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Define real, Moron!
(2011)
Academic language should not be a ghetto dialect at odds with ordinary language, but rather an extension that is compatible with lay-language. To define ‘game’ with the unrealistic ambition of satisfying both lay-people and experts should not be a major concern for a game ontology, since the field it addresses is subject to cultural evolution and diachronic change. Instead of the impossible mission of turning the common word into an analytic concept, a useful task for an ontology of games is to model game differences, to show how the things we call games can be different from each other in a number of different ways.
The sixth volume of the DIGAREC Series holds the contributions to the DIGAREC Keynote-Lectures given at the University of Potsdam in the winter semester 2009/10. With contributions by Mark J.P. Wolf (Concordia University Wisconsin), Espen Aarseth (Center for Computer Games Research, IT University of Copenhagen), Katie Salen (Parsons New School of Design, New York), Laura Ermi and Frans Mäyrä (University of Tampere), and Lev Manovich (University of Southern California, San Diego).
Hepcidin-25 was identified as themain iron regulator in the human body, and it by binds to the sole iron-exporter ferroportin. Studies showed that the N-terminus of hepcidin is responsible for this interaction, the same N-terminus that encompasses a small copper(II) binding site known as the ATCUN (amino-terminal Cu(II)- and Ni(II)-binding) motif. Interestingly, this copper-binding property is largely ignored in most papers dealing with hepcidin-25. In this context, detailed investigations of the complex formed between hepcidin-25 and copper could reveal insight into its biological role. The present work focuses on metal-bound hepcidin-25 that can be considered the biologically active form. The first part is devoted to the reversed-phase chromatographic separation of copper-bound and copper-free hepcidin-25 achieved by applying basic mobile phases containing 0.1% ammonia. Further, mass spectrometry (tandemmass spectrometry (MS/MS), high-resolutionmass spectrometry (HRMS)) and nuclear magnetic resonance (NMR) spectroscopy were employed to characterize the copper-peptide. Lastly, a three-dimensional (3D)model of hepcidin-25with bound copper(II) is presented. The identification of metal complexes and potential isoforms and isomers, from which the latter usually are left undetected by mass spectrometry, led to the conclusion that complementary analytical methods are needed to characterize a peptide calibrant or referencematerial comprehensively. Quantitative nuclear magnetic resonance (qNMR), inductively-coupled plasma mass spectrometry (ICP-MS), ion-mobility spectrometry (IMS) and chiral amino acid analysis (AAA) should be considered among others.
An exploration of rhythmic grouping of speech sequences by french- and german-learning infants
(2016)
Rhythm in music and speech can be characterized by a constellation of several acoustic cues. Individually, these cues have different effects on rhythmic perception: sequences of sounds alternating in duration are perceived as short-long pairs (weak-strong/iambicpattern), whereas sequences of sounds alternating in intensity or pitch are perceived as loud-soft, or high-low pairs (strong-weak/trochaic pattern). This perceptual bias-called the lambic-Trochaic Law (ITL) has been claimed to be an universal property of the auditory system applying in both the music and the language domains. Recent studies have shown that language experience can modulate the effects of the ITL on rhythmic perception of both speech and non-speech sequences in adults, and of non-speech sequences in 7.5-month-old infants. The goal of the present study was to explore whether language experience also modulates infants' grouping of speech. To do so, we presented sequences of syllables to monolingual French- and German-learning 7.5-month-olds. Using the Headturn Preference Procedure (HPP), we examined whether they were able to perceive a rhythmic structure in sequences of syllables that alternated in duration, pitch, or intensity. Our findings show that both French- and German-learning infants perceived a rhythmic structure when it was cued by duration or pitch but not intensity. Our findings also show differences in how these infants use duration and pitch cues to group syllable sequences, suggesting that pitch cues were the easier ones to use. Moreover, performance did not differ across languages, failing to reveal early language effects on rhythmic perception. These results contribute to our understanding of the origin of rhythmic perception and perceptual mechanisms shared across music and speech, which may bootstrap language acquisition.
We report on the detection of very high energy (VHE; E > 100 GeV) gamma-ray emission from the BL Lac objects KUV 00311-1938 and PKS 1440-389 with the High Energy Stereoscopic System (H.E.S.S.). H.E.S.S. observations were accompanied or preceded by multiwavelength observations with Fermi/LAT, XRT and UVOT onboard the Swift satellite, and ATOM. Based on an extrapolation of the Fermi/LAT spectrum towards the VHE gamma-ray regime, we deduce a 95 per cent confidence level upper limit on the unknown redshift of KUV 00311-1938 of z < 0.98 and of PKS 1440-389 of z < 0.53. When combined with previous spectroscopy results, the redshift of KUV 00311-1938 is constrained to 0.51 <= z < 0.98 and of PKS 1440-389 to 0.14 (sic) z < 0.53.
Proceedings of KogWis 2010 : 10th Biannual Meeting of the German Society for Cognitive Science
(2010)
As the latest biannual meeting of the German Society for Cognitive Science (Gesellschaft für Kognitionswissenschaft, GK), KogWis 2010 at Potsdam University reflects the current trends in a fascinating domain of research concerned with human and artificial cognition and the interaction of mind and brain. The Plenary talks provide a venue for questions of the numerical capacities and human arithmetic (Brian Butterworth), of the theoretical development of cognitive architectures and intelligent virtual agents (Pat Langley), of categorizations induced by linguistic constructions (Claudia Maienborn), and of a cross-level account of the “Self as a complex system“ (Paul Thagard). KogWis 2010 integrates a wealth of experimental research, cognitive modelling, and conceptual analysis in 5 invited symposia, over 150 individual talks, 6 symposia, and more than 40 poster contributions. Some of the invited symposia reflect local and regional strenghts of research in the Berlin-Brandenburg area: the two largests research fields of the university Cognitive Sciences Area of Excellence in Potsdam are represented by an invited symposium on “Information Structure” by the Special Research Area 632 (“Sonderforschungsbereich”, SFB) of the same name, of Potsdam University and Humboldt-University Berlin, and by a satellite conference of the research group “Mind and Brain Dynamics”. The Berlin School of Mind and Brain at Humboldt-University Berlin takes part with an invited symposium on “Decision Making” from a perspective of cognitive neuroscience and philosophy and the DFG Cluster of Excellence “Languages of Emotion” of Free University presents interdisciplinary research results in an invited symposium on “Symbolising Emotions”.
Lamprophyre sind porphyrische, aus Mantelschmelzen gebildete Gesteine, die meist in Form von Gängen auftreten. Sie zeichnen sich durch auffällige und charakteristische texturelle, chemische und mineralogische Eigenschaften aus. Als ehemalige Mantelschmelzen liefern sie Information sowohl über Bedingungen der Schmelzbildung im Mantel als auch über geodynamische Prozesse, die zu metasomatischer Veränderung des Mantels geführt haben. Im Saxothuringikum Mitteleuropas, am Nordrand des Böhmischen Massivs, gibt es zahlreiche Lamprophyrvorkommen, die hier zur Charakterisierung der Mantelentwicklung während der variszischen Orogenese dienen. Die vorliegende Arbeit befaßt sich mit den mineralogischen, geochemischen und isotopischen (Sr-Nd-Pb) Signaturen von spätvariszischen kalkalkalischen Lamprophyren, von postvariszischen ultramafischen Lamprophyren, von Alkalibasalten der Lausitz und, zum Vergleich, von prävariszischen Gabbros. Darüberhinaus nutzt die Arbeit Lithium-Isotopensignaturen kombiniert mit Sr-Nd-Pb–Isotopendaten spätvariszischer kalkalkalischer Lamprophyre aus drei variszischen Domänen (Erzgebirge, Lausitz, Sudeten) zur Erkundung der lokalen Mantelüberprägungen während der variszischen Orogenese.
A central insight from psychological studies on human eye movements is that eye movement patterns are highly individually characteristic. They can, therefore, be used as a biometric feature, that is, subjects can be identified based on their eye movements. This thesis introduces new machine learning methods to identify subjects based on their eye movements while viewing arbitrary content. The thesis focuses on probabilistic modeling of the problem, which has yielded the best results in the most recent literature. The thesis studies the problem in three phases by proposing a purely probabilistic, probabilistic deep learning, and probabilistic deep metric learning approach. In the first phase, the thesis studies models that rely on psychological concepts about eye movements. Recent literature illustrates that individual-specific distributions of gaze patterns can be used to accurately identify individuals. In these studies, models were based on a simple parametric family of distributions. Such simple parametric models can be robustly estimated from sparse data, but have limited flexibility to capture the differences between individuals. Therefore, this thesis proposes a semiparametric model of gaze patterns that is flexible yet robust for individual identification. These patterns can be understood as domain knowledge derived from psychological literature. Fixations and saccades are examples of simple gaze patterns. The proposed semiparametric densities are drawn under a Gaussian process prior centered at a simple parametric distribution. Thus, the model will stay close to the parametric class of densities if little data is available, but it can also deviate from this class if enough data is available, increasing the flexibility of the model. The proposed method is evaluated on a large-scale dataset, showing significant improvements over the state-of-the-art. Later, the thesis replaces the model based on gaze patterns derived from psychological concepts with a deep neural network that can learn more informative and complex patterns from raw eye movement data. As previous work has shown that the distribution of these patterns across a sequence is informative, a novel statistical aggregation layer called the quantile layer is introduced. It explicitly fits the distribution of deep patterns learned directly from the raw eye movement data. The proposed deep learning approach is end-to-end learnable, such that the deep model learns to extract informative, short local patterns while the quantile layer learns to approximate the distributions of these patterns. Quantile layers are a generic approach that can converge to standard pooling layers or have a more detailed description of the features being pooled, depending on the problem. The proposed model is evaluated in a large-scale study using the eye movements of subjects viewing arbitrary visual input. The model improves upon the standard pooling layers and other statistical aggregation layers proposed in the literature. It also improves upon the state-of-the-art eye movement biometrics by a wide margin. Finally, for the model to identify any subject — not just the set of subjects it is trained on — a metric learning approach is developed. Metric learning learns a distance function over instances. The metric learning model maps the instances into a metric space, where sequences of the same individual are close, and sequences of different individuals are further apart. This thesis introduces a deep metric learning approach with distributional embeddings. The approach represents sequences as a set of continuous distributions in a metric space; to achieve this, a new loss function based on Wasserstein distances is introduced. The proposed method is evaluated on multiple domains besides eye movement biometrics. This approach outperforms the state of the art in deep metric learning in several domains while also outperforming the state of the art in eye movement biometrics.
