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Ground-based gamma-ray astronomy has had a major breakthrough with the impressive results obtained using systems of imaging atmospheric Cherenkov telescopes. Ground-based gamma-ray astronomy has a huge potential in astrophysics, particle physics and cosmology. CTA is an international initiative to build the next generation instrument, with a factor of 5-10 improvement in sensitivity in the 100 GeV-10 TeV range and the extension to energies well below 100 GeV and above 100 TeV. CTA will consist of two arrays (one in the north, one in the south) for full sky coverage and will be operated as open observatory. The design of CTA is based on currently available technology. This document reports on the status and presents the major design concepts of CTA.
In vorliegender Arbeit werden die Gefahren und Chancen des gemeinschaftlichen Zusammenlebens im Exil am Beispiel der ehemaligen Colonia Dignidad in Chile analysiert. Die Colonia Dignidad (dt.: Kolonie der Würde) wurde 1961 von Mitgliedern einer deutschen Sekte im Zentrum des Landes, ca. 400 km südlich von Santiago entfernt, gegründet. Nach außen präsentierte sich die Gemeinschaft als glückliche und zufriedene deutsche Enklave, die ihre heimatlichen Traditionen und Bräuche im Ausland weiterhin pflegt. Mit dem Ende der Militärdiktatur unter Augusto Pinochet 1990 und dem damit verbundenen Wegfall der politischen Rückendeckung der Gemeinschaft, begann die chilenische Justiz die schon länger bestehenden Vorwürfe gegen den damaligen Sektenführer Paul Schäfer, u. a. wegen Kindesmissbrauchs und Folter an chilenischen Oppositionellen während der Militärdiktatur, zu untersuchen. Dem chilenischen Haftbefehl acht Jahre später entzog sich Paul Schäfer durch seine Flucht nach Argentinien. Die zurückbleibenden Mitglieder der Colonia Dignidad waren aufgrund des einsetzenden Zerfalls der alten Gemeinschaftsordnung gezwungen, sich ein neues Gemeinschaftskonzept zu erarbeiten, eines, in dem die bisher so dominante Führerfigur fehlte.
Sowohl das Gemeinschaftsleben in der Colonia Dignidad zwischen 1961 und 1998 als auch das Zusammenleben in der heutigen Villa Baviera ab 1998 wird anhand der Theorien zur Gemeinschaftsforschung von Ferdinand Tönnies, Georg Vobruba, Zygmunt Baumann, Matthias Grundmann und Stephan Drucks analysiert. Im Findungsprozess eines neuen Gemeinschaftskonzeptes waren die Mitglieder der ehemaligen Colonia Dignidad gezwungen, sich mit der Vergangenheit auseinanderzusetzen. In diesem Zusammenhang wird der Frage nachgegangen, inwiefern eine Aufarbeitung der Vergangenheit (memoria) im kulturwissenschaftlichen und psychologischen Sinne stattfand bzw. stattfindet und wenn ja, wie sich diese gestaltete bzw. gestaltet. Hierzu wird untersucht, welche staatlichen Maßnahmen zur Unterstützung des Neuanfangs der Gemeinschaft getroffen wurden und welchen Erfolg diese Maßnahmen hatten. Basierend auf den daraus gewonnenen Resultaten und der aktuellen Selbstdarstellung der Villa Baviera in ihrer Webpräsenz, wird das neue Gemeinschaftskonzept der ehemaligen Colonia Dignidad auf die Chancen des Zusammenlebens hin analysiert. Weiterführend werden Konzepte zum kollektiven Gedächtnis untersucht, von dem „Familiengedächtnis“ auf ein „Gemeinschaftsgedächtnis“ übertragen und mit der Frage nach der konstruktiven memoria innerhalb der Villa Baviera verbunden. Abschließend wird der Frage nachgegangen, welche positiven Aspekte des Gemeinschaftslebens einer intentionalen Gemeinschaft auf das Gemeinschaftsleben der Villa Baviera übertragen werden könnten.
Background: The ability to create nanostructures with biomolecules is one of the key elements in nanobiotechnology. One of the problems is the expensive and mostly custom made equipment which is needed for their development. We intended to reduce material costs and aimed at miniaturization of the necessary tools that are essential for nanofabrication. Thus we combined the capabilities of molecular ink lithography with DNA-self-assembling capabilities to arrange DNA in an independent array which allows addressing molecules in nanoscale dimensions.
Results: For the construction of DNA based nanostructures a method is presented that allows an arrangement of DNA strands in such a way that they can form a grid that only depends on the spotted pattern of the anchor molecules. An atomic force microscope (AFM) has been used for molecular ink lithography to generate small spots. The sequential spotting process allows the immobilization of several different functional biomolecules with a single AFM-tip. This grid which delivers specific addresses for the prepared DNA-strand serves as a two-dimensional anchor to arrange the sequence according to the pattern. Once the DNA-nanoarray has been formed, it can be functionalized by PNA (peptide nucleic acid) to incorporate advanced structures.
Conclusions: The production of DNA-nanoarrays is a promising task for nanobiotechnology. The described method allows convenient and low cost preparation of nanoarrays. PNA can be used for complex functionalization purposes as well as a structural element.
Background
In many species males face a higher predation risk than females because males display elaborate traits that evolved under sexual selection, which may attract not only females but also predators. Females are, therefore, predicted to avoid such conspicuous males under predation risk. The present study was designed to investigate predator-induced changes of female mating preferences in Atlantic mollies (Poecilia mexicana). Males of this species show a pronounced polymorphism in body size and coloration, and females prefer large, colorful males in the absence of predators.
Results
In dichotomous choice tests predator-naïve (lab-reared) females altered their initial preference for larger males in the presence of the cichlid Cichlasoma salvini, a natural predator of P. mexicana, and preferred small males instead. This effect was considerably weaker when females were confronted visually with the non-piscivorous cichlid Vieja bifasciata or the introduced non-piscivorous Nile tilapia (Oreochromis niloticus). In contrast, predator experienced (wild-caught) females did not respond to the same extent to the presence of a predator, most likely due to a learned ability to evaluate their predators' motivation to prey.
Conclusions
Our study highlights that (a) predatory fish can have a profound influence on the expression of mating preferences of their prey (thus potentially affecting the strength of sexual selection), and females may alter their mate choice behavior strategically to reduce their own exposure to predators. (b) Prey species can evolve visual predator recognition mechanisms and alter their mate choice only when a natural predator is present. (c) Finally, experiential effects can play an important role, and prey species may learn to evaluate the motivational state of their predators.
Background
More than in other domains the heterogeneous services world in bioinformatics demands for a methodology to classify and relate resources in a both human and machine accessible manner. The Semantic Web, which is meant to address exactly this challenge, is currently one of the most ambitious projects in computer science. Collective efforts within the community have already led to a basis of standards for semantic service descriptions and meta-information. In combination with process synthesis and planning methods, such knowledge about types and services can facilitate the automatic composition of workflows for particular research questions.
