teil Kretas weniger brutal war. Das lag nicht an der sprichwörtlichen Milde der Italiener, sondern an situativen Gegebenheiten. Die Italiener versuchten, wie in anderen Teilen Griechenlands, ihre Zone vom deutschen Besatzungsgebiet »abzutrennen« und eine italienische Sphäre zu errichten. Allerdings fielen die Zwangsmaßnahmen, etwa im wirtschaftlichen oder kulturellen Bereich, viel geringer aus als andernorts, was sich darin niederschlug, dass sich im Osten der Insel keine Guerrillabewegung bildete. Neben der generell geringen Partisanenaktivität auf den griechischen Inseln führt Fonzi dies auch auf die große Zahl der italienischen Soldaten (15 000–22 000) in Relation zur Zivilbevölkerung (70 000) zurück. Schaut man jedoch auf die Zahlen in Montenegro aus Goddis Beitrag (107 000 italienische Soldaten – 390 000 Zivilisten) scheint das zahlenmäßige Verhältnis nicht ungewöhnlich, auch wenn in beiden Fällen die Zahl der Soldaten sehr hoch ist. Überzeugender ist Fonzis Analyse der lokalen Kultur als hemmender Faktor. Im Osten der Insel sei die Tradition des Widerstandes und des Militärdienstes allgemein weniger verankert gewesen. Zudem halfen die Italiener der Bevölkerung Engpässe in der Lebensmittelversorgung zu vermeiden. Die Beiträge zur Besatzung, abgerundet durch eine Studie zur italienischen Besatzung in (Südost‑)Frankreich, zeigen daher unterschiedliche Herangehensweisen und Reaktionen des Militärs, je nach Situation.
Der zweite Abschnitt widmet sich einem oft vernachlässigten Kapitel der italienischen Rolle im Zweiten Weltkrieg: dem Kampf regulärer Einheiten, also nicht der Resistenza, gegen die Wehrmacht und die italienische faschistische Republik im Norden ab Oktober 1943. Richard Carrier analysiert die ambivalenten britischen und amerikanischen Einschätzungen des taufrischen Bündnispartners, die internen Probleme der »neuen« Armee (die das Fundament der Streitkräfte nach 1945 bildete und somit institutionelle Kontinuität »bewahrte«) sowie den nicht unbedeutenden aktiven und passiven Einsatz italienischer Soldaten an der Seite der Alliierten. Niccolò Da Lio skizziert in einer Militärgeschichte »von unten« die Motivation und Gefühlslagen der Soldaten nach dem 8. September 1943 (Waffenstillstand zwischen Italien und den Alliierten) bis zur Befreiung des Landes.
Der dritte Abschnitt des Sammelbandes widmet sich der Rolle der Resistenza und geht auf verschiedene Facetten des Bürgerkriegs ein, etwa die Miteinbeziehung von Frauen oder die Bestrafung von Faschisten bis 1945. Der letzte Teil des Bandes untersucht den Einsatz der istrischen Minderheit im Krieg gegen die Sowjetunion und die Kriegserfahrung italienisch-stämmiger Soldaten der Alliierten im Geburtsland ihrer Vorfahren sowie die Aufarbeitung deutscher Kriegsverbrechen in Italien nach dem 8. September 1943.
Das Vor‑ und Nachwort der Herausgeber spannt einen gelungenen Bogen, zeigt Forschungstendenzen auf, fasst Ergebnisse des Bandes zusammen und liefert zugleich Anreize für weitere Studien. Zu bemängeln ist, dass sich auf 366 Seiten keine Karte findet und dem Leser daher eine detaillierte Kenntnis, zum Beispiel der Geografie Montenegros, abverlangt wird. Dennoch wird das vorliegende Werk für viele Kollegen ein wichtiger und ständiger Begleiter werden, denn es leistet einen wichtigen Beitrag, um Italiens Rolle (und die des Königlichen Heeres) im Zweiten Weltkrieg besser zu verstehen.
Geothermobarometric, radiogenic isotopic and thermochronologic data are used to track the influence of an ancient continental margin (Western Province) on development of an adjacent Carboniferous-Cretaceous magmatic arc (Outboard Median Batholith) in Fiordland, New Zealand. The data show a record of complicated Mesozoic Gondwana margin growth. Paragneiss within the Outboard Median Batholith is of Carboniferous to Jurassic age and records burial to middle crustal depths in Late Jurassic-Early Cretaceous during subduction-related plutonism and arc thickening. In contrast, Western Province metasedimentary rocks in the area of study immediately west of the Outboard Median Batholith are Late Cambrian-Early Ordovician in age, recrystallized at the amphibolite facies in the Late Devonian-Early Carboniferous and exhibit no evidence for Mesozoic textural or isotopic reequilibration. A phase of deformation, between 128 and 116 Ma deformed, exhumed, and cooled the Outboard Median Batholith to greenschist facies temperatures, while large parts of the Western Province underwent >= 9 kbar metamorphic conditions. Zircon grains from Mesozoic inboard plutons are isotopically more evolved (epsilon Hf(t) = +2.3 to +4.0) than those in the Outboard Median Batholith (epsilon Hf(t) = +9.4 to +11.1). The contrasting zircon Hf isotope ratios, absence of S-type plutons or Proterozoic-Early Paleozoic inherited zircon, and the apparent absence of Early Paleozoic metasedimentary rocks indicates that the Outboard Median Batholith is unlikely to be underlain by the Western Province continental lithosphere. The new data are consistent with the Outboard Median Batholith representing an allochthonous (although not necessarily exotic) arc that was juxtaposed onto the Gondwana continental margin along the intervening Grebe Mylonite Zone.