Das Paper untersucht die geopolitische Konfrontation zwischen Iran und den USA sowie deren Auswirkung auf eine Veränderung der bestehenden Weltordnung. Es wird deutlich, dass die US-amerikanische Sanktionspolitik nicht nur auf das Nuklearprogramm abzielt, sondern grundsätzlich versucht, die Wirtschaftskraft der unabhängig von den Interessen der USA agierenden Regionalmacht zu brechen. Doch die Sanktionspolitik konnte weder eine Lösung des Nukleardossiers herbeiführen noch die Wirtschaftskraft Irans eindämmen. Es ist Zeit für eine fundamentale Kursänderung.
Was treibt den Ölpreis?
(2009)
Der Rohölpreis wird über Angebot und Nachfrage reguliert – so jedenfalls die landläufige Auffassung. Die Autoren, beide ausgewiesene Energieexperten, zeigen jedoch auf, dass sich die drastischen Preisschwankungen auf den Energiemärkten nicht allein durch Marktmechanismen erklären lassen. Stattdessen führen sie den volatilen Ölpreis auf politische (Fehl-) Entscheidungen zurück und empfehlen einen Energiedialog zwischen Verbrauchern und Produzenten.
We establish elements of a new approach to ellipticity and parametrices within operator algebras on manifolds with higher singularities, only based on some general axiomatic requirements on parameter-dependent operators in suitable scales of spaes. The idea is to model an iterative process with new generations of parameter-dependent operator theories, together with new scales of spaces that satisfy analogous requirements as the original ones, now on a corresponding higher level. The "full" calculus involves two separate theories, one near the tip of the corner and another one at the conical exit to infinity. However, concerning the conical exit to infinity, we establish here a new concrete calculus of edge-degenerate operators which can be iterated to higher singularities.
Linked Open Data (LOD) comprises very many and often large public data sets and knowledge bases. Those datasets are mostly presented in the RDF triple structure of subject, predicate, and object, where each triple represents a statement or fact. Unfortunately, the heterogeneity of available open data requires significant integration steps before it can be used in applications. Meta information, such as ontological definitions and exact range definitions of predicates, are desirable and ideally provided by an ontology. However in the context of LOD, ontologies are often incomplete or simply not available. Thus, it is useful to automatically generate meta information, such as ontological dependencies, range definitions, and topical classifications. Association rule mining, which was originally applied for sales analysis on transactional databases, is a promising and novel technique to explore such data. We designed an adaptation of this technique for min-ing Rdf data and introduce the concept of “mining configurations”, which allows us to mine RDF data sets in various ways. Different configurations enable us to identify schema and value dependencies that in combination result in interesting use cases. To this end, we present rule-based approaches for auto-completion, data enrichment, ontology improvement, and query relaxation. Auto-completion remedies the problem of inconsistent ontology usage, providing an editing user with a sorted list of commonly used predicates. A combination of different configurations step extends this approach to create completely new facts for a knowledge base. We present two approaches for fact generation, a user-based approach where a user selects the entity to be amended with new facts and a data-driven approach where an algorithm discovers entities that have to be amended with missing facts. As knowledge bases constantly grow and evolve, another approach to improve the usage of RDF data is to improve existing ontologies. Here, we present an association rule based approach to reconcile ontology and data. Interlacing different mining configurations, we infer an algorithm to discover synonymously used predicates. Those predicates can be used to expand query results and to support users during query formulation. We provide a wide range of experiments on real world datasets for each use case. The experiments and evaluations show the added value of association rule mining for the integration and usability of RDF data and confirm the appropriateness of our mining configuration methodology.
Unique column combinations of a relational database table are sets of columns that contain only unique values. Discovering such combinations is a fundamental research problem and has many different data management and knowledge discovery applications. Existing discovery algorithms are either brute force or have a high memory load and can thus be applied only to small datasets or samples. In this paper, the wellknown GORDIAN algorithm and "Apriori-based" algorithms are compared and analyzed for further optimization. We greatly improve the Apriori algorithms through efficient candidate generation and statistics-based pruning methods. A hybrid solution HCAGORDIAN combines the advantages of GORDIAN and our new algorithm HCA, and it significantly outperforms all previous work in many situations.
Im Februar und März 2007 wurde vom Geographischen Institut der Universität eine Exkursion nach Neuseeland durchgeführt. Der hier vorliegende Bericht bezieht sich auf diese Exkursion. Im ersten Teil wird durch 17 Protokolle der Exkursionsverlauf wiedergegeben. Im zweiten Teil befassen sich sechs Texte näher mit je einem thematischen Aspekt der Exkursion. Autoren der Protokolle und der thematischen Texte sind die Teilnehmerinnen und Teilnehmer der Exkursion. Zum ersten Teil des Berichts – der Exkursionsverlauf Im ersten Teil dieses Berichtes wird der Verlauf der Exkursion Neuseeland 2007 des Geographischen Instituts der Universität Potsdam durch Tagesprotokolle dargestellt. Die Exkursion begann am 14. Februar 2007 in Auckland und endete am 4. März 2007 in Christchurch. Während dieser 19 Tage wurden verschiedene Orte auf der neuseeländischen Nord- und Südinsel aufgesucht, wobei die Exkursionsgruppe verschiedene Aspekte der neuseeländischen Gesellschaft aus einer humangeographischen Perspektive studierte. Im Mittelpunkt standen die Themen historische und jüngere Migration nach Neuseeland, Maori, Milchwirtschaft, Holzwirtschaft und Tourismus in Neuseeland. Die Tagesprotokolle machen deutlich, dass die Exkursion weniger in einer thematisch-systematischen Art und Weise durchgeführt wurde. Statt dessen erfolgte das Aufsuchen exemplarischer Orte, an denen Beobachtungen und darüber hinausgehende Erkundungen stattfanden. Die entsprechenden Aussagen sind in den Protokollen wiedergegeben, schwerpunktmäßig wird dabei folgendes angesprochen: Der erste Exkursionstag, das war der 14. Februar 2007, wurde für den Besuch des Geographischen Institutes der Auckland University genutzt. Dort wurde zum Beispiel eine Diskussionsrunde mit den beiden Humangeographen Richard Le Heron und Gordon Winder veranstaltet. Auch die folgenden zwei Tage verbrachten die Exkursionsgruppe in Auckland, wobei sie sich im »Auckland Museum« über die neuseeländische Geschichte und insbesondere über die Kultur der Maori informierte. Mit einem Maori-Guide unternahmen die Teilnehmer eine Stadtführung durch Auckland, wobei ebenfalls das Leben der Maori im Fokus stand. Außerdem besuchten sie eine private Einwanderungsagentur und führten in Kleingruppen Expertengespräche zum Thema »Migration und Integration in Neuseeland« durch. Am 17. Februar erkundeten die Exkursionsteilnehmer drei Orte in der näheren Umgebung Aucklands. Zunächst begaben sie sich zum Otara Market, einem Wochenmarkt der Pacific Islanders, der immer samstags in Otara abgehalten wird. Anschließend ging es weiter an die westliche Küste, wo sie unter Führung einer Rangerin durch den Muriwai-Regionalpark wanderten. Auf der Rückfahrt nach Auckland machten sie Halt in Soljan’s Winzerei, wo der Betrieb vorgestellt wurde und Wein verkosten werden konnte. Am 18. Februar verließ die Exkursionsgruppe Auckland in Richtung Norden, um zum Ort Puhoi zu gelangen. Dort beschäftigten sich die Teilnehmer mit den sogenannten Bohemians, die einst aus Böhmen nach Neuseeland auswanderten und deren Traditionen dort auch heute noch (zumindest teilweise) gepflegt werden. Am nächsten Tag fuhren sie weiter nach Pahia, dem nördlichsten Aufenthaltsort während der Exkursion. Auf dem Weg dorthin machten sie einen Umweg über Matakohe, wo das Kauri-Museum und der Tane Mahuta, der größte Kauribaum Neuseelands, besichtigt wurden. Am 20. Februar stand vormittags die Beschäftigung mit der Geschichte Neuseelands auf dem Tagesplan. Hierfür besuchte die Exkursionsgruppe die Waitangi Treaty Grounds. Dort informierten sich die Teilnehmer über den Vertrag von Waitangi und darüber, welche Folgen dieser für das Leben der Maori hatte. Am Nachmittag stand das Thema Tourismus im Mittelpunkt. Die Exkursionsteilnehmer