Results
In this study we apply the synthesis methodology that is available in the Bio-jETI workflow management framework for the semantics-based composition of EMBOSS services. EMBOSS (European Molecular Biology Open Software Suite) is a collection of 350 tools (March 2010) for various sequence analysis tasks, and thus a rich source of services and types that imply comprehensive domain models for planning and synthesis approaches. We use and compare two different setups of our EMBOSS synthesis domain: 1) a manually defined domain setup where an intuitive, high-level, semantically meaningful nomenclature is applied to describe the input/output behavior of the single EMBOSS tools and their classifications, and 2) a domain setup where this information has been automatically derived from the EMBOSS Ajax Command Definition (ACD) files and the EMBRACE Data and Methods ontology (EDAM). Our experiments demonstrate that these domain models in combination with our synthesis methodology greatly simplify working with the large, heterogeneous, and hence manually intractable EMBOSS collection. However, they also show that with the information that can be derived from the (current) ACD files and EDAM ontology alone, some essential connections between services can not be recognized.
Conclusions
Our results show that adequate domain modeling requires to incorporate as much domain knowledge as possible, far beyond the mere technical aspects of the different types and services. Finding or defining semantically appropriate service and type descriptions is a difficult task, but the bioinformatics community appears to be on the right track towards a Life Science Semantic Web, which will eventually allow automatic service composition methods to unfold their full potential.
Dutch allows for variation as to whether the first position in the sentence is occupied by the subject or by some other constituent, such as the direct object. In particular situations, however, this commonly observed variation in word order is ‘frozen’ and only the subject appears in first position. We hypothesize that this partial freezing of word order in Dutch can be explained from the dependence of the speaker’s choice of word order on the hearer’s interpretation of this word order. A formal model of this interaction between the speaker’s perspective and the hearer’s perspective is presented in terms of bidirectional Optimality Theory. Empirical predictions of this model regarding the interaction between word order and definiteness are confirmed by a quantitative corpus study.
Many organisms have developed defences to avoid predation by species at higher trophic levels. The capability of primary producers to defend themselves against herbivores affects their own survival, can modulate the strength of trophic cascades and changes rates of competitive exclusion in aquatic communities. Algal species are highly flexible in their morphology, growth form, biochemical composition and production of toxic and deterrent compounds. Several of these variable traits in phytoplankton have been interpreted as defence mechanisms against grazing. Zooplankton feed with differing success on various phytoplankton species, depending primarily on size, shape, cell wall structure and the production of toxins and deterrents. Chemical cues associated with (i) mechanical damage, (ii) herbivore presence and (iii) grazing are the main factors triggering induced defences in both marine and freshwater phytoplankton, but most studies have failed to disentangle the exact mechanism(s) governing defence induction in any particular species. Induced defences in phytoplankton include changes in morphology (e.g. the formation of spines, colonies and thicker cell walls), biochemistry (such as production of toxins, repellents) and in life history characteristics (formation of cysts, reduced recruitment rate). Our categorization of inducible defences in terms of the responsible induction mechanism provides guidance for future work, as hardly any of the available studies on marine or freshwater plankton have performed all the treatments that are required to pinpoint the actual cue(s) for induction. We discuss the ecology of inducible defences in marine and freshwater phytoplankton with a special focus on the mechanisms of induction, the types of defences, their costs and benefits, and their consequences at the community level.
Fusarium spp. infection of cereal grain is a common problem, which leads to a dramatic loss of grain quality. The aim of the present study was to investigate the effect of Fusarium infection on the wheat storage protein gluten and its fractions, the gliadins and glutenins, in an in vitro model system. Gluten proteins were digested by F. graminearum proteases for 2, 4, 8 and 24 h, separated by Osborne fractionation and characterised by chromatographic (RP-HPLC) and electrophoretic analysis (SDS-Page). Gluten digestion by F. graminearum proteases showed in comparison with gliadins a preference for the glutenins whereas the HMW subfraction was at most affected. In comparison with a untreated control, the HMW subfraction was degraded of about 97% after 4 h incubation with Fusarium proteases. Separate digestion of gliadin and glutenin underlined the preference for HMW-GS. Analogue to the observed change in the gluten composition, the yield of the proteins extracted changed. A higher amount of glutenin fragments was found in the gliadin extraction solution after digestion and could mask a gliadin destruction at the same time. This observation can contribute to explain the frequently reported reduced glutenin amount parallel to an increase in gliadin quantity after Fusarium infection in grains.
Background
Riociguat is the first of a new class of drugs, the soluble guanylate cyclase (sGC) stimulators. Riociguat has a dual mode of action: it sensitizes sGC to the body’s own NO and can also increase sGC activity in the absence of NO. The NO-sGC-pathway is impaired in many cardiovascular diseases such as heart failure, pulmonary hypertension and diabetic nephropathy (DN). DN leads to high cardiovascular morbidity and mortality. There is still a high unmet medical need. The urinary albumin excretion rate is a predictive biomarker for these clinical events. Therefore, we investigated the effect of riociguat, alone and in combination with the angiotensin II receptor antagonist (ARB) telmisartan on the progression of DN in diabetic eNOS knock out mice, a new model closely resembling human pathology.
Methods
Seventy-six male eNOS knockout C57BL/6J mice were divided into 4 groups after receiving intraperitoneal high-dose streptozotocin: telmisartan (1 mg/kg), riociguat (3 mg/kg), riociguat+telmisartan (3 and 1 mg/kg), and vehicle. Fourteen mice were used as non-diabetic controls. After 12 weeks, urine and blood were obtained and blood pressure measured. Glucose concentrations were highly increased and similar in all diabetic groups.
Results
Riociguat, alone (105.2 ± 2.5 mmHg; mean±SEM; n = 14) and in combination with telmisartan (105.0 ± 3.2 mmHg; n = 12), significantly reduced blood pressure versus diabetic controls (117.1 ± 2.2 mmHg; n = 14; p = 0.002 and p = 0.004, respectively), whereas telmisartan alone (111.2 ± 2.6 mmHg) showed a modest blood pressure lowering trend (p = 0.071; n = 14). The effects of single treatment with either riociguat (97.1 ± 15.7 µg/d; n = 13) or telmisartan (97.8 ± 26.4 µg/d; n = 14) did not significantly lower albumin excretion on its own (p = 0.067 and p = 0.101, respectively). However, the combined treatment led to significantly lower urinary albumin excretion (47.3 ± 9.6 µg/d; n = 12) compared to diabetic controls (170.8 ± 34.2 µg/d; n = 13; p = 0.004), and reached levels similar to non-diabetic controls (31.4 ± 10.1 µg/d, n = 12).
Conclusion
Riociguat significantly reduced urinary albumin excretion in diabetic eNOS knock out mice that were refractory to treatment with ARB’s alone. Patients with diabetic nephropathy refractory to treatment with ARB’s have the worst prognosis among all patients with diabetic nephropathy. Our data indicate that additional stimulation of sGC on top of standard treatment with ARB`s may offer a new therapeutic approach for patients with diabetic nephropathy resistant to ARB treatment.