Extremely rare veinlets and reaction textures composed of symplectites of olivine (similar to Fo(43-55)) + plagioclase +/- spinel +/- ilmenite, associated with more common pyroxene + plagioclase and amphibole + plagioclase varieties, are preserved within eclogites and garnet pyroxenites in the Moldanubian Zone of the Bohemian Massif. Thermodynamic modelling integrated with conventional geothermometry conducted on an eclogite reveals that the symplectite-forming stage occurred at high T (similar to 850 degrees C) and low P (< 6 and > 2 center dot 5 kbar). The development of the different symplectite types reflects reactions that took place in micro-scale domains. The breakdown of high-P garnet controlled the formation of olivine-bearing and amphibole + plagioclase symplectites, whereas breakdown of high-P omphacite led to formation of pyroxene + plagioclase symplectites. In addition, post-eclogite facies but pre-symplectite stage porphyroblastic amphibole and phlogopite were also replaced by olivine-bearing symplectites. Material transfer calculations and thermodynamic modelling indicate that the formation of different symplectite types was linked despite their different bulk compositions. For example, the olivine-bearing symplectites gained Fe +/- Mg, whereas adjacent amphibole + plagioclase and pyroxene + plagioclase symplectites show losses in Fe and Mg; Al, Si and Ca were also variably exchanged. The olivine-bearing symplectites were particularly sensitive to Na despite the small concentration of this element. In eclogites where Na was readily available, the plagioclase composition in the olivine-bearing symplectites shifted from pure anorthite to bytownite, with the less calcic feldspar partitioning Si and inhibiting the formation of orthopyroxene. This regional high-T, low-P granulite-facies symplectite overprint may have been caused by advective heat loss from rapidly exhumed high-T, high-P granulitic bodies (Gfohl Unit) that were emplaced into and over the middle crust (Monotonous and Varied Series) during Carboniferous continent-continent collision.
A massive pulse of granitic magma was rapidly emplaced into the once contiguous West Antarctic and New Zealand segments of the palaeo-Pacific margin of the Gondwana supercontinent at similar to 371 Ma. In New Zealand, these Late Devonian S-type granitoids cover an areal extent of > 3400 km(2), but the tectonic setting for crustal partial melting has remained unclear because most of the exposure represents either emplacement-level, or rocks that have been reworked during Cretaceous orogenesis. New petrologic data indicate that aluminous paragneisses and orthogneisses in the Bonar Range represent a rare portion of Devonian middle crust that preserves evidence for the initiation of crustal melting. The investigated rocks outline the tail of a clockwise P-T path that involved partial melting at peak conditions (similar to 670 degrees C, 5.1 kb), deformation during the immediately following near-isothermal decompression, and then partial re-equilibration under static conditions. Syn- to post-kinematic growth of zoned monazite establishes the timing of recrystallisation to a similar to 16 Ma period that began at 373.4 +/- 4.1 Ma. This age overlaps with the initiation of regional Karamea S-type granitic magmatism. Although estimated metamorphic conditions were insufficient for large amounts of melt to have been produced from Bonar Range pelites (calculated melt volumes are <10%), they do provide evidence consistent with widespread heating and partial melting in the deeper crust. This heating episode was contemporaneous with partial melting in Fiordland (New Zealand) and West Antarctica, although Mesozoic thermal and deformational events complicate the Palaeozoic record in both those areas. Nevertheless, the apparent 1000 s km of along-strike crustal partial melting indicates that a continental-scale tectonic plate margin re-organisation took place at this time. The cause in the New Zealand segment was most likely, but not unequivocally, an extensional tectonic regime with an elevated geothermal gradient caused by conductive heating from a shallowed lithospheric mantle.
Rezensiertes Werk: Pallagst, Karina M.: Raumordnung der Tschechischen Republik : Mittel- und Osteuropa vor dem Hintergrund europäischer Raumordnungsbestrebungen / Karina M. Pallagst. - Berlin : Berlin Verl. Spitz, 2000. - 212 S. : graph. Darst., Kt. Zugl.: Kaiserslautern, Univ., Diss, 1999 ISBN 3-8305-0077-7
A panoply of new tools for tracking single particles and molecules has led to an explosion of experimental data, leading to novel insights into physical properties of living matter governing cellular development and function, health and disease. In this Perspective, we present tools to investigate the dynamics and mechanics of living systems from the molecular to cellular scale via single-particle techniques. In particular, we focus on methods to measure, interpret, and analyse complex data sets that are associated with forces, materials properties, transport, and emergent organisation phenomena within biological and soft-matter systems. Current approaches, challenges, and existing solutions in the associated fields are outlined in order to support the growing community of researchers at the interface of physics and the life sciences. Each section focuses not only on the general physical principles and the potential for understanding living matter, but also on details of practical data extraction and analysis, discussing limitations, interpretation, and comparison across different experimental realisations and theoretical frameworks. Particularly relevant results are introduced as examples. While this Perspective describes living matter from a physical perspective, highlighting experimental and theoretical physics techniques relevant for such systems, it is also meant to serve as a solid starting point for researchers in the life sciences interested in the implementation of biophysical methods.