machten sich mit einem Teil des touristischen Angebots vertraut, indem sie eine Bootstour durch die Bay of Islands unternahmen. Am 21. Februar fuhr die Gruppe in die Hamilton-Region, wo sie sich auch die folgenden zwei Tage aufhielt. Auf dem Weg dorthin wurde ein Zwischenstopp in Kawakawa und an den Whangarei Falls eingelegt. In Hamilton war die Exkursionsgruppe Gast im Geographischen Institut der Waikato University und im Waikato Migrant Resource Centre. Außerdem stand das Thema Milchwirtschaft auf dem Programm. Hierfür besichtigten die Teilnehmer das Unternehmen AmBreed, welches die Grundlage für die Aufzucht von Hochleistungsmilchkühen bereitstellt – nämlich das Bullensperma. Außerdem konnten sie sich über die Organisation und Probleme einer Milchfarm informieren. Darüber hinaus gestalteten in der Waikato-Region wohnende Nachfahren der böhmischen Einwanderer ein Abendprogramm für die Exkursionsgruppe. Den 24. Februar verbrachten die Teilnehmer im Gebiet von Rotorua. Dort durchkreuzten sie das Thermal Wonderland, in dem heiße Quellen und Geysire sowie die dadurch geschaffenen Oberflächengegebenheiten studiert werden können. Die heißen Quellen werden hier auch zur Energiegewinnung herangezogen, wovon sich die Exkursionsteilnehmer bei einer Besichtigung der Geothermal Power Station of Warakei überzeugen konnten. Auf der Fahrt zum Tongariro Nationalpark bewunderten sie die Huka Falls und machten Halt am Lake Taupo, dem größten See Neuseelands. Im Nationalpark unternahmen sie am 26. Februar eine Wanderung. Tags darauf fuhren sie weiter über Marton nach Wellington, der Hauptstadt Neuseelands. Dort war nachmittags sowie am 28. Februar Gelegenheit, die Stadt zu erkunden, unter anderem auf einer Stadtführung mit Prof. Bredlich. Daneben erfuhr man bei einem Besuch des neuseeländischen Nationalmuseums Te Papa viel Wissenswertes über Gesellschaft und Geschichte Neuseelands. Am 1. März überquerten sie mit der Fähre die Cookstraße, um zur Südinsel zu gelangen. Den Nachmittag dieses Tages verbrachte die Exkursionsgruppe in Upper Moutere, wo sie sich mit der Einwanderung Deutscher in der Region Nelson befasste Am Tag darauf fuhren die Teilnehmer zur Westküste und beschäftigten sich mit den Landschaftsformen der Südalpen und der Küste sowie mit der Frage, welche wirtschaftliche Rolle diese Region einst spielte und welche sie heute einnimmt. Am 3. März überquerten sie die Südalpen über den Athur’s Pass und kamen am Nachmittag in Christchurch an. Am nächsten Tag erlebten sie eine Besichtigungstour durch die größte Stadt der Südinsel unter Leitung von Prof. Parson vom Institut für Geographie der Universität von Canterbury. Dabei standen insbesondere Fragen des städtischen Wandels im Mittelpunkt, welcher mit den ökonomischen Reformen seit Ende der 80er Jahre des letzten Jahrhunderts einherging. Damit endete am 4. März die Exkursion in Christchurch. Zum zweiten Teil des Berichts – die thematischen Texte Neben dem Gewinn eines ersten Eindrucks vor Ort bietet eine Exkursion als Form der Erkundung eines Landes durchaus auch die Gelegenheit, kritisch über gesellschaftliche Vorgänge zu reflektieren. Über solche Reflexionen geben die Darstellungen im zweiten Teil dieses Exkursionsberichtes Aufschluss. Das Spektrum der in den Texten aufgegriffenen Themen reicht dabei von physisch-geographischen Gegebenheiten, über Land- und Forstwirtschaft, die Maori bis zu bevölkerungsgeographischen Fragestellungen zur Migration und Integration in Neuseeland. Dem zu Grunde liegt ein – in der Geographie lange verwurzeltes – holistisches Verständnis der Disziplin. In den Berichten findet die zentrale Debatte in der Geographie um die Bedeutung und das Zusammenspiel von globalen, regionsunabhängigen und lokalen, regionsspezifischen Faktoren (»Glokalisierung«) an vielen Stellen ihren Ausdruck. Da während der Exkursion Einblick in verschiedenste Bereiche des Lebens in Neuseeland gewonnen werden konnten, ist es im thematischen zweiten Teil des Berichts vorrangiges Ziel, einen guten Überblick über Neuseeland und seine Bevölkerung zu geben. Dabei überwiegt ein beschreibender Charakter der Texte, gleichzeitig sollen aber auch zentrale Veränderungen und Herausforderungen für die neuseeländische Gesellschaft angesprochen, Erklärungsansätze gegeben und Lösungsstrategien aufgewiesen werden. Im Einzelnen ist der thematische Teil folgendermaßen aufgebaut: Zu Beginn widmet sich Anja Lehmann den Maori und beleuchtet Geschichte, Kultur und heutige Situation der indigenen Bevölkerung Neuseelands. Anschließend gehen Katharina Popig und Manuel Hundt in ihrem Text auf die frühe europäische Einwanderung nach Neuseeland, insbesondere auf die Rolle der deutschen bzw. böhmischen Einwanderer, ein. Im darauf folgenden Text zeigt Manuel Hundt die sich verändernden Muster in der jüngeren Migration auf und beleuchtet Fragen der Integration in Neuseeland, wobei insbesondere auf die Rolle der Pacific Islanders eingegangen wird. Dann folgt der Text von Lilli Maier. Sie beschäftigt sich mit Fragen des Tourismus und schildert die Gestalt des Fremdenverkehrs und seine Bedeutung für die neuseeländische Wirtschaft. Natalia Kiselgof gibt einen Überblick sowohl über physisch-geographische Aspekte und den Naturraum Neuseelands als auch über die Struktur der neuseeländischen Landwirtschaft, bevor Sören Sturm die Forstwirtschaft Neuseelands einer kritischen Analyse unterzieht.
As digital media infiltrate an increasingly greater proportion of our lives, concern about the possibility of various forms of technology addictions has emerged. For technology addiction, researchers have developed a variety of self-reported scales in areas such as Internet, smartphones, videogames, social network sites (SNS) or television. However, no uniform criteria or definition exists for technology addiction. Utilized dimensions of technology addiction, to measure specific outcomes, lack a conceptual standard. Therefore, linkages between technology areas dimensions have not been examined in a broader way by the research community, in order to develop a uniform technology addiction scale.
In this regard, firstly, a theoretical model was developed in order to extract common technology dimensions. Secondly, a systematic literature review in the areas of Internet, smartphone, video games and SNS was conducted in order to extract the dimensions used. To identify relevant studies, nine databases (GoogleScholar, ScienceDirect, PubMed, EmeraldInsight, Wiley, SpringerLink, ACM, iEEE and JSTOR) were searched, producing 4698 results, and 50 studies met the inclusion criteria. Thirdly, the developed theoretical model was utilized in order to determine the dimension in each of the identified scales.
Based on analysis of the dimensional distributions, the findings suggest that there are common dimensions across areas of technology such as “compulsive use” and “negative outcomes” but also differences in dimensions across areas such as “social comfort” and “mood regulation”, which are more used in the area of SNS. Moreover, new dimensions such as “cognitive absorption” or “utility and function loss" for technology addiction were extracted, which should be considered as these have not yet been researched in a broader way. In addition, no gold standard for the conceptual criteria or definition for technology addiction has been developed yet.
Die vorliegende Arbeit trägt den Titel: Intellektuellen-Rolle in Günter Grass Werken : „Die Plebejer proben den Aufstand“(1966), „Örtlich betäubt“(1969), „Aus dem Tagebuch einer Schnecke“(1972), und „Ein weites Feld“(1995).
Das erste Kapitel befasst sich insgesamt mit drei Haupttiteln
II. Der Intellektuelle
II.1 Das allgemeine Umfeld
In diesem Teil der Dissertation sollen Aussagen getroffen werden, die auf folgende und weitere Fragen eine Antwort geben: Was ist ein Intellektueller? Wie kam der Begriff zustande? Gibt es Unterschiede zwischen den Intellektuellen und wie werden sie eingeteilt?
II.2 Das deutsche Umfeld
Die Behandlung des Nazisystems und dessen historische Hintergründe vermittelt bedeutsame Lehren. Aber wozu braucht man diese Lehren? Gibt es Spuren von Nationalsozialismus heutzutage? Wo waren die Intellektuellen bei der Bildung des Nationalsozialismus? Ist der Nationalsozialismus erst mit Hitler aufgetaucht? Wenn zuvor, in welcher Phase hat er sich im Bewusstsein der Deutschen verankert? Ob theoretische bzw. geistige Tendenzen dazu beigetragen haben?
II.3 Das Bild von Grass als Intellektueller
II.3.1 Positionierung
Eine Hauptthese für Grass intellektuelle Positionierung wird durch die Verbindung zwischen Grass’ Grundkonzeption der gesellschaftspolitischen Intellektualität und der Gruppe 47 ermittelt. Dann bezweckt die Behandlung von Grass Bild nach Erscheinen seines autobiographischen Werks: „Beim Häuten der Zwiebel“ (2006), dass seine Intellektualität nicht nur aus dem positiven, sondern auch aus dem negativen Profil beleuchtet wird.