Due to their optical and electro-conductive attributes, carbazole derivatives are interesting materials for a large range of biosensor applications. In this study, we present the synthesis routes and fluorescence evaluation of newly designed carbazole fluorosensors that, by modification with uracil, have a special affinity for antiretroviral drugs via either Watson–Crick or Hoogsteen base pairing. To an N-octylcarbazole-uracil compound, four different groups were attached, namely thiophene, furane, ethylenedioxythiophene, and another uracil; yielding four different derivatives. Photophysical properties of these newly obtained derivatives are described, as are their interactions with the reverse transcriptase inhibitors such as abacavir, zidovudine, lamivudine and didanosine. The influence of each analyte on biosensor fluorescence was assessed on the basis of the Stern–Volmer equation and represented by Stern–Volmer constants. Consequently we have demonstrated that these structures based on carbazole, with a uracil group, may be successfully incorporated into alternative carbazole derivatives to form biosensors for the molecular recognition of antiretroviral drugs.
Saccades move objects of interest into the center of the visual field for high-acuity visual analysis. White, Stritzke, and Gegenfurtner (Current Biology, 18, 124–128, 2008) have shown that saccadic latencies in the context of a structured background are much shorter than those with an unstructured background at equal levels of visibility. This effect has been explained by possible preactivation of the saccadic circuitry whenever a structured background acts as a mask for potential saccade targets. Here, we show that background textures modulate rates of microsaccades during visual fixation. First, after a display change, structured backgrounds induce a stronger decrease of microsaccade rates than do uniform backgrounds. Second, we demonstrate that the occurrence of a microsaccade in a critical time window can delay a subsequent saccadic response. Taken together, our findings suggest that microsaccades contribute to the saccadic facilitation effect, due to a modulation of microsaccade rates by properties of the background.
Indirect resource competition and interference are widely occurring mechanisms of interspecific interactions. We have studied the seasonal expression of these two interaction types within a two-species, boreal small mammal system. Seasons differ by resource availability, individual breeding state and intraspecific social system. Live-trapping methods were used to monitor space use and reproduction in 14 experimental populations of bank voles Myodes glareolus in large outdoor enclosures with and without a dominant competitor, the field vole Microtus agrestis. We further compared vole behaviour using staged dyadic encounters in neutral arenas in both seasons. Survival of the non-breeding overwintering bank voles was not affected by competition. In the spring, the numbers of male bank voles, but not of females, were reduced significantly in the competition populations. Bank vole home ranges expanded with vole density in the presence of competitors, indicating food limitation. A comparison of behaviour between seasons based on an analysis of similarity revealed an avoidance of costly aggression against opponents, independent of species. Interactions were more aggressive during the summer than during the winter, and heterospecific encounters were more aggressive than conspecific encounters. Based on these results, we suggest that interaction types and their respective mechanisms are not either–or categories and may change over the seasons. During the winter, energy constraints and thermoregulatory needs decrease direct aggression, but food constraints increase indirect resource competition. Direct interference appears in the summer, probably triggered by each individual’s reproductive and hormonal state and the defence of offspring against conspecific and heterospecific intruders. Both interaction forms overlap in the spring, possibly contributing to spring declines in the numbers of subordinate species.
Restoration of semi-natural grassland communities
involves a combination of (1) sward disturbance to
create a temporal window for establishment, and (2)
target species introduction, the latter usually by seed
sowing. With great regularity, particular species
establish only poorly. More reliable establishment
could improve outcome of restoration projects and
increase cost-effectiveness. We investigated the
abiotic germination niche of ten poorly establishing
calcareous grassland species by simultaneously
exploring the effects of moisture and light availability
and temperature fluctuation on percentage germina-
tion and speed of germination. We also investigated
the effects of three different pre-treatments used to
enhance seed germination – cold-stratification, osmo-
tic priming and priming in combination with gibberellic
acid (GA 3 ) – and how these affected abiotic
germination niches. Species varied markedly in width
of abiotic germination niche, ranging from Carex flacca
with very strict abiotic requirements, to several species
reliably germinating across the whole range of abiotic
conditions. Our results suggest pronounced differ-
ences between species in gap requirements for
establishment. Germination was improved in most
species by at least one pre-treatment. Evidence for
positive effects of adding GA 3 to seed priming
solutions was limited. In several species, pre-treated
seeds germinated under a wider range of abiotic
conditions than untreated seeds. Improved knowledge
of species-specific germination niches and the effects
of seed pre-treatments may help to improve species
establishment by sowing, and to identify species for
which sowing at a later stage of restoration or
introduction as small plants may represent a more
viable strategy.
We show that the residue density of the logarithm of a generalized Laplacian on a closed manifold defines an invariant polynomial-valued differential form. We express it in terms of a finite sum of residues of
classical pseudodifferential symbols. In the case of the square of a Dirac operator, these formulas provide a pedestrian proof of the Atiyah–Singer formula for a pure Dirac operator in four dimensions and for a
twisted Dirac operator on a flat space of any dimension. These correspond to special cases of a more general formula by Scott and Zagier. In our approach, which is of perturbative nature, we use either a Campbell–Hausdorff formula derived by Okikiolu or a noncommutative Taylor-type formula.
X-ray observations of young Planetary Nebulæ (PNe) have revealed diffuse emission in extended regions around both H-rich and H-deficient central stars. In order to also repro-duce physical properties of H-deficient objects, we have, at first, extended our time-dependent radiation-hydrodynamic models with heat conduction for such conditions. Here we present some of the important physical concepts, which determine how and when a hot wind-blown bubble forms. In this study we have had to consider the, largely unknown, evolution of the CSPN, the slow (AGB) wind, the fast hot-CSPN wind, and the chemical composition. The main conclusion of our work is that heat conduction is needed to explain X-ray properties of wind-blown bubbles also in H-deficient objects.
We study pattern-forming instabilities in reaction-advection-diffusion systems. We develop an approach based on Lyapunov-Bloch exponents to figure out the impact of a spatially periodic mixing flow on the stability of a spatially homogeneous state. We deal with the flows periodic in space that may have arbitrary time dependence. We propose a discrete in time model, where reaction, advection, and diffusion act as successive operators, and show that a mixing advection can lead to a pattern-forming instability in a two-component system where only one of the species is advected. Physically, this can be explained as crossing a threshold of Turing instability due to effective increase of one of the diffusion constants.
The space missions Voyager and Cassini together with earthbound observations re-vealed a wealth of structures in Saturn’s rings. There are, for example, waves being excited at ring positions which are in orbital resonance with Saturn’s moons. Other structures can be assigned to embedded moons like empty gaps, moon induced wakes or S-shaped propeller features. Further-more, irregular radial structures are observed in the range from 10 meters until kilometers. Here some of these structures will be discussed in the frame of hydrodynamical modeling of Saturn’s dense rings. For this purpose we will characterize the physical properties of the ring particle ensemble by mean field quantities and point to the special behavior of the transport coefficients. We show that unperturbed rings can become unstable and how diffusion acts in the rings. Additionally, the alternative streamline formalism is introduced to describe perturbed regions of dense rings with applications to the wake damping and the dispersion relation of the density waves.