Der Adhäsionsprozess an Cellulosefasern sollte bis hin zur molekularen Ebene aufgeklärt werden. Zuerst wurde eine definierte Celluloseoberfläche durch Aufschleudern hergestellt und eingehend charakterisiert wurde. Die Beschaffenheit der Oberfläche ist stark abhängig von der Konzentration Celluloselösung, die für das Aufschleudern benutzt wurde. Für geringe Konzentrationen bildete sich ein Netzwerk von Cellulosefibrillen über die Siliziumoberfläche aus. In einem mittleren Bereich wurden geschlossene Filme mit Dicken zwischen 1,5 und ca. 10 nm erhalten. Diese Filme wiesen eine Rauhigkeit unter 2 nm auf, was der Größe eines Cellulosemoleküls entspräche. Mit höheren Konzentrationen wurden die Filme dicker und auch rauer. Die molekular glatten Cellulosefilme wurden zur Untersuchung der Adhäsionseigenschaften zwischen Celluloseoberflächen und ihrer Modifikation durch den Einfluss von Haftvermittlern (Polyelektrolyte) eingesetzt. Dafür wurde das Haftungsvermögen von Celluloseperlen auf der glatten Celluloseoberfläche analysiert. Die Adhäsion der Celluloseperlen hängt dabei von der Menge und von der Art des adsorbierten Polyelektrolyts ab. Geringe Polyelektrolytkonzentrationen ermöglichen wegen der teilweisen Bedeckung der Celluloseoberflächen eine Verstärkung der Haftvermittlung (Adhäsion). Höhere Konzentrationen an Polyelektrolyten bedecken die Celluloseoberfläche komplett, so dass die Symmetrie der Polyelektrolytadsorption entscheidend wird. Wenn Celluloseperlen und glatte Celluloseoberfläche gleichzeitig mit Polyelektrolyten beschichtet werden verringert sich bei hohen Konzentrationen die Adhäsion erheblich. Ein hohes Maß an Adhäsion wird dagegen erreicht, wenn nur eine der beiden gegenüberliegende Celluloseoberflächen separat beschichtet und dann in Kontakt mit der anderen gebracht Oberfläche wurde. Der Einfluss einer äußeren Kraft auf die haftenden Celluloseperlen wurde untersucht, um eine Aussage über die auftretenden Adhäsionskräfte machen zu können. Dafür wurde eine spezielle Strömungszelle entwickelt, mit der die Bewegung von Celluloseperlen beobachtet werden kann. Je nach Ausrichtung der Strömungszelle bewegten sich die Celluloseperlen unterschiedlich schnell. War die Strömungszelle horizontal ausgerichtet, wirkte zusätzlich zur Adhäsionskraft noch die Gravitation auf die Oberfläche, so dass hier eine wesentlich langsamere Durchschnittsgeschwindigkeit ermittelt wurde als für die Messungen in vertikaler Ausrichtung. Die Zugabe von verschiedenen Polyelektrolyten bei den Messungen mit der Strömungszelle hatte einen erheblichen Einfluss auf die Beweglichkeit der haftenden Celluloseperlen. Bei geringen Polyelektrolytkonzentrationen wurde das Potential der einzelnen Polyelektrolyten zur effektiven Haftvermittlung durch eine signifikant geringere Durchschnittsgeschwindigkeit der rollenden Celluloseperlen sichtbar. Aus der kritischen Anfangsgeschwindigkeit der rollenden Celluloseperlen wurde die Adhäsionsarbeit errechnet, die für die Bewegung nötig ist.
Originally developed for use in the petroleum industry, Rock-Eval pyrolysis is a technique commonly applied to lake sediments to infer paleoenvironmental reconstructions. The standard Rock-Eval parameters provide information on the amount of total organic and inorganic carbon (TOC and MinC, respectively), and are usually interpreted as proxies for the source (aquatic or terrestrial) of the primary production of organic matter (Hydrogen Index vs Oxygen Index). Although this method usually provides valuable evidence, the common presence of siderite in tropical lake sediments can alter the primary signal of the sedimentary organic matter (SOM). Indeed, the CO2 and CO released by the pyrolysis of siderite are integral to the calculation of the SOM-related standard Rock-Eval parameters. In this study, we analyze sediments from a core collected in the Lake Barombi (southwest Cameroon) and describe the impact of siderite on standard Rock-Eval parameters. We propose a workflow that allows standard Rock-Eval parameters to be corrected, based on the analysis of thermograms. The proposed corrections provide siderite-effect-free parameters, accurately reflecting the changes in sedimentary organic matter composition. (C) 2018 Elsevier Ltd. All rights reserved.
We perform experiments and phase model simulations with a ring network of oscillatory electrochemical reactions to explore the effect of random connections and nonisochronicity of the interactions on the pattern formation. A few additional links facilitate the emergence of the fully synchronized state. With larger nonisochronicity, complex rotating waves or persistent irregular phase dynamics can derail the convergence to global synchronization. The observed long transients of irregular phase dynamics exemplify the possibility of a sudden onset of hypersynchronous behavior without any external stimulus or network reorganization.
Background: Human and animal work suggests a shift from goal-directed to habitual decision-making in addiction. However, the evidence for this in human alcohol dependence is as yet inconclusive. Methods: Twenty-six healthy controls and 26 recently detoxified alcohol-dependent patients underwent behavioral testing with a 2-step task designed to disentangle goal-directed and habitual response patterns. Results: Alcohol-dependent patients showed less evidence of goal-directed choices than healthy controls, particularly after losses. There was no difference in the strength of the habitual component. The group differences did not survive controlling for performance on the Digit Symbol Substitution Task. Conclusion: Chronic alcohol use appears to selectively impair goal-directed function, rather than promoting habitual responding. It appears to do so particularly after nonrewards, and this may be mediated by the effects of alcohol on more general cognitive functions subserved by the prefrontal cortex.