Aus der Darstellung zahlreicher Ansichten von Günter Grass werden fünf thematische Kernpunkte als Konzepte behandelt. Unter jedem Konzept sollen spezifische Vorschläge zur gesellschaftlichen Positionierung aufgezeigt werden.
II.3.2 Grass’ politische Merkmale
Es handelt sich hier um die intellektuellen Charaktereigenschaften. Dadurch kommen manche Fragen zu Wort: Hat Günter Grass gesellschaftliche Aktivitäten? Hat er die Voraussetzungen dafür? Wie ist der Umfang seiner Aktivitäten? Hat die Gruppe 47 Einfluss auf Grass intellektuelle Merkmale? Steht bei Grass eine Methode der gesellschaftspolitischen Arbeit zur Verfügung?
Dann wird die politische Sprache von Günter Grass und ihre Wirkung auf den Rezipienten untersucht. Danach wird nach Grass’ Auffassung von der Revision gefragt und ob sie mit seiner Auffassung der Aufklärung zusammenpasst. Darauf wird die Funktion der Revision in seinem literarischen Werk und in seiner gesellschaftspolitischen Aktivität gezeigt.
Abschließend werden die Argumente seiner Intellektualität untersucht:
Wie hat Grass’ gesellschaftspolitische Aktivität den konkreten politischen Rahmen berücksichtigt? Um diese Frage zu beantworten, muss der Zusammenhang zwischen Politik und Moral verdeutlicht werden.
III. Historischer Kontext und Inhalt der Werke
Unter diesem Titel wird erstens der historische Zusammenhang der untersuchten Werke skizziert. Dann werden meistens durch Argumente aus jedem Werk selbst nicht nur der Kern des Werkes und sein Handlungsverlauf, sondern auch die dafür angewandte Methode dargestellt.
IV. Bezug der untersuchten Werke zu konkreten gesellschaftspolitischen Fragen
IV.1 Interaktionswege des Intellektuellen mit der Gesellschaft, vor allem beim Wandel gesellschaftspolitischer Prozesse
Zentralkonzepte des ersten Werkes sind: Vermittlung, Engagement, Solidarität und die Aktualität als Maßstab. Diese werden durch zwei Konzepte des zweiten Werkes: Appell an Generationen beim Wechsel und Zusammenhaltsprinzip an Revision gebunden, sowie durch die Behandlung vom Prozess der Meinungsbildung im vierten Werk ausgearbeitet.
IV.2 Thematische Aspekte zur Vermeidung eines Naziregimes
Aus den thematischen Perspektiven der drei letzten Werke geht eine bunte Sammlung intellektueller Konzepte aus, die zur Bekämpfung von Nazivorsprünge verwendet werden können.
V. Pädagogische Strategien der untersuchten Werke
Die pädagogischen Aspekte der untersuchten Werke sollen intellektuelle Werte vermitteln, die einen bedeutenden Beitrag zur Lösung gesellschaftspolitischer Probleme und Konflikte leisten.
VI. Entwicklung der literarischen und gesellschaftspolitischen Vision
Hier wird die Entwicklungslinie der gesellschaftspolitischen Vision in den untersuchten Werken verfolgt.
VII. Zur Rezeption der vier Werke
Durch die Auseinandersetzung mit der negativen Kritik wird angestrebt, ihre Subjektivität darzulegen, damit der gesellschaftspolitische Wert der vier Werke enthüllt wird.
Health effects, attributed to the environmental pollution resulted from using solvents such as benzene, are relatively unexplored among petroleum workers, personal use, and laboratory researchers. Solvents can cause various health problems, such as neurotoxicity, immunotoxicity, and carcinogenicity. As such it can be absorbed via epidermal or respiratory into the human body resulting in interacting with molecules that are responsible for biochemical and physiological processes of the brain.
Owing to the ever-growing demand for finding a solution, an Ionic liquid can use as an alternative solvent. Ionic liquids are salts in a liquid state at low temperature (below 100 C), or even at room temperature. Ionic liquids impart a unique architectural platform, which has been interesting because of their unusual properties that can be tuned by simple ways such as mixing two ionic liquids.
Ionic liquids not only used as reaction solvents but they became a key developing for novel applications based on their thermal stability, electric conductivity with very low vapor pressure in contrast to the conventional solvents.
In this study, ionic liquids were used as a solvent and reactant at the same time for the novel nanomaterials synthesis for different applications including solar cells, gas sensors, and water splitting.
The field of ionic liquids continues to grow, and become one of the most important branches of science. It appears to be at a point where research and industry can work together in a new way of thinking for green chemistry and sustainable production.
Verwaltungsmodernisierung
(2020)
Die Modernisierung der öffentlichen Verwaltung hat sich längst zu einer Daueraufgabe entwickelt. In den Modernisierungsprozessen stehen derzeit zwei Segmente besonders im Fokus: Digitalisierung und Partizipation. Digitalisierung geht heute weit über die ursprünglich mit diesem Stichwort angesprochene Umwandlung analoger Daten in elektronische Datenformate hinaus. Die Programmatik der Digitalisierung zielt auf den möglichst umfassenden Einsatz elektronischer Informations- und Kommunikationstechniken zur Unterstützung, Beschleunigung, Rationalisierung und in Teilen auch Ersetzung von herkömmlichen Verwaltungsabläufen mit der Perspektive auf eine Transformation und Durchdringung sowohl des gesamten Verwaltungshandelns als auch der gesamten Verwaltungsorganisation. Demgegenüber meint Partizipation nach gängigem Verständnis die Beteiligung von Bürgern und anderen gesellschaftlichen Akteuren an politischen Willensbildungs- und Entscheidungsprozessen. In spezifisch administrativem Zusammenhang geht es vor allem um die Einbindung von Bürgern in Entscheidungsprozesse der Verwaltung und um die Aktivierung der Zivilgesellschaft, die Erschließung bürgerschaftlichen Engagements sowie gesellschaftlicher Ressourcen für die Erfüllung von Verwaltungsaufgaben – und dies alles mit dem Ziel einer Verbesserung der Legitimität und Qualität öffentlicher Verwaltung. Die beiden Modernisierungsansätze stehen nicht unverbunden nebeneinander. Vielmehr gehen sie nicht selten ineinander über. Beispiele dafür sind die Bereitstellung von Optionen zu elektronischer Stellung und Bearbeitung von Anträgen sowie von elektronischen Plattformen für die Bürgerpartizipation.
An diesen Themenfeldern der Verwaltungsmodernisierung setzt der Tagungsband an. Er dokumentiert den Gedankenaustausch über Digitalisierungs- und Partizipationsprozesse zwischen polnischen und deutschen Verwaltungsrechtswissenschaftlern auf einer Tagung, die im Dezember 2019 an der Universität Potsdam stattgefunden hat.
Digital inclusion
(2021)
In this thesis, we tackle two social disruptions: recent refugee waves in Germany and the COVID-19 pandemic. We focus on the use of information and communication technology (ICT) as a key means of alleviating these disruptions and promoting social inclusion. As social disruptions typically lead to frustration and fragmentation, it is essential to ensure the social inclusion of individuals and societies during such times.
In the context of the social inclusion of refugees, we focus on the Syrian refugees who arrived in Germany as of 2015, as they form a large and coherent refugee community. In particular, we address the role of ICTs in refugees’ social inclusion and investigate how different ICTs (especially smartphones and social networks) can foster refugees’ integration and social inclusion. In the context of the COVID-19 pandemic, we focus on the widespread unconventional working model of work from home (WFH). Our research here centers on the main constructs of WFH and the key differences in WFH experiences based on personal characteristics such as gender and parental status.
We reveal novel insights through four well-established research methods: literature review, mixed methods, qualitative method, and quantitative method. The results of our research have been published in the form of eight articles in major information systems venues and journals. Key results from the refugee research stream include the following: Smartphones represent a central component of refugee ICT use; refugees view ICT as a source of information and power; the social connectedness of refugees is strongly correlated with their Internet use; refugees are not relying solely on traditional methods to learn the German language or pursue further education; the ability to use smartphones anytime and anywhere gives refugees an empowering feeling of global connectedness; and ICTs empower refugees on three levels (community participation, sense of control, and self-efficacy).
Key insights from the COVID-19 WFH stream include: Gender and the presence of children under the age of 18 affect workers’ control over their time, technology usefulness, and WFH conflicts, while not affecting their WFH attitudes; and both personal and technology-related factors affect an individual’s attitude toward WFH and their productivity. Further insights are being gathered at the time of submitting this thesis.
This thesis contributes to the discussion within the information systems community regarding how to use different ICT solutions to promote the social inclusion of refugees in their new communities and foster an inclusive society. It also adds to the growing body of research on COVID-19, in particular on the sudden workplace transformation to WFH. The insights gathered in this thesis reveal theoretical implications and future opportunities for research in the field of information systems, practical implications for relevant stakeholders, and social implications related to the refugee crisis and the COVID-19 pandemic that must be addressed.
Since the beginning of the recent global refugee crisis, researchers have been tackling many of its associated aspects, investigating how we can help to alleviate this crisis, in particular, using ICTs capabilities. In our research, we investigated the use of ICT solutions by refugees to foster the social inclusion process in the host community. To tackle this topic, we conducted thirteen interviews with Syrian refugees in Germany. Our findings reveal different ICT usages by refugees and how these contribute to feeling empowered. Moreover, we show the sources of empowerment for refugees that are gained by ICT use. Finally, we identified the two types of social inclusion benefits that were derived from empowerment sources. Our results provide practical implications to different stakeholders and decision-makers on how ICT usage can empower refugees, which can foster the social inclusion of refugees, and what should be considered to support them in their integration effort.