The main thread of this review article is to identify the reasons of how to account for the trajectory of American power in the region. Leaving behind the vast amount of highly politicised and hastily compiled volumes of recent years (notwithstanding valuable exceptions), the monographs composed by Lawrence Freedman, Trita Parsi and Oliver Roy attempt to subtly disentangle the intricacies of US involvement in the region from highly distinct perspectives. One caveat for International Relations theorists is that none of the
aforementioned authors intends to provide theoretical frameworks for his examination. However, since IR theory has damagingly neglected history in the last decades, the works under review here, at least in part, compensate for this disciplinary and intellectual failure. In conclusion, Freedman’s in-depth approach as a diplomatic historian, with its under-lying reference to the various traditions in US foreign policy thinking, is most illuminating, while Parsi’s contestable account focuses too narrowly on the Iran-Israel relationship. Roy’s explications fail to show how and why the ‘ideological’ element in US foreign policy came to carry exceedingly more weight after 2001 than it did in the 1990s.
Increased antioxidant capacity in the plasma of dogs after a single oral dosage of tocotrienols
(2011)
The intestinal absorption of tocotrienols (TCT) in dogs is, to our knowledge, so far unknown. Adult Beagle dogs (n 8) were administered a single oral dosage of a TCT-rich fraction (TRF; 40 mg/kg body weight) containing 32 % a-TCT, 2 % b-TCT, 27 % g-TCT, 14 % d-TCT and 25 % a-tocopherol (a-TCP). Blood was sampled at baseline (fasted), 1, 2, 3, 4, 5, 6, 8 and 12 h after supplementation. Plasma and chylomicron concentrations of TCT and a-TCP were measured at each time point. Plasma TAG were measured enzymatically, and plasma antioxidant capacity was assessed by the Trolox equivalent antioxidant capacity assay. In fasted dogs, levels of TCT were 0·07 ( SD 0·03) mmol/l. Following the administration of the TRF, total plasma TCT peaked at 2 h (7·16 ( SD 3·88) mmol/l; P, 0·01) and remained above baseline levels (0·67 ( SD 0·44) mmol/l; P, 0·01) at 12 h. The TCT response in chylomicrons paralleled the increase in TCT in plasma with a maximum peak (3·49 ( SD 2·06) mmol/l; P, 0·01) at 2 h post-dosage. a-TCP was the major vitamin E detected in plasma and unaffected by TRF supplementation. The Trolox equivalent values increased from 2 h (776 ( SD 51·2) mmol/l) to a maximum at 12 h (1130 ( SD 7·72) mmol/l; P,0·01). The results show that TCT are detected in postprandial plasma of dogs. The increase in antioxidant capacity suggests a potential beneficial role of TCT supplementation in the prevention or treatment of several diseases in dogs.
We asked whether invariant phonetic indices for syllable structure can be identified in a language where word-initial consonant clusters, regardless of their sonority profile, are claimed to be parsed heterosyllabically. Four speakers of Moroccan Arabic were recorded, using Electromagnetic Articulography. Pursuing previous work, we employed temporal diagnostics for syllable structure, consisting of static correspondences between any given phonological organisation and its presumed phonetic indices. We show that such correspondences offer only a partial understanding of the relation between syllabic organisation and continuous indices of that organisation. We analyse the failure of the diagnostics and put forth a new approach in which different phonological organisations prescribe different ways in which phonetic indices change as phonetic parameters are scaled. The main finding is that invariance is found in these patterns of change, rather than in static correspondences between phonological constructs and fixed values for their phonetic indices.
Although horses and donkeys belong to the same genus, their genetic characteristics probably result in specific proteomes and post-translational modifications (PTM) of proteins. Since PTM can alter protein properties, specific PTM may contribute to species-specific characteristics. Therefore, the aim of the present study was to analyse differences in serum protein profiles of horses and donkeys as well as mules, which combine the genetic backgrounds of both species. Additionally, changes in PTM of the protein transthyretin (TTR) were analysed. Serum protein profiles of each species (five animals per species) were determined using strong anion exchanger ProteinChips (R) (Bio-Rad, Munich, Germany) in combination with surface-enhanced laser desorption ionisation-time of flight MS. The PTM of TTR were analysed subsequently by immunoprecipitation in combination with matrix-assisted laser desorption ionisation-time of flight MS. Protein profiling revealed species-specific differences in the proteome, with some protein peaks present in all three species as well as protein peaks that were unique for donkeys and mules, horses and mules or for horses alone. The molecular weight of TTR of horses and donkeys differed by 30Da, and both species revealed several modified forms of TTR besides the native form. The mass spectra of mules represented a merging of TTR spectra of horses and donkeys. In summary, the present study indicated that there are substantial differences in the proteome of horses and donkeys. Additionally, the results probably indicate that the proteome of mules reveal a higher similarity to donkeys than to horses.
Using the notion of an elementary loop, Gebser and Schaub (2005. Proceedings of the Eighth International Conference on Logic Programming and Nonmonotonic Reasoning (LPNMR’05 ), 53–65) refined the theorem on loop formulas attributable to Lin and Zhao (2004) by considering loop formulas of elementary loops only. In this paper, we reformulate the definition of an elementary loop, extend it to disjunctive programs, and study several properties of elementary loops, including how maximal elementary loops are related to minimal unfounded sets. The results provide useful insights into the stable model semantics in terms of elementary loops. For a nondisjunctive program, using a graph-theoretic characterization of an elementary loop, we show that the problem of recognizing an elementary loop is tractable. On the other hand, we also show that the corresponding problem is coNP-complete for a disjunctive program. Based on the notion of an elementary loop, we present the class of Head-Elementary-loop-Free (HEF) programs, which strictly generalizes the class of Head-Cycle-Free (HCF) programs attributable to Ben-Eliyahu and Dechter (1994. Annals of Mathematics and Artificial Intelligence 12, 53–87). Like an HCF program, an HEF program can be turned into an equivalent nondisjunctive program in polynomial time by shifting head atoms into the body.
We present XMM-Newton and Chandra observations of the born-again planetary nebula A 30. These X-ray observations reveal a bright unresolved source at the position of the central star whose X-ray luminosity exceeds by far the model expectations for photospheric emission and for shocks within the stellar wind. We suggest that a “born-again hot bubble” may be responsible for this X-ray emission. Diffuse X-ray emission associated with the petal-like features and one of the H-poor knots seen in the optical is also found. The weakened emission of carbon lines in the spectrum of the diffuse emission can be interpreted as the dilution of stellar wind by mass-loading or as the detection of material ejected during a very late thermal pulse.
We introduce an approach to detecting inconsistencies in large biological networks by using answer set programming. To this end, we build upon a recently proposed notion of consistency between biochemical/genetic reactions and high-throughput profiles of cell activity. We then present an approach based on answer set programming to check the consistency of large-scale data sets. Moreover, we extend this methodology to provide explanations for inconsistencies by determining minimal representations of conflicts. In practice, this can be used to identify unreliable data or to indicate missing reactions.