Background Aversive stimuli in the environment influence human actions. This includes valence-dependent influences on action selection, e.g., increased avoidance but decreased approach behavior. However, it is yet unclear how aversive stimuli interact with complex learning and decision-making in the reward and avoidance domain. Moreover, the underlying computational mechanisms of these decision-making biases are unknown. Methods To elucidate these mechanisms, 54 healthy young male subjects performed a two-step sequential decision-making task, which allows to computationally model different aspects of learning, e.g., model-free, habitual, and model-based, goal-directed learning. We used a within-subject design, crossing task valence (reward vs. punishment learning) with emotional context (aversive vs. neutral background stimuli). We analyzed choice data, applied a computational model, and performed simulations. Results Whereas model-based learning was not affected, aversive stimuli interacted with model-free learning in a way that depended on task valence. Thus, aversive stimuli increased model-free avoidance learning but decreased model-free reward learning. The computational model confirmed this effect: the parameter lambda that indicates the influence of reward prediction errors on decision values was increased in the punishment condition but decreased in the reward condition when aversive stimuli were present. Further, by using the inferred computational parameters to simulate choice data, our effects were captured. Exploratory analyses revealed that the observed biases were associated with subclinical depressive symptoms. Conclusion Our data show that aversive environmental stimuli affect complex learning and decision-making, which depends on task valence. Further, we provide a model of the underlying computations of this affective modulation. Finally, our finding of increased decision-making biases in subjects reporting subclinical depressive symptoms matches recent reports of amplified Pavlovian influences on action selection in depression and suggests a potential vulnerability factor for mood disorders. We discuss our findings in the light of the involvement of the neuromodulators serotonin and dopamine.
BACKGROUND: Addiction is supposedly characterized by a shift from goal-directed to habitual decision making, thus facilitating automatic drug intake. The two-step task allows distinguishing between these mechanisms by computationally modeling goal-directed and habitual behavior as model-based and model-free control. In addicted patients, decision making may also strongly depend upon drug-associated expectations. Therefore, we investigated model-based versus model-free decision making and its neural correlates as well as alcohol expectancies in alcohol-dependent patients and healthy controls and assessed treatment outcome in patients. METHODS: Ninety detoxified, medication-free, alcohol-dependent patients and 96 age-and gender-matched control subjects underwent functional magnetic resonance imaging during the two-step task. Alcohol expectancies were measured with the Alcohol Expectancy Questionnaire. Over a follow-up period of 48 weeks, 37 patients remained abstinent and 53 patients relapsed as indicated by the Alcohol Timeline Followback method. RESULTS: Patients who relapsed displayed reduced medial prefrontal cortex activation during model-based decision making. Furthermore, high alcohol expectancies were associated with low model-based control in relapsers, while the opposite was observed in abstainers and healthy control subjects. However, reduced model-based control per se was not associated with subsequent relapse. CONCLUSIONS: These findings suggest that poor treatment outcome in alcohol dependence does not simply result from a shift from model-based to model-free control but is instead dependent on the interaction between high drug expectancies and low model-based decision making. Reduced model-based medial prefrontal cortex signatures in those who relapse point to a neural correlate of relapse risk. These observations suggest that therapeutic interventions should target subjective alcohol expectancies.
Behavioral choice can be characterized along two axes. One axis distinguishes reflexive, model-free systems that slowly accumulate values through experience and a model-based system that uses knowledge to reason prospectively. The second axis distinguishes Pavlovian valuation of stimuli from instrumental valuation of actions or stimulus–action pairs. This results in four values and many possible interactions between them, with important consequences for accounts of individual variation. We here explored whether individual variation along one axis was related to individual variation along the other. Specifically, we asked whether individuals' balance between model-based and model-free learning was related to their tendency to show Pavlovian interferences with instrumental decisions. In two independent samples with a total of 243 participants, Pavlovian–instrumental transfer effects were negatively correlated with the strength of model-based reasoning in a two-step task. This suggests a potential common underlying substrate predisposing individuals to both have strong Pavlovian interference and be less model-based and provides a framework within which to interpret the observation of both effects in addiction.
Stress plays a key role in modulating addictive behavior and can cause relapse following periods of abstinence. Common effects of stress and alcohol on the dopaminergic system have been suggested, although the precise mechanisms are unclear. Here, we investigated 20 detoxified alcohol-dependent patients and 19 matched healthy controls and assessed striatal D2/D3 availability using [F-18]-fallypride positron emission tomography and stressful life events. We found a strong association between striatal D2/D3 availability and stress in patients, but not in healthy controls. Interestingly, we found increased D2/D3 receptor availability in patients with higher stress levels. This mirrors complex interactions between stress and alcohol intake in animal studies and emphasizes the importance to investigate stress exposure in neurobiological studies of addiction.
The post-Variscan uplift of the western Anti-Atlas Precambrian core is studied by zircon fission track (ZFT) analysis of ten samples of granites and schists from the Kerdous and Ifni inliers. All samples yield Carboniferous ZFT ages ranging from 358 +/- 31 Ma to 319 +/- 32 Ma, with nine dates younger than 338 +/- 35 Ma. The weighted mean age calculated for these nine samples is 328 +/- 30 Ma. These results compare with the available K-Ar datings of white mica and biotite from the same rocks or from the overlying Ediacaran-Cambrian low-grade metasediments. The fact that different systems with distinct closure temperatures yield similar ages suggests the occurrence of a short Carboniferous thermal event followed by rapid cooling. Consistent with the regional geological framework, the thermal event is assigned to the Variscan folding, being followed by rapid exhumation and cooling related to the post-folding erosion. To cite this article: S. Sebti et aL, C. R. Geoscience 341 (2009).