Extract: Topics in psycholinguistics and the neurocognition of language rarely attract the attention of journalists or the general public. One topic that has done so, however, is the potential benefits of bilingualism for general cognitive functioning and development, and as a precaution against cognitive decline in old age. Sensational claims have been made in the public domain, mostly by journalists and politicians. Recently (September 4, 2014) The Guardian reported that “learning a foreign language can increase the size of your brain”, and Michael Gove, the UK's previous Education Secretary, noted in an interview with The Guardian (September 30, 2011) that “learning languages makes you smarter”. The present issue of BLC addresses these topics by providing a state-of-the-art overview of theoretical and experimental research on the role of bilingualism for cognition in children and adults.
Assimilation of pseudo-tree-ring-width observations into an atmospheric general circulation model
(2017)
Paleoclimate data assimilation (DA) is a promising technique to systematically combine the information from climate model simulations and proxy records. Here, we investigate the assimilation of tree-ring-width (TRW) chronologies into an atmospheric global climate model using ensemble Kalman filter (EnKF) techniques and a process-based tree-growth forward model as an observation operator. Our results, within a perfect-model experiment setting, indicate that the "online DA" approach did not outperform the "off-line" one, despite its considerable additional implementation complexity. On the other hand, it was observed that the nonlinear response of tree growth to surface temperature and soil moisture does deteriorate the operation of the time-averaged EnKF methodology. Moreover, for the first time we show that this skill loss appears significantly sensitive to the structure of the growth rate function, used to represent the principle of limiting factors (PLF) within the forward model. In general, our experiments showed that the error reduction achieved by assimilating pseudo-TRW chronologies is modulated by the magnitude of the yearly internal variability in themodel. This result might help the dendrochronology community to optimize their sampling efforts.
Towards the assimilation of tree-ring-width records using ensemble Kalman filtering techniques
(2015)
This paper investigates the applicability of the Vaganov–Shashkin–Lite (VSL) forward model for tree-ring-width chronologies as observation operator within a proxy data assimilation (DA) setting. Based on the principle of limiting factors, VSL combines temperature and moisture time series in a nonlinear fashion to obtain simulated TRW chronologies. When used as observation operator, this modelling approach implies three compounding, challenging features: (1) time averaging, (2) “switching recording” of 2 variables and (3) bounded response windows leading to “thresholded response”. We generate pseudo-TRW observations from a chaotic 2-scale dynamical system, used as a cartoon of the atmosphere-land system, and attempt to assimilate them via ensemble Kalman filtering techniques. Results within our simplified setting reveal that VSL’s nonlinearities may lead to considerable loss of assimilation skill, as compared to the utilization of a time-averaged (TA) linear observation operator. In order to understand this undesired effect, we embed VSL’s formulation into the framework of fuzzy logic (FL) theory, which thereby exposes multiple representations of the principle of limiting factors. DA experiments employing three alternative growth rate functions disclose a strong link between the lack of smoothness of the growth rate function and the loss of optimality in the estimate of the TA state. Accordingly, VSL’s performance as observation operator can be enhanced by resorting to smoother FL representations of the principle of limiting factors. This finding fosters new interpretations of tree-ring-growth limitation processes.
Dynamische Zusammenhänge zwischen den internationalen Kapitelmärkten sind seit Anfang 90-er Jahre erforscht worden. Die meisten dieser Untersuchungen betrafen dieUSA und die anderen entwickelnden Märkte. Es gibt nur wenige Untersuchungen zu diesem Thema in den sich entwickelnden Märkten. Mit Hilfe von vektorautoregressiven(VAR) Modellen überprüft diese Arbeit den dynamischen Zusammenhang zwischen den Börsen der Region Pazifisches Becken vor und nach der Asiatischen Krise 1997.Unsere Studie zeigt, dass alle Börsen in der Region Asien-Pazifik mit den anderen Börsen statistisch zusammenhängen, mit Ausnahme von China. Nach der Asiatischen Krise 1997 wurden die Märkte noch stärker integriert. Die Asiatische Krise hatte einen weltweiten Einfluß auf alle Börsen der Region Pazifisches Becken: Die Verbindungen zwischen den Börsen nach der Krise sind stärker als vor der Krise. Die Märkte, die zueinander geographisch und ökonomisch nahe liegen, haben deutlich stärkere Wechselbeziehungen.Das Ergebnis zeigt, dass der USA-Markt nicht der einzige dominierende Markt in der Region ist. Die Studie stellt fest, dass die anderen entwickelten Märkte wie z.B.Neuseeland, Australien, Hongkong und Singapur, weitere vorherrschende Märkte neben USA sind. Ein Schock in einem Markt wird schnell zu den anderen Märkten übertragen. Schocks in den sich entwickelnden Märkten werden zu anderen Märkten schnell übertragen, aber ohne einen solchen großen Einfluß wie die aus den entwickelten Märkten.
Inhalt: 1. Einfuhrung 2. Die indonesische Wirtschaftsentwicklung von 1971 bis 1998 2.1. Das Bruttoinlandsprodukt (BIP) - 2.1.1. Der Landwirtschaftssektor - 2.1.2. Der Industriesektor - 2.1.3. Bergbau und Steinbruch 2.2. Außenhandel 2.3. Weitere Indikatoren der Wirtschaftsentwicklung 2.4. Probleme - 2.4.1. Die Arbeitslosigkeit. - 2.4.2. Die wirtschaftliche Ungleichkeit - 2.4.3. Der Anstieg der Preise 2.5. Perspektiven in den nächsten Jahren 3. Zusammenfassung
PSI-Potsdam
(2018)
In Brandenburg kommt der Universität Potsdam eine besondere Rolle zu: Sie ist die einzige, an der zukünftige Lehrerinnen und Lehrer die erste Phase ihres Werdegangs – das Lehramtsstudium – absolvieren können. Vor diesem Hintergrund wurde bereits kurz nach der Gründung im Jahr 1991 das „Potsdamer Modell der Lehrerbildung“ entwickelt. Dieses Modell strebt fortlaufend eine enge Verzahnung von Theorie und Praxis über das gesamte Studium hinweg an und bindet hierfür die schulpraktischen Studienanteile in besonderer Weise ein. Eine erneute Stärkung erfuhr die Lehrerbildung im Dezember 2014 mit der Gründung des Zentrums für Lehrerbildung und Bildungsforschung (ZeLB). Aus der koordinierenden Arbeit des Zentrums entstand das fakultätsübergreifende Projekt „Professionalisierung – Schulpraktische Studien – Inklusion“ (PSI-Potsdam) das im Rahmen der Qualitätsoffensive Lehrerbildung des Bundesministeriums für Bildung und Forschung erfolgreich gefördert wurde (2015–2018) und dessen Verlängerung (2019–2023) bewilligt ist.
Der vorliegende Band vermittelt in den drei großen Kapiteln „Erhebungsinstrumente“, „Seminarkonzepte“ und „Vernetzungen“ einen Überblick über einige der praxisnahen Forschungszugänge, hochschuldidaktischen Ansätze und Strategien zur Vernetzung innerhalb der Lehrerbildung, die im Rahmen von PSI-Potsdam entwickelt und umgesetzt wurden. Die Beiträge wurden mit dem Ziel verfasst, Kolleginnen und Kollegen an Universitäten und Hochschulen, Akteur_innen des Vorbereitungsdiensts sowie der Fort- und Weiterbildung von Lehrkräften möglichst konkrete Einblicke zu gewähren.
Unter der Herausgeberschaft von Prof. Dr. Andreas Borowski (Fachdidaktik Physik), Prof. Dr. Antje Ehlert (Inklusionspädagogik mit dem Förderschwerpunkt Lernen) und Prof. Dr. Helmut Prechtl (Fachdidaktik Biologie) vereinen sich Autor_innen mit breit gestreuter fachdidaktischer und bildungswissenschaftlicher Expertise.
This article considers Isabella Bird’s representation of medicine in Unbeaten Tracks in Japan (1880) and Journeys in Persia and Kurdistan (1891), the two books in which she engages most extensively with both local (Chinese/Islamic) and Western medical science and practice. I explore how Bird uses medicine to assert her narrative authority and define her travelling persona in opposition to local medical practitioners. I argue that her ambivalence and the unease she frequently expresses concerning medical practice (expressed particularly in her later adoption of the Persian appellation “Feringhi Hakīm” [European physician] to describe her work) serves as a means for her to negotiate the colonial and gendered pressures on Victorian medicine. While in Japan this attitude works to destabilise her hierarchical understanding of science and results in some acknowledgement of traditional Japanese traditions, in Persia it functions more to disguise her increasing collusion with overt British colonial ambitions.
The closer the better
(2012)
A growing literature has suggested that processing of visual information presented near the hands is facilitated. In this study, we investigated whether the near-hands superiority effect also occurs with the hands moving. In two experiments, participants performed a cyclical bimanual movement task requiring concurrent visual identification of briefly presented letters. For both the static and dynamic hand conditions, the results showed improved letter recognition performance with the hands closer to the stimuli. The finding that the encoding advantage for near-hand stimuli also occurred with the hands moving suggests that the effect is regulated in real time, in accordance with the concept of a bimodal neural system that dynamically updates hand position in external space.