Building biological models by inferring functional dependencies from experimental data is an important issue in Molecular Biology. To relieve the biologist from this traditionally manual process, various approaches have been proposed to increase the degree of automation. However, available approaches often yield a single model only, rely on specific assumptions, and/or use dedicated, heuristic algorithms that are intolerant to changing circumstances or requirements in the view of the rapid progress made in Biotechnology. Our aim is to provide a declarative solution to the problem by appeal to Answer Set Programming (ASP) overcoming these difficulties. We build upon an existing approach to Automatic Network Reconstruction proposed by part of the authors. This approach has firm mathematical foundations and is well suited for ASP due to its combinatorial flavor providing a characterization of all models explaining a set of experiments. The usage of ASP has several benefits over the existing heuristic algorithms. First, it is declarative and thus transparent for biological experts. Second, it is elaboration tolerant and thus allows for an easy exploration and incorporation of biological constraints. Third, it allows for exploring the entire space of possible models. Finally, our approach offers an excellent performance, matching existing, special-purpose systems.
Preference handling and optimization are indispensable means for addressing nontrivial applications in Answer Set Programming (ASP). However, their implementation becomes difficult whenever they bring about a significant increase in computational complexity. As a consequence, existing ASP systems do not offer complex optimization capacities, supporting, for instance, inclusion-based minimization or Pareto efficiency. Rather, such complex criteria are typically addressed by resorting to dedicated modeling techniques, like saturation. Unlike the ease of common ASP modeling, however, these techniques are rather involved and hardly usable by ASP laymen. We address this problem by developing a general implementation technique by means of meta-prpogramming, thus reusing existing ASP systems to capture various forms of qualitative preferences among answer sets. In this way, complex preferences and optimization capacities become readily available for ASP applications.
The armed conflict in Afghanistan since 2001 has raised manifold questions pertaining to the humanitarian rules relative to the conduct of hostilities. In Afghanistan, as is often the case in so-called asymmetric conflicts, the geographical and temporal boundaries of the battlefield, and the distinction between civilians and fighters, are increasingly blurred. As a result, the risks for both civilians and soldiers operating in Afghanistan are high. The objective of this article is to assess whether - and if so how much - the armed conflict in Afghanistan has affected the application and interpretation of the principles of distinction, proportionality, and precaution - principles that form the core of legal rules pertaining to the conduct of hostilities.
Urbanity and literature
(2011)
Transarea studies focus upon spaces as created by the movements that criss-cross them. From this point of view, from its very beginnings, literature is closely interrelated with a vectorial (and much less with a purely spatial) conception of history - and with urbanity, which plays a decisive role in Gilgamesh's travels through a (narrative) cosmos centered upon the city of Uruk. This article explores the city as a transareal space of movement in three examples of literature, with no fixed abode, around the turn of the millennium, i.e. Assia Djebar's Les Nuits de Strasbourg, Emine Sevgi Oezdamar's Istanbul-Berlin Trilogy, and Cecile Wajsbrot's L'ile aux musees. These three writers project, in a very specific way, cities in motion as anagrammatic and fractal structures.
To understand the evolution and morphology of planetary nebulae, a detailed knowledge of their central stars is required. Central stars that exhibit emission lines in their spectra, indicating stellar mass-loss allow to study the evolution of planetary nebulae in action. Emission line central stars constitute about 10 % of all central stars. Half of them are practically hydrogen-free Wolf-Rayet type central stars of the carbon sequence, [WC], that show strong emission lines of carbon and oxygen in their spectra. In this contribution we address the weak emission-lines central stars (wels). These stars are poorly analyzed and their hydrogen content is mostly unknown. We obtained optical spectra, that include the important Balmer lines of hydrogen, for four weak emission line central stars. We present the results of our analysis, provide spectral classification and discuss possible explanations for their formation and evolution.
Dieses Lehrvideo zeigt aus der Perspektive einer Übertischkamera den fiktiven informatischen Hochleister Tom bei der Bearbeitung eines schwierigen Färbeproblems. Dabei kann man die fortlaufend von ihm angefertigten Skizzen beobachten und seine Gedankengänge genau verfolgen. Denn dieser Problemlöser arbeitet unter lautem Denken, d. h. er spricht alle seine Gedankengänge laut aus. Man kann zuschauen, wie Tom zunächst die Aufgabe analysiert und die dadurch gewonnenen Erkenntnisse in der anschließenden Problembearbeitung gewinnbringend einsetzt. Der Zuschauer wird dabei aber nicht allein gelassen. An markanten Stellen wird das Video unterbrochen und Toms zurückliegende Aktivitäten mit animierten Bildsequenzen vertiefend erläutert. Schwache Problemlöser können so die in Unterricht oder Vorlesung vermittelten Kenntnisse über informatische Problemlösemethoden vertiefen und deren Anwendung durch einen starken Problemlöser beispielhaft miterleben. Entstanden ist dieses Video aus einer Vergleichsstudie mit starken und schwachen Problemlösern. Die effizienten Methoden der Hochleister wurden didaktisch aufgearbeitet und zu einem modellhaften Problemlöseprozess zusammengesetzt. Der wissenschaftliche Hintergrund des Lehrvideos wird durch eine als Bildergeschichte erzählte Rahmenhandlung verdeutlicht. Bei Erstsemesterstudenten der Informatik, denen dieses Video zur Bewertung vorgespielt wurde, fand dieses Konzept große Zustimmung. Tenor: Unterhaltsam und lehrreich zugleich.
Der Beitrag konzentriert sich auf die neue einheitliche Behördenrufnummer D115, als aktuelles, innovatives eGovernment-Projekt der deutschen Verwaltungsmodernisierung. Als theoretische Grundlage der hier vorliegenden empirischen verwaltungswissen schaftlichen Analyse sekundiert der Multilevel-Governance-Ansatz, welcher die Mehrebenenverflechtung der politisch-administrativen Strukturen, die Vielschichtigkeit und die besondere Governancestruktur des Reformvorhabens am besten erfassen dürfte. Die Analyse der Funktionsweise der Behördenrufnummer D115, der beteiligten Akteure und deren institutionell bedingter Motivation kommt insgesamt zum Ergebnis, dass der Ansatz für das Modernisierungsprojekt als geradezu exemplarisch zu betrachten ist. Die Berücksichtigung des Mehrebenencharakters sowie der dabei zur Anwendung kommen den Netzwerk- und Steuerungsmechanismen sind bei einem solchen Projekt und künftigen eGovernment-Projekten unverzichtbar.
The selection of ‘good’ pictures has increasingly become a crucial factor when transmitting news to the recipients. Every day thousands of events are happening and millions of pictures are taken. By choosing photographs for newspapers and magazines, photographic editorial departments want to attract the recipients’ attention, evoke emotions and get them to read their stories. But what exactly is a good picture that meets these expectations? Which criteria are decisive for selecting pictures and what effects of this selection can be measured on the recipients’ side? This article presents the results of a research project carried out at the University of Erfurt in 2008 and conducted in collaboration with the German weekly magazine stern. It deals with the selection and impact of press photography by introducing the concept ‘photo news factors’. Applying the traditional news value theory to pictures, photo news factors are defined as selection criteria that, on the part of the communicator, decide whether the press photos are worth publishing. Furthermore, they are assumed to exert an influence on the intensity of attention that a picture arouses.
This article presents several acceptability rating experiments concerned with crossing wh-movement in German multiple questions. Our results show that there is no general superiority effect in German, thus refuting claims to the contrary by Featherston (2005). However, acceptability is reduced when a whphrase crosses a wh-subject with which it agrees in animacy. We explain this finding in terms of the availability of different sorting keys for the answers to the multiple questions.