It has long been appreciated that material chemistry and topology profoundly affect cell adhesion and migration. Here, aqueous poly(N- isopropyl acrylamide) nanogels are designed, synthesized and printed in form of colloidal arrays on glass substrates using wrinkled polydimethylsiloxane templates. Using low-temperature plasma treatment, nanogels are chemically grafted onto glass supports thus leading to highly stable nanogel layers in cell culture media. Liquid cell atomic force microscopy investigations show that surface-grafted nanogels retain their swelling behavior in aqueous media and that extracellular matrix protein coating do not alter their stability and topography. It is demonstrated that surface-grafted nanogels could serve as novel substrates for the analysis of cell adhesion and migration. Nanogels influence size, speed, and dynamics of focal adhesions and cell motility forcing cells to move along highly directional trajectories. Moreover, modulation of nanogel state or spacing serves as an effective tool for regulation of cell motility. It is suggested that nanogel arrays deposited on solid surfaces could be used to provide a precise and tunable system to understand and control cell migration. Additionally, such nanogel arrays will contribute to the development of implantable systems aimed at supporting and enhancing cell migration during, for instance, wound healing and tissue regeneration.
Polypeptoid block coloymers
(2014)
As polypeptoids become increasingly popular, they present a more soluble and processable alternative to natural and synthetic polypeptides; the breadth of their potential functionality slowly comes into focus. This report analyzes the ability of an alkyne-functionalized polypeptoid, poly(N-propargyl glycine), to crosslink upon heating. The crosslinking process is analyzed by thermal analysis (differential scanning calorimetry and thermogravimetric analysis), Fourier-transform infrared, electron paramagnetic resonance, and solid-state NMR spectroscopy. While a precise mechanism cannot be confidently assigned, it is clear that the reaction proceeds by a radical mechanism that exclusively involves the alkyne functionality, which, upon crosslinking, yields alkene and aromatic products.
Polypeptoids have been of great interest in the polymer science community since the early half of the last century; however, they had been basically forgotten materials until the last decades in which they have enjoyed an exciting revival. In this mini-review, we focus on the recent developments in polypeptoid chemistry, with particular focus on polymers synthesized by the ring-opening polymerization (ROP) of amino acid N-carboxyanhydrides (NCAs). Specifically, we will review traditional monomer synthesis (such as Leuchs, Katchalski, and Kricheldorf) and recent advances in polymerization methods to yield both linear, cyclic, and functional polymers, solution and bulk thermal properties, and preliminary results on the use of polypeptoids as biomaterials (i.e immunogenicity, biodistribution, degradability, and drug delivery).
Poly(N-propargyl glycine) (PNPG) can be readily prepared by ring-opening polymerization of N-propargyl glycine N-carboxyanhydride (NCA) and modified using various addition reactions such as copper catalyzed [3+2] cycloaddition of azide, radical (photo-)addition of thiol, nucleophilic addition of ethylene oxide, and thermal induced cross-linking. It is demonstrated that PNPG can serve as a modular platform to produce a bibliography of novel functional polypeptoid or pseudopeptide materials, including polypeptoid ionic liquids and graft copolymers.
Block copolypeptoids comprising a thermosensitive, crystallizable poly(N-(n-propyl)glycine) block and a watersoluble poly(N-methylglycine) block, P70My (y = 23, 42, 76, 153, and 290), were synthesized bY ring-opening polymerization of the corresponding N-alkylglycine N-carboxyanhydrides (NCAs) and examined according to their thermo-induced aggregation and crystallization in water by turbidimetty, micro-differential scanning calorimetry (micro-DSC); cryogenic scanning electron microscopy (cryo-SEM), analytical ultracentrifugation (AUC), and static light scattering (SLS). At a temperature above the cloud point temperature, the initially formed micellar aggregates started to crystallize and grow into larger complex assemblies of about 100-500 nm, exhibiting flower-like (P70M23), ellipsoidal (P70M42 and P70M72) or irregular shapes (P70M153 and.P70M290).
We take an error management perspective on audit quality. Drawing on 18 months of participant observations and 38 interviews conducted in a Big 4 accounting firm, we develop a multi-level model of error management. With this model, we propose how organizational structures, team procedures and practices, and individual cognitions and emotions interact to manage errors. The multi-level model of error management allows us to conceptually integrate previous behavioral and social research on audit quality, contributes to the rising accounting firm error management literature, and explains how and why two general approaches from the broader error management literature to errors that are usually considered as opposing each other, i.e., error prevention and error resilience, may interact and actually entail each other in accounting firms.
Modern single-particle-tracking techniques produce extensive time-series of diffusive motion in a wide variety of systems, from single-molecule motion in living-cells to movement ecology. The quest is to decipher the physical mechanisms encoded in the data and thus to better understand the probed systems. We here augment recently proposed machine-learning techniques for decoding anomalous-diffusion data to include an uncertainty estimate in addition to the predicted output. To avoid the Black-Box-Problem a Bayesian-Deep-Learning technique named Stochastic-Weight-Averaging-Gaussian is used to train models for both the classification of the diffusionmodel and the regression of the anomalous diffusion exponent of single-particle-trajectories. Evaluating their performance, we find that these models can achieve a wellcalibrated error estimate while maintaining high prediction accuracies. In the analysis of the output uncertainty predictions we relate these to properties of the underlying diffusion models, thus providing insights into the learning process of the machine and the relevance of the output.