The title compound was prepared by the reaction of 1,4,10,13-tetraoxa-7,16-diazacyclo-octadecane with 4-chloro-2-methyl-phenoxyacetic acid in a ratio of 1:2. The structure has been proved by the data of elemental analysis, IR spectroscopy, NMR ( 1 H, 13 C) technique and by X-ray diffraction analysis. Intermolecular hydrogen bonds between the azonium protons and oxygen atoms of the carboxylate groups were found. Immunoactive properties of the title compound have been screened. The compound has the ability to suppress spontaneous and Con A-stimulated cell proliferation in vitro and therefore can be considered as immunodepressant.
This study investigates whether number dissimilarities on subject and object DPs facilitate the comprehension of subject-and object-extracted centre-embedded relative clauses in children with Grammatical Specific Language Impairment (G-SLI). We compared the performance of a group of English-speaking children with G-SLI (mean age: 12; 11) with that of two groups of younger typically developing (TD) children, matched on grammar and receptive vocabulary, respectively. All groups were more accurate on subject-extracted relative clauses than object-extracted ones and, crucially, they all showed greater accuracy for sentences with dissimilar number features (i.e., one singular, one plural) on the head noun and the embedded DP. These findings are interpreted in the light of current psycholinguistic models of sentence comprehension in TD children and provide further insight into the linguistic nature of G-SLI.
We elicited the production of various types of relative clauses in a group of German-speaking children with specific language impairment (SLI) and typically developing controls in order to test the movement optionality account of grammatical difficulty in SLI. The results show that German-speaking children with SLI are impaired in relative clause production compared to typically developing children. The alternative structures that they produce consist of simple main clauses, as well as nominal and prepositional phrases produced in isolation, sometimes contextually appropriate, and sometimes not. Crucially for evaluating the movement optionality account, children with SLI produce very few instances of embedded clauses where the relative clause head noun is pronounced in situ; in fact, such responses are more common among the typically developing child controls. These results underscore the difficulty German-speaking children with SLI have with structures involving movement, but provide no specific support for the movement optionality account.
The predictions of two contrasting approaches to the acquisition of transitive relative clauses were tested within the same groups of German-speaking participants aged from 3 to 5 years old. The input frequency approach predicts that object relative clauses with inanimate heads (e.g., the pullover that the man is scratching) are comprehended earlier and more accurately than those with an animate head (e.g., the man that the boy is scratching). In contrast, the structural intervention approach predicts that object relative clauses with two full NP arguments mismatching in number (e.g., the man that the boys are scratching) are comprehended earlier and more accurately than those with number-matching NPs (e.g., the man that the boy is scratching). These approaches were tested in two steps. First, we ran a corpus analysis to ensure that object relative clauses with number-mismatching NPs are not more frequent than object relative clauses with number-matching NPs in child directed speech. Next, the comprehension of these structures was tested experimentally in 3-, 4-, and 5-year-olds respectively by means of a color naming task. By comparing the predictions of the two approaches within the same participant groups, we were able to uncover that the effects predicted by the input frequency and by the structural intervention approaches co-exist and that they both influence the performance of children on transitive relative clauses, but in a manner that is modulated by age. These results reveal a sensitivity to animacy mismatch already being demonstrated by 3-year-olds and show that animacy is initially deployed more reliably than number to interpret relative clauses correctly. In all age groups, the animacy mismatch appears to explain the performance of children, thus, showing that the comprehension of frequent object relative clauses is enhanced compared to the other conditions. Starting with 4-year-olds but especially in 5-year-olds, the number mismatch supported comprehension—a facilitation that is unlikely to be driven by input frequency. Once children fine-tune their sensitivity to verb agreement information around the age of four, they are also able to deploy number marking to overcome the intervention effects. This study highlights the importance of testing experimentally contrasting theoretical approaches in order to characterize the multifaceted, developmental nature of language acquisition.
The aim of this work was the generation of carbon materials with high surface area, exhibiting a hierarchical pore system in the macro- and mesorange. Such a pore system facilitates the transport through the material and enhances the interaction with the carbon matrix (macropores are pores with diameters > 50 nm, mesopores between 2 – 50 nm). Thereto, new strategies for the synthesis of novel carbon materials with designed porosity were developed that are in particular useful for the storage of energy. Besides the porosity, it is the graphene structure itself that determines the properties of a carbon material. Non-graphitic carbon materials usually exhibit a quite large degree of disorder with many defects in the graphene structure, and thus exhibit inherent microporosity (d < 2nm). These pores are traps and oppose reversible interaction with the carbon matrix. Furthermore they reduce the stability and conductivity of the carbon material, which was undesired for the proposed applications. As one part of this work, the graphene structures of different non-graphitic carbon materials were studied in detail using a novel wide-angle x-ray scattering model that allowed precise information about the nature of the carbon building units (graphene stacks). Different carbon precursors were evaluated regarding their potential use for the synthesis shown in this work, whereas mesophase pitch proved to be advantageous when a less disordered carbon microstructure is desired. By using mesophase pitch as carbon precursor, two templating strategies were developed using the nanocasting approach. The synthesized (monolithic) materials combined for the first time the advantages of a hierarchical interconnected pore system in the macro- and mesorange with the advantages of mesophase pitch as carbon precursor. In the first case, hierarchical macro- / mesoporous carbon monoliths were synthesized by replication of hard (silica) templates. Thus, a suitable synthesis procedure was developed that allowed the infiltration of the template with the hardly soluble carbon precursor. In the second case, hierarchical macro- / mesoporous carbon materials were synthesized by a novel soft-templating technique, taking advantage of the phase separation (spinodal decomposition) between mesophase pitch and polystyrene. The synthesis also allowed the generation of monolithic samples and incorporation of functional nanoparticles into the material. The synthesized materials showed excellent properties as an anode material in lithium batteries and support material for supercapacitors.
Vorliegender Leitfaden ist eines der Ergebnisse des Forschungsprojekts „Open Innovation in Life Sciences“ (OIL), das von Mai 2008 bis April 2011 an der Universität Potsdam durchgeführt wurde. Er nimmt für sich in Anspruch, gerade Innovationsmanager in kleinen und mittleren Unternehmen (KMU) der Pharmaindustrie bei der Einführung des Open Innovation Managements zu unterstützen. Zielsetzung des Forschungsprojekts war es, (1) die Chancen und Risiken von Open Innovation unter besonderer Berücksichtigung der Anforderungen von Pharma-KMU zu analysieren und (2) daraus abgeleitet ein Konzept zur Implementierung von Open Innovation bei Pharma-KMU zu entwickeln. Der Ausgangspunkt des Projektes war die Erkenntnis, dass die Life Sciences-Branche im Allgemeinen und die Pharmaindustrie im Besonderen durch eine steigende Komplexität der Innovationsprozesse und eine zunehmende Tendenz zu Kooperationen gekennzeichnet ist. Vor diesem Hintergrund eröffnet gerade der Open Innovation-Ansatz für die Pharmabranche neue Gestaltungs- und damit Wachstumsmöglichkeiten. Open Innovation – definiert als die planvolle Öffnung der Innovationsprozesse und die strategische Einbindung des Unternehmensumfelds – wird dabei als zentraler Erfolgsfaktor für die Innovationsfähigkeit beschrieben.
Die Tränen des Henri Quatre
(2014)
Der vorliegende zweite Band mit Texten aus dem Nachlass von Dieter Adelmann (1936–2008) macht eine der letzten Arbeiten, die ihr Verfasser anlässlich seines 70. Geburtstags aus der Hand gegeben hat, für ein breites Publikum zugänglich. Der Essay bildet dabei einen Abschluss von Adelmanns ersten, im weitesten Sinne philosophischen Publikationen, die nach der Doktorarbeit (Bd. 1 der Nachlasspublikationen) entstanden sind. Ausgehend von einer Beobachtung in Heinrich Manns epochaler Doppelromanbiografie des navarresisch-französischen protestantischen Königs Henri IV. untersucht Adelmann die Tränen- und Todesmetaphorik in dem Romanwerk aus den 1930er Jahren. Von hier aus wird eine Brücke zur literaturwissenschaftlichen Ästhetik und Erkenntnistheorie Walter Benjamins geschlagen, mit der sich Adelmann bereits in seinen Arbeiten zur Politkunst Klaus Staecks beschäftigt hatte. Dabei deckt der Verfasser Fehlinterpretationen der Benjaminschen Theorien durch dessen Freund und Nachlassverwalter Theodor W. Adorno auf.
Aus dem Inhalt:
Vorwort der Herausgeber
Vorbemerkung
Einleitung
I. Abschnitt: Der Zweck des „Systems der Philosophie“
II. Abschnitt: Übergang zu den Grundlagen der Kultur
III. Abschnitt: Das Motiv der Menschheit als systematisches Grundproblem
IV. Abschnitt: Der Zusammenhang von Sittlichkeit und wissenschaftlicher Erfahrung als Leitproblem für die philosophische Entwicklung Cohens
V. Abschnitt: Die Aufgabe der Vernunft als Grundlegung für die Entwicklung der Kultur
Schluss: Cohens Bekenntnis der Vernunft
Nachwort
It is a well-attested finding in head-initial languages that individuals with aphasia (IWA) have greater difficulties in comprehending object-extracted relative clauses (ORCs) as compared to subject-extracted relative clauses (SRCs). Adopting the linguistically based approach of Relativized Minimality (RM; Rizzi, 1990, 2004), the subject-object asymmetry is attributed to the occurrence of a Minimality effect in ORCs due to reduced processing capacities in IWA (Garraffa & Grillo, 2008; Grillo, 2008, 2009). For ORCs, it is claimed that the embedded subject intervenes in the syntactic dependency between the moved object and its trace, resulting in greater processing demands. In contrast, no such intervener is present in SRCs. Based on the theoretical framework of RM and findings from language acquisition (Belletti et al., 2012; Friedmann et al., 2009), it is assumed that Minimality effects are alleviated when the moved object and the intervening subject differ in terms of relevant syntactic features. For German, the language under investigation, the RM approach predicts that number (i.e., singular vs. plural) and the lexical restriction [+NP] feature (i.e., lexically restricted determiner phrases vs. lexically unrestricted pronouns) are considered relevant in the computation of Minimality. Greater degrees of featural distinctiveness are predicted to result in more facilitated processing of ORCs, because IWA can more easily distinguish between the moved object and the intervener.