The article provides an overview of the grammatical realization of focus in four West Chadic languages (Chadic, Afro-Asiatic). The languages discussed exhibit an intriguing crosslinguistic variation in the realization of focus, both among themselves as well as compared to European intonation languages. They also display language-internal variation in the formal realization of focus. The West Chadic languages differ widely in their ways of expressing focus, which range from syntactic over prosodic to morphological devices. In contrast to European intonation languages, the focus marking systems of the West Chadic languages are inconsistent in that focus is often not grammatically expressed, but these inconsistencies are shown to be systematic. Subject foci (contrastive or not) and contrastive nonsubject foci are always grammatically marked, whereas information focus on nonsubjects need not be marked as such. The absence of formal focus marking supports pragmatic theories of focus in terms of contextual resolution. The special status of focused subjects and contrastive foci is derived from the Contrastive Focus Hypothesis, which requires unexpected foci and unexpected focus contents to be marked as such, together with the assumption that canonical subjects in West Chadic receive a default interpretation as topics. Finally, I discuss certain focus ambiguities which are not attested in intonation languages, nor do they follow on standard accounts of focus marking, but which can be accounted for in terms of constraint interaction in the formal expression of focus.
This paper discusses a hitherto undescribed usage of the particle so as a dedicated focus marker in contemporary German. I discuss grammatical and pragmatic characteristics of this focus marker, supporting my account with natural linguistic data and with controlled experimental evidence showing that so has a significant influence on speakers’ understanding of what the focus expression in a sentence is. Against this background, I sketch a possible pragmaticalization path from referential usages of so via hedging to a semantically bleached focus marker, which, unlike particles such as auch ‘also’/‘too’ or nur ‘only’, does not contribute any additional meaning.
Editorial (Dr. Roswitha Lohwaßer) ; Kompetenzorientierung allein macht noch keinen guten Unterricht (Prof. Dr. Hilbert Meyer) ; 1. Erinnerungen an Lothar Klingberg ; 2. Stärken und Schwächen des kompetenzorientierten Unterrichts ; 3. Lothar Klingbergs “Prozesstheorie des Unterrichts” ; 4. Ein Theorierahmen für Unterrichtsqualität ; 5. Was wissen die empirischen Unterrichtsforscher über guten Unterricht? ; 6. Was ist eine gute Lehrerin/was ein guter Lehrer? ; 7. Was tun? ; Fazit
Inhalt: Editorial (Dr. Roswitha Lohwaßer) ; Inklusive Bildung - Was ist das und wie kommen wir dorthin (PD Dr. Karin Salzberg-Ludwig) ; Von der Sonderpädagogik zur Inklusionspädagogik. Ein Konzept für die Innovation der Potsdamer Lehrerbildung (Prof. Dr. Agi Schründer-Lenzen) ; Eine Universität für alle - Studium und Behinderung. Tutorenprojekt an der Universität Potsdam (Dr. Irma Bürger, Dipl.-Pol. Christoph Beier) ; "Probier´s doch mal mit Höflichkeit". Das multimediale Lernmedium (Christine Ludwig) ; Sensibilisieren statt Kritisieren. Arbeiten mit und an Sprache im Deutschunterricht (Katharina Mayr, Verena Mezger, Kerstin Paul) ; Zwischen Staatsexamen und Vorbereitungsdienst. Vertretungslehrerin an einer Förderschule (Caroline Marggraf) ; Umdenken an der Inselschule Töplitz (1). Ein Projekt zur inklusiven Schule (Petra Gutsche) ; Umdenken an der Inselschule Töplitz (2). Ein Erfahrungsbericht aus der Klasse 3/4 (Doreen Bannasch-Grigoleit) ; Niemand sollte draußen bleiben, jeder hat eine Chance. Sportunterricht in der Beruflichen Schule "Theodor Hoppe" (Roland Hemmerling)
Der Aufsatz umreißt die Wirkung von Averroes’ Bearbeitung der aristotelischen ‚Poetik‘ als argumentativer Disziplin. Beginnend mit Al-Farabi und Al-Gazali im zehnten Jahrhundert wird die ‚Poetik‘ den logischen Disziplinen des ‚Organon‘ zugerechnet. Während die Theorie eines ‚poetischen Syllogismus‘ nicht rezipiert worden ist, wurde der argumentative Status der Dichtung vom zwölften Jahrhundert an auch im lateinischen Westen bekannt. Mit unterschiedlichen Begründungen übernahmen Dominicus Gundissalinus, Vincenz von Beauvais, Albertus Magnus, Roger Bacon und Thomas von Aquin die Klassifizierung der Poetik als argumentative Disziplin. Am Ende des Aufsatzes steht ein Ausblick auf Coluccio Salutatis ‚De laboribus Herculis‘ und die humanistische Rezeption dieser Tradition.
Der Aufsatz zeigt, dass es sich bei der averroischen Bearbeitung der aristotelischen ‚Poetik‘ um eine in sich konsistente Theorie der Dichtung handelt, die allerdings mit der aristotelischen Konzeption der Dichtung nur wenig zu tun hat. Ausgehend von der Übersetzung von ‚Tragödie‘ und ‚Komödie‘ mit ‚Lob‘ und ‚Tadel‘ entwickelt Averroes einen Begriff von Dichtung als moralphilosophisches Argument zum Lob der Tugend und zum Tadel des Lasters. Im Mittelpunkt steht die Interpretation des aristotelischen Begriffs der mimesis als similitudo, das heißt als Gleichnis. Als gleichnishaftes Argument ist Dichtung nur graduell von anderen argumentativen Formen wie der demonstrativen Logik und der Rhetorik unterschieden.