Modern single-particle-tracking techniques produce extensive time-series of diffusive motion in a wide variety of systems, from single-molecule motion in living-cells to movement ecology. The quest is to decipher the physical mechanisms encoded in the data and thus to better understand the probed systems. We here augment recently proposed machine-learning techniques for decoding anomalous-diffusion data to include an uncertainty estimate in addition to the predicted output. To avoid the Black-Box-Problem a Bayesian-Deep-Learning technique named Stochastic-Weight-Averaging-Gaussian is used to train models for both the classification of the diffusion model and the regression of the anomalous diffusion exponent of single-particle-trajectories. Evaluating their performance, we find that these models can achieve a well-calibrated error estimate while maintaining high prediction accuracies. In the analysis of the output uncertainty predictions we relate these to properties of the underlying diffusion models, thus providing insights into the learning process of the machine and the relevance of the output. <br /> Diffusive motions in complex environments such as living biological cells or soft matter systems can be analyzed with single-particle-tracking approaches, where accuracy of output may vary. The authors involve a machine-learning technique for decoding anomalous-diffusion data and provide an uncertainty estimate together with predicted output.
Sprache
Englisch
Modern single-particle-tracking techniques produce extensive time-series of diffusive motion in a wide variety of systems, from single-molecule motion in living-cells to movement ecology. The quest is to decipher the physical mechanisms encoded in the data and thus to better understand the probed systems. We here augment recently proposed machine-learning techniques for decoding anomalous-diffusion data to include an uncertainty estimate in addition to the predicted output. To avoid the Black-Box-Problem a Bayesian-Deep-Learning technique named Stochastic-Weight-Averaging-Gaussian is used to train models for both the classification of the diffusionmodel and the regression of the anomalous diffusion exponent of single-particle-trajectories. Evaluating their performance, we find that these models can achieve a wellcalibrated error estimate while maintaining high prediction accuracies. In the analysis of the output uncertainty predictions we relate these to properties of the underlying diffusion models, thus providing insights into the learning process of the machine and the relevance of the output.
Folding and function of repetitive structure in the homotrimetric phage P22 tailspike protein
(1998)
Acquired tolerance to heat stress is an increased resistance to elevated temperature following a prior exposure to heat. The maintenance of acquired thermotolerance in the absence of intervening stress is called ‘thermomemory’ but the mechanistic basis for this memory is not well defined. Here we show that Arabidopsis HSP21, a plastidial small heat shock protein that rapidly accumulates after heat stress and remains abundant during the thermomemory phase, is a crucial component of thermomemory. Sustained memory requires that HSP21 levels remain high. Through pharmacological interrogation and transcriptome profiling, we show that the plastid-localized metalloprotease FtsH6 regulates HSP21 abundance. Lack of a functional FtsH6 protein promotes HSP21 accumulation during the later stages of thermomemory and increases thermomemory capacity. Our results thus reveal the presence of a plastidial FtsH6–HSP21 control module for thermomemory in plants.
As sessile life forms, plants are repeatedly confronted with adverse environmental conditions, which can impair development, growth, and reproduction. During evolution, plants have established mechanisms to orchestrate the delicate balance between growth and stress tolerance, to reset cellular biochemistry once stress vanishes, or to keep a molecular memory, which enables survival of a harsher stress that may arise later. Although there are several examples of memory in diverse plants species, the molecular machinery underlying the formation, duration, and resetting of stress memories is largely unknown so far. We report here that autophagy, a central self-degradative process, assists in resetting cellular memory of heat stress (HS) in Arabidopsis thaliana. Autophagy is induced by thermopriming (moderate HS) and, intriguingly, remains high long after stress termination. We demonstrate that autophagy mediates the specific degradation of heat shock proteins at later stages of the thermorecovery phase leading to the accumulation of protein aggregates after the second HS and a compromised heat tolerance. Autophagy mutants retain heat shock proteins longer than wild type and concomitantly display improved thermomemory. Our findings reveal a novel regulatory mechanism for HS memory in plants.
Climate-related costs and benefits may not be evenly distributed across the population. We study distributional implications of seasonal weather and climate on within-country inequality in rural India. Utilizing a first difference approach, we find that the poor are more sensitive to weather variations than the non-poor. The poor respond more strongly to (seasonal) temperature changes: negatively in the (warm) spring season, more positively in the (cold) rabi season. Less precipitation is harmful to the poor in the monsoon kharif season and beneficial in the winter and spring seasons. We show that adverse weather aggravates inequality by reducing consumption of the poor farming households. Future global warming predicted under RCP8.5 is likely to exacerbate these effects, reducing consumption of poor farming households by one third until the year 2100. We also find inequality in consumption across seasons with higher consumption during the harvest and lower consumption during the sowing seasons.
The hepatokine FGF21 and the adipokine chemerin have been implicated as metabolic regulators and mediators of inter-tissue crosstalk. While FGF21 is associated with beneficial metabolic effects and is currently being tested as an emerging therapeutic for obesity and diabetes, chemerin is linked to inflammation-mediated insulin resistance. However, dietary regulation of both organokines and their role in tissue interaction needs further investigation.