This cumulative dissertation aims to provide empirical evidence on the validity of the RM approach in accounting for comprehension patterns during relative clause (RC) processing in German-speaking IWA. For that purpose, I conducted two studies including visual-world eye-tracking experiments embedded within an auditory referent-identification task to study the offline and online processing of German RCs. More specifically, target sentences were created to evaluate (a) whether IWA demonstrate a subject-object asymmetry, (b) whether dissimilarity in the number and/or the [+NP] features facilitates ORC processing, and (c) whether sentence processing in IWA benefits from greater degrees of featural distinctiveness. Furthermore, by comparing RCs disambiguated through case marking (at the relative pronoun or the following noun phrase) and number marking (inflection of the sentence-final verb), it was possible to consider the role of the relative position of the disambiguation point. The RM approach predicts that dissimilarity in case should not affect the occurrence of Minimality effects. However, the case cue to sentence interpretation appears earlier within RCs than the number cue, which may result in lower processing costs in case-disambiguated RCs compared to number-disambiguated RCs.
In study I, target sentences varied with respect to word order (SRC vs. ORC) and dissimilarity in the [+NP] feature (lexically restricted determiner phrase vs. pronouns as embedded element). Moreover, by comparing the impact of these manipulations in case- and number-disambiguated RCs, the effect of dissimilarity in the number feature was explored. IWA demonstrated a subject-object asymmetry, indicating the occurrence of a Minimality effect in ORCs. However, dissimilarity neither in the number feature nor in the [+NP] feature alone facilitated ORC processing. Instead, only ORCs involving distinct specifications of both the number and the [+NP] features were well comprehended by IWA. In study II, only temporarily ambiguous ORCs disambiguated through case or number marking were investigated, while controlling for varying points of disambiguation. There was a slight processing advantage of case marking as cue to sentence interpretation as compared to number marking.
Taken together, these findings suggest that the RM approach can only partially capture empirical data from German IWA. In processing complex syntactic structures, IWA are susceptible to the occurrence of the intervening subject in ORCs. The new findings reported in the thesis show that structural dissimilarity can modulate sentence comprehension in aphasia. Interestingly, IWA can override Minimality effects in ORCs and derive correct sentence meaning if the featural specifications of the constituents are maximally different, because they can more easily distinguish the moved object and the intervening subject given their reduced processing capacities. This dissertation presents new scientific knowledge that highlights how the syntactic theory of RM helps to uncover selective effects of morpho-syntactic features on sentence comprehension in aphasia, emphasizing the close link between assumptions from theoretical syntax and empirical research.
Exploring generalisation following treatment of language deficits in aphasia can provide insights into the functional relation of the cognitive processing systems involved. In the present study, we first review treatment outcomes of interventions targeting sentence processing deficits and, second report a treatment study examining the occurrence of practice effects and generalisation in sentence comprehension and production. In order to explore the potential linkage between processing systems involved in comprehending and producing sentences, we investigated whether improvements generalise within (i.e., uni-modal generalisation in comprehension or in production) and/or across modalities (i.e., cross-modal generalisation from comprehension to production or vice versa). Two individuals with aphasia displaying co-occurring deficits in sentence comprehension and production were trained on complex, non-canonical sentences in both modalities. Two evidence-based treatment protocols were applied in a crossover intervention study with sequence of treatment phases being randomly allocated. Both participants benefited significantly from treatment, leading to uni-modal generalisation in both comprehension and production. However, cross-modal generalisation did not occur. The magnitude of uni-modal generalisation in sentence production was related to participants’ sentence comprehension performance prior to treatment. These findings support the assumption of modality-specific sub-systems for sentence comprehension and production, being linked uni-directionally from comprehension to production.
Metabolically active microbial communities are present in a wide range of subsurface environments. Techniques like enumeration of microbial cells, activity measurements with radiotracer assays and the analysis of porewater constituents are currently being used to explore the subsurface biosphere, alongside with molecular biological analyses. However, many of these techniques reach their detection limits due to low microbial activity and abundance. Direct measurements of microbial turnover not just face issues of insufficient sensitivity, they only provide information about a single specific process but in sediments many different process can occur simultaneously. Therefore, the development of a new technique to measure total microbial activity would be a major improvement. A new tritium-based hydrogenase-enzyme assay appeared to be a promising tool to quantify total living biomass, even in low activity subsurface environments. In this PhD project total microbial biomass and microbial activity was quantified in different subsurface sediments using established techniques (cell enumeration and pore water geochemistry) as well as a new tritium-based hydrogenase enzyme assay. By using a large database of our own cell enumeration data from equatorial Pacific and north Pacific sediments and published data it was shown that the global geographic distribution of subseafloor sedimentary microbes varies between sites by 5 to 6 orders of magnitude and correlates with the sedimentation rate and distance from land. Based on these correlations, global subseafloor biomass was estimated to be 4.1 petagram-C and ~0.6 % of Earth's total living biomass, which is significantly lower than previous estimates. Despite the massive reduction in biomass the subseafloor biosphere is still an important player in global biogeochemical cycles. To understand the relationship between microbial activity, abundance and organic matter flux into the sediment an expedition to the equatorial Pacific upwelling area and the north Pacific Gyre was carried out. Oxygen respiration rates in subseafloor sediments from the north Pacific Gyre, which are deposited at sedimentation rates of 1 mm per 1000 years, showed that microbial communities could survive for millions of years without fresh supply of organic carbon. Contrary to the north Pacific Gyre oxygen was completely depleted within the upper few millimeters to centimeters in sediments of the equatorial upwelling region due to a higher supply of organic matter and higher metabolic activity. So occurrence and variability of electron acceptors over depth and sites make the subsurface a complex environment for the quantification of total microbial activity. Recent studies showed that electron acceptor processes, which were previously thought to thermodynamically exclude each other can occur simultaneously. So in many cases a simple measure of the total microbial activity would be a better and more robust solution than assays for several specific processes, for example sulfate reduction rates or methanogenesis. Enzyme or molecular assays provide a more general approach as they target key metabolic compounds. Since hydrogenase enzymes are ubiquitous in microbes, the recently developed tritium-based hydrogenase radiotracer assay is applied to quantify hydrogenase enzyme activity as a parameter of total living cell activity. Hydrogenase enzyme activity was measured in sediments from different locations (Lake Van, Barents Sea, Equatorial Pacific and Gulf of Mexico). In sediment samples that contained nitrate, we found the lowest cell specific enzyme activity around 10^(-5) nmol H_(2) cell^(-1) d^(-1). With decreasing energy yield of the electron acceptor used, cell-specific hydrogenase activity increased and maximum values of up to 1 nmol H_(2) cell^(-1) d^(-1) were found in samples with methane concentrations of >10 ppm. Although hydrogenase activity cannot be converted directly into a turnover rate of a specific process, cell-specific activity factors can be used to identify specific metabolism and to quantify the metabolically active microbial population. In another study on sediments from the Nankai Trough microbial abundance and hydrogenase activity data show that both the habitat and the activity of subseafloor sedimentary microbial communities have been impacted by seismic activities. An increase in hydrogenase activity near the fault zone revealed that the microbial community was supplied with hydrogen as an energy source and that the microbes were specialized to hydrogen metabolism.
Subsurface microbial communities undertake many terminal electron-accepting processes, often simultaneously. Using a tritium-based assay, we measured the potential hydrogen oxidation catalyzed by hydrogenase enzymes in several subsurface sedimentary environments (Lake Van, Barents Sea, Equatorial Pacific, and Gulf of Mexico) with different predominant electron-acceptors. Hydrogenases constitute a diverse family of enzymes expressed by microorganisms that utilize molecular hydrogen as a metabolic substrate, product, or intermediate. The assay reveals the potential for utilizing molecular hydrogen and allows qualitative detection of microbial activity irrespective of the predominant electron-accepting process. Because the method only requires samples frozen immediately after recovery, the assay can be used for identifying microbial activity in subsurface ecosystems without the need to preserve live material. We measured potential hydrogen oxidation rates in all samples from multiple depths at several sites that collectively span a wide range of environmental conditions and biogeochemical zones. Potential activity normalized to total cell abundance ranges over five orders of magnitude and varies, dependent upon the predominant terminal electron acceptor. Lowest per-cell potential rates characterize the zone of nitrate reduction and highest per-cell potential rates occur in the methanogenic zone. Possible reasons for this relationship to predominant electron acceptor include (i) increasing importance of fermentation in successively deeper biogeochemical zones and (ii) adaptation of H(2)ases to successively higher concentrations of H-2 in successively deeper zones.
Technical report
(2019)
Design and Implementation of service-oriented architectures imposes a huge number of research questions from the fields of software engineering, system analysis and modeling, adaptability, and application integration. Component orientation and web services are two approaches for design and realization of complex web-based system. Both approaches allow for dynamic application adaptation as well as integration of enterprise application.