Der vorliegende Text befasst sich heuristisch mit der Frage der Integration des Entfremdungsbegriffs der Kritischen Theorie in die Subjektwissenschaft, unter besonderer Berücksichtigung der subjektwissenschaftlichen Lerntheorie Klaus Holzkamps als Vertreter der Kritischen Psychologie. Ausgangspunkt ist die aus meiner Auseinandersetzung mit beiden Theorien entstandene Hypothese, dass (aus guten Gründen) der Begriff der Entfremdung in der Subjektwissenschaft gemieden, aber nicht durch ein anderes, kompatibles Konzept ersetzt wurde, dass die in der Entfremdung gefassten Dimensionen fassen könnte. Dies eröffnet auch die Frage, ob der Entfremdungsbegriff in einer Weise rekonstruiert werden kann, dass er für die Subjektwissenschaft anknüpffähig ist. Die Arbeit ist eine kategoriale und damit theoretisch-wissenschaftliche; sie betrifft aber in ihrem Bezug zu unserer Handlungsfähigkeit als gesellschaftliche Subjekte direkt Themen gesellschaftlicher (Selbst-)Organisation, in der Annahme, dass Theorie eine Bedeutung für die politische, pädagogische und andere Praxis hat und dass sie jene Erklärungsmuster bildet, mit denen wir für uns begründen, was warum passiert – und was deshalb getan werden muss. Wie Entfremdung in der bürgerlichen Gesellschaft funktioniert, in der Familie, in der Schule, auf der Arbeit, in Werbung und Fernsehen, das hat die Kritische Theorie in Anknüpfung an marxistische sozio-ökonomische Analysen umfassend analysiert. Den ersten Vertretern der Kritischen Theorie ging es bei der Ausarbeitung des Phänomens der Entfremdung um die Antwort auf die Frage, warum es weder in den 1920ern und Anfang der 30er Jahre noch nach dem NS-Faschismus eine Revolution gab. Beim Lesen vor allem der späten Texte von Adorno und Marcuse vermittelt sich eine relative Hoffnungslosigkeit; die kapitalistische Ideologie habe sich im Zuge der Vergesellschaftung so in den Köpfen zementiert, dass ein In-Frage-stellen des Status quo kaum möglich sei. Für eine emanzipatorische pädagogische oder politische Praxis sind diese Schlussfolgerungen enttäuschend, weil sie eine kritische Analyse der Gesellschaft liefert, dem Subjekt aber die Handlungsfähigkeit zur grundlegenden Veränderung seiner Lebensbedingungen weitgehend abspricht. Ein weiteres Problem liegt im Konzept der Entfremdung selbst, da von den Wissenschaftler_innen bestimmt wird, wer entfremdet ist und wer nicht. Die Menschen können (beispielsweise nach Marcuse) gerade aufgrund ihrer fortgeschrittenen Entfremdung dieser nicht mehr selbst gewahr werden. Die Kritische Psychologie im Gegensatz dazu setzt handlungsfähige Subjekte, die "nicht im Kapitalismus wie in einem Käfig" sitzen (Holzkamp 1984b). Dies begründet sich im subjektwissenschaftlichen Zugang der Erklärung menschlichen Handelns, das heißt der Einnahme des Subjektstandpunkts zur Erforschung desselben im Rahmen begründungstheoretischer Diskursmodelle.
During reading oculomotor processes guide the eyes over the text. The visual information recorded is accessed, evaluated and processed. Only by retrieving the meaning of a word from the long-term memory, as well as through the connection and storage of the information about each individual word, is it possible to access the semantic meaning of a sentence. Therefore memory, and here in particular working memory, plays a pivotal role in the basic processes of reading. The following dissertation investigates to what extent different demands on memory and memory capacity have an effect on eye movement behavior while reading. The frequently used paradigm of the reading span task, in which test subjects read and evaluate individual sentences, was used for the experimental review of the research questions. The results speak for the fact that working memory processes have a direct effect on various eye movement measurements. Thus a high working memory load, for example, reduced the perceptual span while reading. The lower the individual working memory capacity of the reader was, the stronger was the influence of the working memory load on the processing of the sentence.
Die vorliegende Arbeit betrachtet Partizipation aus einer interaktionalen Perspektive und nimmt zunächst eine interdisziplinär orientierte Begriffsbestimmung vor. Daran anschließend werden anhand einer Längsschnittstudie Entwicklungsbedingungen sozialer Partizipationskompetenzen im Vorschulalter untersucht und Förderempfehlungen abgeleitet. Partizipation (Teilhabe) soll in Kontexten wie Schule oder Arbeitswelt Entscheidungen demokratisch legitimieren, individuelle Ressourcen ausschöpfen und soziale Grundbedürfnisse des Menschen befriedigen. Ein engeres Verständnis von sozialer Partizipation aus einer interaktionalen Perspektive erfordert die Beteiligung an den Aktivitäten einer bereits bestehenden Gruppe und die Aushandlung eigener Interessen innerhalb dieser Gruppe und wird in der Arbeit als Prozess anhand dreier Phasen (Anbahnung, Projektierung und Realisierung) dargestellt. Im Vorschulalter werden wichtige Grundsteine für eine erfolgreiche soziale Entwicklung und für den Erwerb von sozialen Partizipationskompetenzen gelegt. In der vorliegenden Arbeit wurden deshalb die Zusammenhänge und Wechselwirkungen zwischen sozialen Partizipationskompetenzen (Bereitschaft und Fähigkeit) und (1) kognitiven Leistungsparametern (Intelligenz und Perspektivenübernahme), (2) dem Selbstkonzept und (3) dem Konfliktverhalten (Aggression und Schüchternheit) mit 5- bis 7jährigen Kindern mit Hilfe von Kreuzpfadanalysen untersucht. Zudem wurde die Situationsgebundenheit sozialer Partizipationskompetenzen und die Bedeutung struktureller Parameter der Familie und der Kindertageseinrichtung auf explorativer Ebene analysiert. Die Stichprobe bestand aus 334 Kindern (51,5 % weiblich, Altersdurchschnitt zum ersten Messzeitpunkt 5,4 Jahre) in 71 Kindergartengruppen in 21 Kindertageseinrichtungen in vier Bundesländern. Die längsschnittliche Datenanalyse basiert auf drei Messzeitpunkten. Die Ergebnisse zeigen, dass soziale Partizipationskompetenzen über verschiedene Situationen hinweg bedeutsame, aber nur mäßig ausgeprägte, Zusammenhänge aufweisen. Hohe Ausprägungen kognitiver Leistungsparameter gehen mit hohen Erziehereinschätzungen sozialer Partizipationskompetenzen einher. Über die Zusammenhänge hinaus zeigen sich im Längsschnitt bedeutsame Wechselwirkungen zwischen kognitiver Entwicklung und sozialen Partizipationskompetenzen im Vorschulalter. Selbsteinschätzungen zur eigenen Kompetenz hängen im Vorschulalter hingegen nur gering mit Erziehereinschätzungen der sozialen Partizipationskompetenz zusammen. Im Längsschnitt zeigt sich, dass junge Kinder bei der Beurteilung ihrer Kompetenzen zunächst auf soziale Partizipationserfolge zurückgreifen. Später hingegen scheint der Partizipationserfolg dann umgekehrt eher durch das Selbstbild bedingt zu sein. Geringe Partizipationskompetenzen gehen mit hohen Erziehereinschätzungen beim aggressiven (schwach signifikant) und schüchternen Verhalten (mäßig signifikant) einher. Hinsichtlich der Aggression und des schüchternen Verhaltens ergaben sich längsschnittlich betrachtet nur schwache Wechselwirkungen zur sozialen Partizipationskompetenz. Die Kumulation familiärer Belastungssituationen (z.B. Krankheit und akute Finanznot) stellen eine größere Bedrohung für die kindliche Entwicklung dar als der sozio-ökonomische Status der Familie. Mit Blick auf die Förderung sozialer Partizipationskompetenzen lassen sich die Ergebnisse mit einem sozial-konstruktivistischen Ansatz verbinden. Dessen Ziel ist es, intra- und interpersonelle Konflikte auszulösen, deren erfolgreiche Bewältigung produktive Lernprozesse auf kognitiver, emotionaler und behavioraler Ebene anstoßen.