The LEMBAS nutritional intervention study investigated the effects of two diets differing in their protein content in obese human subjects with non-alcoholic fatty liver disease (NAFLD). The study participants consumed hypocaloric diets containing either low (LP: 10 EN%, n = 10) or high (HP: 30 EN%, n = 9) dietary protein 3 weeks prior to bariatric surgery. Before and after the intervention the participants were anthropometrically assessed, blood samples were drawn, and hepatic fat content was determined by MRS. During bariatric surgery, paired subcutaneous and visceral adipose tissue biopsies as well as liver biopsies were collected. The aim of this thesis was to investigate circulating levels and tissue-specific regulation of (1) FGF21 and (2) chemerin in the LEMBAS cohort. The results were compared to data obtained in 92 metabolically healthy subjects with normal glucose tolerance and normal liver fat content.
(1) Serum FGF21 concentrations were elevated in the obese subjects, and strongly associated with intrahepatic lipids (IHL). In accordance, FGF21 serum concentrations increased with severity of NAFLD as determined histologically in the liver biopsies. Though both diets were successful in reducing IHL, the effect was more pronounced in the HP group. FGF21 serum concentrations and mRNA expression were bi-directionally regulated by dietary protein, independent from metabolic improvements. In accordance, in the healthy study subjects, serum FGF21 concentrations dropped by more than 60% in response to the HP diet. A short-term HP intervention confirmed the acute downregulation of FGF21 within 24 hours. Lastly, experiments in HepG2 cell cultures and primary murine hepatocytes identified nitrogen metabolites (NH4Cl and glutamine) to dose-dependently suppress FGF21 expression.
(2) Circulating chemerin concentrations were considerably elevated in the obese versus lean study participants and differently associated with markers of obesity and NAFLD in the two cohorts. The adipokine decreased in response to the hypocaloric interventions while an unhealthy high-fat diet induced a rise in chemerin serum levels. In the lean subjects, mRNA expression of RARRES2, encoding chemerin, was strongly and positively correlated with expression of several cytokines, including MCP1, TNFα, and IL6, as well as markers of macrophage infiltration in the subcutaneous fat depot. However, RARRES2 was not associated with any cytokine assessed in the obese subjects and the data indicated an involvement of chemerin not only in the onset but also resolution of inflammation. Analyses of the tissue biopsies and experiments in human primary adipocytes point towards a role of chemerin in adipogenesis while discrepancies between the in vivo and in vitro data were detected.
Taken together, the results of this thesis demonstrate that circulating FGF21 and chemerin levels are considerably elevated in obesity and responsive to dietary interventions. FGF21 was acutely and bi-directionally regulated by dietary protein in a hepatocyte-autonomous manner. Given that both, a lack in essential amino acids and excessive nitrogen intake, exert metabolic stress, FGF21 may serve as an endocrine signal for dietary protein balance. Lastly, the data revealed that chemerin is derailed in obesity and associated with obesity-related inflammation. However, future studies on chemerin should consider functional and regulatory differences between secreted and tissue-specific isoforms.
Trade plays a key role in the spread of alien species and has arguably contributed to the recent enormous acceleration of biological invasions, thus homogenizing biotas worldwide. Combining data on 60-year trends of bilateral trade, as well as on biodiversity and climate, we modeled the global spread of plant species among 147 countries. The model results were compared with a recently compiled unique global data set on numbers of naturalized alien vascular plant species representing the most comprehensive collection of naturalized plant distributions currently available. The model identifies major source regions, introduction routes, and hot spots of plant invasions that agree well with observed naturalized plant numbers. In contrast to common knowledge, we show that the 'imperialist dogma,' stating that Europe has been a net exporter of naturalized plants since colonial times, does not hold for the past 60 years, when more naturalized plants were being imported to than exported from Europe. Our results highlight that the current distribution of naturalized plants is best predicted by socioeconomic activities 20 years ago. We took advantage of the observed time lag and used trade developments until recent times to predict naturalized plant trajectories for the next two decades. This shows that particularly strong increases in naturalized plant numbers are expected in the next 20 years for emerging economies in megadiverse regions. The interaction with predicted future climate change will increase invasions in northern temperate countries and reduce them in tropical and (sub) tropical regions, yet not by enough to cancel out the trade-related increase.
Im Rahmen der vorliegenden Arbeit ist es erstmals gelungen, mit einem ps-Pumplaser (10 ps) Weißlicht mit einer spektralen Breite von mehr als einer optischen Oktave in einer mikrostrukturierten Faser (MSF) bei einer Pumpwellenlänge von 1064 nm zu generieren. Es ließ sich, abgesehen von nichtkonvertierten Resten der Pumpstrahlung, ein unstrukturiertes und zeitlich stabiles Weißlichtspektrum von 700 nm bis 1650 nm generieren. Die maximale Ausgangsleistung dieser Weißlichtstrahlung betrug 3,1 W. Es konnten sehr gute Einkoppeleffizienzen von maximal 62 % erzielt werden. Die an der Weißlichterzeugung beteiligten dispersiven und nichtlinear optischen Effekte, wie z.B. Selbstphasenmodulation, Vierwellenmischung, Modulationsinstabilitäten oder Solitoneneffekte, werden detailliert theoretisch untersucht und erläutert. Die Arbeit beinhaltet ebenfalls eine umfangreiche Beschreibung der Wirkungsweise und Eigenschaften von mikrostrukturierten Fasern mit einem festen Faserkern. Aufgrund der großen Variationsvielfalt des mikrostrukturierten Fasermantels und der damit verbundenen Wellenleitereigenschaften ergeben sich, insbesondere für die Anwendung in der nichtlinearen Optik, eine Reihe von interessanten Eigenschaften. Es wurden insgesamt vier verschiedene mikrostrukturierte Fasern experimentell untersucht. Für die Interpretation der experimentellen Ergebnisse ist die Pulsausbreitung der ps-Pumppulse in einer dispersiven, nichtlinear optischen Faser anhand der verallgemeinerten nichtlinearen Schrödinger-Gleichung berechnet worden. Durch einen Vergleich der Berechnungen mit den Messdaten ließen sich verstärkte Modulationsinstabilitäten und verschiedene Solitoneneffekte als hauptsächlich für die Weißlichterzeugung bei ps-Anregungspulsen verantwortlich identifizieren. Auf der Basis der durchgeführten Untersuchungen wurde in Kooperation mit der Fa. Jenoptik Laser, Optik, Systeme GmbH eine kompakte und leistungsstarke Weißlichtquelle entwickelt. Diese wurde erfolgreich in einer Kohärenztomographiemessung (Optical Coherence Tomography - OCT) getestet: Es konnte in ex vivo-Untersuchungen gezeigt werden, dass sich mit dieser ps-Weißlichtquelle eine hohe Eindringtiefe von ca. 400 µm in die Netzhaut eines Affen erreichen lässt.