Commonly used technologies, such as J2EE and .NET, form de facto standards for the realization of complex distributed systems. Evolution of component systems has lead to web services and service-based architectures. This has been manifested in a multitude of industry standards and initiatives such as XML, WSDL UDDI, SOAP, etc. All these achievements lead to a new and promising paradigm in IT systems engineering which proposes to design complex software solutions as collaboration of contractually defined software services.
Service-Oriented Systems Engineering represents a symbiosis of best practices in object-orientation, component-based development, distributed computing, and business process management. It provides integration of business and IT concerns.
The annual Ph.D. Retreat of the Research School provides each member the opportunity to present his/her current state of their research and to give an outline of a prospective Ph.D. thesis. Due to the interdisciplinary structure of the research school, this technical report covers a wide range of topics. These include but are not limited to: Human Computer Interaction and Computer Vision as Service; Service-oriented Geovisualization Systems; Algorithm Engineering for Service-oriented Systems; Modeling and Verification of Self-adaptive Service-oriented Systems; Tools and Methods for Software Engineering in Service-oriented Systems; Security Engineering of Service-based IT Systems; Service-oriented Information Systems; Evolutionary Transition of Enterprise Applications to Service Orientation; Operating System Abstractions for Service-oriented Computing; and Services Specification, Composition, and Enactment.
Parsing of argumentative structures has become a very active line of research in recent years. Like discourse parsing or any other natural language task that requires prediction of linguistic structures, most approaches choose to learn a local model and then perform global decoding over the local probability distributions, often imposing constraints that are specific to the task at hand. Specifically for argumentation parsing, two decoding approaches have been recently proposed: Minimum Spanning Trees (MST) and Integer Linear Programming (ILP), following similar trends in discourse parsing. In contrast to discourse parsing though, where trees are not always used as underlying annotation schemes, argumentation structures so far have always been represented with trees. Using the 'argumentative microtext corpus' [in: Argumentation and Reasoned Action: Proceedings of the 1st European Conference on Argumentation, Lisbon 2015 / Vol. 2, College Publications, London, 2016, pp. 801-815] as underlying data and replicating three different decoding mechanisms, in this paper we propose a novel ILP decoder and an extension to our earlier MST work, and then thoroughly compare the approaches. The result is that our new decoder outperforms related work in important respects, and that in general, ILP and MST yield very similar performance.
With the recent growth of sensors, cloud computing handles the data processing of many applications. Processing some of this data on the cloud raises, however, many concerns regarding, e.g., privacy, latency, or single points of failure. Alternatively, thanks to the development of embedded systems, smart wireless devices can share their computation capacity, creating a local wireless cloud for in-network processing. In this context, the processing of an application is divided into smaller jobs so that a device can run one or more jobs.
The contribution of this thesis to this scenario is divided into three parts. In part one, I focus on wireless aspects, such as power control and interference management, for deciding which jobs to run on which node and how to route data between nodes. Hence, I formulate optimization problems and develop heuristic and meta-heuristic algorithms to allocate wireless and computation resources. Additionally, to deal with multiple applications competing for these resources, I develop a reinforcement learning (RL) admission controller to decide which application should be admitted. Next, I look into acoustic applications to improve wireless throughput by using microphone clock synchronization to synchronize wireless transmissions.
In the second part, I jointly work with colleagues from the acoustic processing field to optimize both network and application (i.e., acoustic) qualities. My contribution focuses on the network part, where I study the relation between acoustic and network qualities when selecting a subset of microphones for collecting audio data or selecting a subset of optional jobs for processing these data; too many microphones or too many jobs can lessen quality by unnecessary delays. Hence, I develop RL solutions to select the subset of microphones under network constraints when the speaker is moving while still providing good acoustic quality. Furthermore, I show that autonomous vehicles carrying microphones improve the acoustic qualities of different applications. Accordingly, I develop RL solutions (single and multi-agent ones) for controlling these vehicles.
In the third part, I close the gap between theory and practice. I describe the features of my open-source framework used as a proof of concept for wireless in-network processing. Next, I demonstrate how to run some algorithms developed by colleagues from acoustic processing using my framework. I also use the framework for studying in-network delays (wireless and processing) using different distributions of jobs and network topologies.
Education in knowledge society is challenged with a lot of problems in particular the interaction between the teacher and learner in social networking software as a key factor affects the learners’ learning and satisfaction (Prammanee, 2005) where “to teach is to communicate, to communicate is to interact, to interact is to learn” (Hefzallah, 2004, p. 48). Analyzing the relation between teacher-learner interaction from a side and learning outcome and learners’ satisfaction from the other side, some basic problems regarding a new learning culture using social networking software are discussed. Most of the educational institutions pay a lot of attentions to the equipments and emerging Information and Communication Technologies (ICTs) in learning situations. They try to incorporate ICT into their institutions as teaching and learning environments. They do this because they expect that by doing so they will improve the outcome of the learning process. Despite this, the learning outcome as reported in most studies is very limited, because the expectations of self-directed learning are much higher than the reality. Findings from an empirical study (investigating the role of teacher-learner interaction through new digital media wiki in higher education and learning outcome and learner’s satisfaction) are presented recommendations about the necessity of pedagogical interactions in support of teaching and learning activities in wiki courses in order to improve the learning outcome. Conclusions show the necessity for significant changes in the approach of vocational teacher training programs of online teachers in order to meet the requirements of new digital media in coherence with a new learning culture. These changes have to address collaborative instead of individual learning and ICT wiki as a tool for knowledge construction instead of a tool for gathering information.
The climate is a complex dynamical system involving interactions and feedbacks among different processes at multiple temporal and spatial scales. Although numerous studies have attempted to understand the climate system, nonetheless, the studies investigating the multiscale characteristics of the climate are scarce. Further, the present set of techniques are limited in their ability to unravel the multi-scale variability of the climate system. It is completely plausible that extreme events and abrupt transitions, which are of great interest to climate community, are resultant of interactions among processes operating at multi-scale. For instance, storms, weather patterns, seasonal irregularities such as El Niño, floods and droughts, and decades-long climate variations can be better understood and even predicted by quantifying their multi-scale dynamics. This makes a strong argument to unravel the interaction and patterns of climatic processes at different scales. With this background, the thesis aims at developing measures to understand and quantify multi-scale interactions within the climate system.
In the first part of the thesis, I proposed two new methods, viz, multi-scale event synchronization (MSES) and wavelet multi-scale correlation (WMC) to capture the scale-specific features present in the climatic processes. The proposed methods were tested on various synthetic and real-world time series in order to check their applicability and replicability. The results indicate that both methods (WMC and MSES) are able to capture scale-specific associations that exist between processes at different time scales in a more detailed manner as compared to the traditional single scale counterparts.
In the second part of the thesis, the proposed multi-scale similarity measures were used in constructing climate networks to investigate the evolution of spatial connections within climatic processes at multiple timescales. The proposed methods WMC and MSES, together with complex network were applied to two different datasets.
In the first application, climate networks based on WMC were constructed for the univariate global sea surface temperature (SST) data to identify and visualize the SSTs patterns that develop very similarly over time and distinguish them from those that have long-range teleconnections to other ocean regions. Further investigations of climate networks on different timescales revealed (i) various high variability and co-variability regions, and (ii) short and long-range teleconnection regions with varying spatial distance. The outcomes of the study not only re-confirmed the existing knowledge on the link between SST patterns like El Niño Southern Oscillation and the Pacific Decadal Oscillation, but also suggested new insights into the characteristics and origins of long-range teleconnections.
In the second application, I used the developed non-linear MSES similarity measure to quantify the multivariate teleconnections between extreme Indian precipitation and climatic patterns with the highest relevance for Indian sub-continent. The results confirmed significant non-linear influences that were not well captured by the traditional methods. Further, there was a substantial variation in the strength and nature of teleconnection across India, and across time scales.
Overall, the results from investigations conducted in the thesis strongly highlight the need for considering the multi-scale aspects in climatic processes, and the proposed methods provide robust framework for quantifying the multi-scale characteristics.
Im Graduiertenkolleg NatRiskChange der Universität Potsdam und anderen Forschungseinrichtungen werden beobachtete sowie zukünftig mögliche Veränderungen von Naturgefahren untersucht. Teil des strukturierten Doktorandenprogramms sind sogenannte Task-Force-Einsätze, bei denen die Promovierende zeitlich begrenzt ein aktuelles Ereignis auswerten. Im Zuge dieser Aktivität wurde die Sturzflut vom 29.05.2016 in Braunsbach (Baden-Württemberg) untersucht.
In diesem Bericht werden erste Auswertungen zur Einordnung der Niederschläge, zu den hydrologischen und geomorphologischen Prozessen im Einzugsgebiet des Orlacher Bachs sowie zu den verursachten Schäden beleuchtet.
Die Region war Zentrum extremer Regenfälle in der Größenordnung von 100 mm innerhalb von 2 Stunden. Das 6 km² kleine Einzugsgebiet hat eine sehr schnelle Reaktionszeit, zumal bei vorgesättigtem Boden. Im steilen Bachtal haben mehrere kleinere und größere Hangrutschungen über 8000 m³ Geröll, Schutt und Schwemmholz in das Gewässer eingetragen und möglicherweise kurzzeitige Aufstauungen und Durchbrüche verursacht. Neben den großen Wassermengen mit einer Abflussspitze in einer Größenordnung von 100 m³/s hat gerade die Geschiebefracht zu großen Schäden an den Gebäuden entlang des Bachlaufs in Braunsbach geführt.