Compact white-light source with an average output power of 2.4 W and 900 nm spectral bandwidth
(2003)
This article introduces the concept of sustainability-rooted anticonsumption (SRAC), which refers to consumers' anticonsumption practices of voluntary simplicity in living and, on a smaller level, collaborative consumption and boycotting with the goal of supporting sustainable economic development. The SRAC measurement approach is validated based on three empirical studies. Results of a representative German sample (Study 2) reveal that SRAC is predominantly negatively linked to consumer overconsumption dispositions. Exemplary, voluntary simplification and boycott intention may result in declining levels of indebtedness. Study 3 shows that psychosocial well-being is positively related to SRAC and overconsumption. However, a simplified lifestyle and a greater willingness to boycott are not necessarily associated with psychosocial well-being. This article provides insights for practitioners and policymakers to leverage existing SRAC values via “new” business models (sharing offers) or to influence the existing level of consciousness to effectively pave the way for solid progress in the sustainability movement.
Der Charakter Preußens als composite monarchy prägte seine Geschichte, wobei die politischen und territorialen Verwerfungen zu Beginn des 19. Jahrhunderts besondere Herausforderungen zur Integration der 1815 hinzugewonnenen Landesteile mit sich brachten – schließlich liefen sie parallel zu den gesellschaftlichen und ökonomischen Wandlungsprozessen jener ,Sattelzeit‘.
Die Potsdamer Dissertation widmet sich erstmals mit vergleichendem Blick der wirtschaftlichen Integration zweier Gebiete, denen unter den preußischen Neuerwerbungen von 1815 seitens der bisherigen Forschung weniger Aufmerksamkeit geschenkt wurde: das zuvor schwedische Vorpommern sowie diejenigen von Sachsen abgetretenen Territorien, die der dann entstehenden Provinz Brandenburg zugeordnet wurden, einschließlich der Niederlausitz. Quellenbasiert und methodisch fundiert arbeitet die Studie heraus, inwiefern es gelang, diese neuen Landesteile wirtschaftlich in den preußischen Gesamtstaat zu integrieren und so einen einheitlichen Wirtschaftsraum zu konstituieren. In welchem Maße staatliche und nicht-staatliche Akteure aus den Provinzen an dem Integrationsprozess beteiligt waren, ist dabei von besonderem Interesse. Lagen Hemmnisse etwa eher in Strukturen oder eher in dem Verhalten maßgeblicher Personen und Institutionen begründet? Warum stellte sich ein administratives oder legislatives Vorgehen in einem Gebiet als erfolgreich heraus, während es andernorts mehr Widerstände hervorrief? Welche Bedeutung kam außerdem der allgemeinen wirtschaftlichen Verfassung und deren Entwicklung während der beginnenden Industrialisierung für die Integrationsfähigkeit eines Gebietes zu? Durch den Vergleich der Territorien lassen sich die Motive der Beteiligten sowie Bedingungen und Einflussfaktoren für die wirtschaftliche Integration identifizieren.
Um für ein Leben in der digitalen Gesellschaft vorbereitet zu sein, braucht jeder heute in verschiedenen Situationen umfangreiche informatische Grundlagen. Die Bedeutung von Informatik nimmt nicht nur in immer mehr
Bereichen unseres täglichen Lebens zu, sondern auch in immer mehr Ausbildungsrichtungen. Um junge Menschen auf ihr zukünftiges Leben und/oder ihre zukünftige berufliche Tätigkeit vorzubereiten, bieten verschiedene Hochschulen Informatikmodule für Studierende anderer Fachrichtungen an. Die Materialien jener Kurse bilden einen umfangreichen Datenpool, um die für Studierende anderer Fächer bedeutenden Aspekte der Informatik mithilfe eines empirischen Ansatzes zu identifizieren. Im Folgenden werden 70 Module zu informatischer Bildung für Studierende anderer Fachrichtungen analysiert. Die Materialien – Publikationen, Syllabi und Stundentafeln – werden zunächst mit einer qualitativen Inhaltsanalyse nach Mayring untersucht und anschließend quantitativ ausgewertet. Basierend auf der Analyse werden Ziele, zentrale Themen und Typen eingesetzter Werkzeuge identifiziert.