After the collapse of the Soviet Union the former member states have started the transformation process. The transformation process from planned to market economy includes not only the adaptation of the economy to the new market rules but also the profound social and political transformation. For this reason such processes present huge challenges to affected societies. The transformational recession in Georgia was significantly enhanced by the civil war and by ethnic conflicts in Abkhazia and South Ossetia. During the ethnic conflicts and civil war the business and technical infrastructure were damaged and most of them were completely destroyed. Poverty and political instability were predominated. The trade relations with the member countries of Council of Mutual Economic Assistance (Comecon) were aborted. Moreover, the conflict in South Ossetia hampered the power supply from Russia and a conflict in Abkhazia, the production and trade with tea and citruses, which were major trade commodities at that time. In the beginning of 90-ies, Georgian government with the assistance of international organizations, such as International Monetary Fund and World Bank started to elaborate political and economical reforms. The reforms included several aspects, such as the transfer of public assets to private through privatization, the liberalization of domestic market and trade and the creation of market-oriented institutions. Because of lack in implementation neither economical nor political transformation has been achieved. For instance, by the begin of market oriented reforms the awareness of policy makers about the importance of entrepreneurship, in particular small and medium ones for the economy was low. The absence of previous experience prevented the elaboration of appropriate policy instruments and methods for the development of competitive market economy. The stimulation of private sector has been generally neglected. This had a severe affect on political, social and economical problems, which still hampers the development of middle class in Georgia. The presented research indicates that productive entrepreneurship is a driving force of an economy. The entrepreneurial activities on the one hand facilitate the resource allocation and on the other through the development of new products and services urge the competition. Furthermore, they contribute to technological improvements through innovation, create jobs and thus boost the economic and social development of a particular region or country. However, it is important that the legal and institutional framework is appropriately settled. Unlike mature market economies, Georgia is not characterized by well-developed sector of small and medium sized businesses. Most existing SMEs are operating in local markets and predominantly in the shadow economy. It is also noteworthy that small business in Georgia belongs to so called “mom and pop” rather than to innovative, growth oriented businesses. They are mostly engaged in trade and craft. In addition of poor performance, the business activity of SMEs is very centralized. The vast majority of them are operating in the capital Tbilisi. The poor performance of small and medium businesses in Georgia and their negligence by the market forces is among others due to the armed conflicts and state failure. As in the beginning of transformation process, down to the present day, the state fails to provide necessary conditions, such as rule of law, the protection of property rights and competition, transparent and uncorrupted public administration. The result is the weak middle class. The weak middle class by itself has a negative impact on economic development and democratization process in Georgia.
Paul Lindaus DER ANDERE
(2011)
In dieser Arbeit wird die Wirkungs- und Entstehungsgeschichte des Schauspiels „Der Andere“ (1893) von Paul Lindau (1819-1839) untersucht. Der Fokus richtet sich auf die vielfältigen intertextuellen und intermedialen Verknüpfungen des Stückes, die sich über einen Zeitraum von 40 Jahren erstrecken. „Der Andere“ inszeniert einen Fall von Bewusstseinsspaltung, in welchem der Protagonist, ein angesehener Berliner Staatsanwalt, unwissentlich ein nächtliches Doppelleben führt und infolgedessen einen Einbruch in sein eigenes Haus begeht. Hier wird insbesondere den Wechselbeziehungen von medizinischen und medialen Diskursen nachgegangen, da „Der Andere“ nicht nur von nervenmedizinischer Seite als psychiatrischer Fall aufgegriffen, sondern 1913 unter Beteiligung Lindaus als erster deutscher 'Autorenfilm' und 1930 als erster Tonfilm Robert Wienes produziert worden ist. Während filmhistorische Untersuchungen den Befund der errungenen 'Feuilletonfähigkeit' des Stummfilmes festhielten, blieb das Interesse an dem Theaterstück von Seiten der Literaturwissenschaft bislang gering. Ihm war der Status als Vorlage beschieden, die aufgrund ihrer gespaltenen Hauptfigur Verbindungen zu Robert Louis Stevensons „Strange Case of Dr Jekyll and Mr Hyde“ und Hippolyte Taines „De l'Intelligence“ herzustellen scheint, welche bis heute undifferenziert als zentrale Prätexte tradiert worden sind. Verfolgt man hingegen die Spur von weniger prominenten Prätexten, ergibt sich ein vollständigeres Bild. Es stellt sich heraus, dass Lindau eine wesentliche Anregung aus einer unter Pseudonym verfassten französischen Novelle bezog, die er selbst ins Deutsche übersetzte, und dass das Spaltungskonzept von „Der Andere“ diesem Prätext samt seiner Anlehnung an Hippolyte Taine folgt. Auch verweist die Novelle Jeanne Weills auf einen prominenten Fall des Mediziners Adrien Proust, dem Vater Marcel Prousts, der einen straffällig gewordenen Juristen hypnotisch behandelte. Die Diagnose alternierender Bewusstseinszustände führte in diesem Fall zur Annullierung des Schuldspruchs. Durch den Wechsel in das Medium Film konnten wiederum Verbindungen etabliert werden, die den Bezug auf diese Prätexte verlagerten, überschrieben und/oder aktualisierten. So zieht der Stummfilm als wissenschaftliche Rückversicherung allein die schon damals überholte Studie Taines heran, während die spätere Tonverfilmung das psychoanalytische Konzept Freuds als Erklärungsmuster anbietet. Die Untersuchung zeigt am Beispiel von „Der Andere“, dass mediale, literarische und psychologische Diskurse fest miteinander verwoben sind. Ideen und Konzepte zirkulieren zwischen ihnen, weshalb sich die Grenzen zwischen authentischen und fiktiven Fallgeschichten als durchlässig erweisen. Im Falle von „Der Andere“ setzten diese Austauschprozesse eine besonders hohe Produktivität frei.
Vergleich von Bettine von Arnims "Dies Buch gehört dem König" (1843) mit Sophie von La Roches "Erscheinungen am See Oneida" (1798) und Henriette Frölichs "Virginia oder Die Kolonie von Kentucky" (1820). Die Texte werden ausgehend von der Annahme untersucht, dass Macht ein asymmetrisches Verhältnis ist, das durch Konsens entsteht (Laclau und Mouffe), und auch Geschlechterverhältnisse als Machtverhältnisse verständlich werden, da Geschlecht keine natürliche Gegebenheit, sondern ein gesellschaftliches Konstrukt ist (Butler). Dementsprechend werden die Texte in einem Spannungsfeld von Anpassung und Subversion verstanden.
Das Ziel der Arbeit ist es, die Vielfalt unterschiedlicher Einsatzmöglichkeiten von Social Software in der Hochschullehre unter einer didaktischen Perspektive kritisch in den Blick zu nehmen. So wird entsprechenden Webanwendungen im mediendidaktischen Diskurs das Potenzial zugesprochen, Lern- und Bildungsprozesse zu unterstützen. Jenseits dieser Potenziale sind bisher jedoch kaum typische Probleme beachtet worden, die mit dem Einsatz von Social Software in der Hochschule einhergehen. Zur Annäherung an den Forschungsgegenstand werden im ersten Teil der Arbeit (lehr- und) lerntheoretische Potenziale von Social Software anhand von Literatur aufgearbeitet. Für die Entwicklung eines konzeptuellen Rahmens für eine vergleichende Darstellung unterschiedlicher Umsetzungen werden ferner verschiedene didaktische Beschreibungs- und Analysemodelle diskutiert. Im zweiten Teil der Arbeit wird eine systematische – jedoch vom Umfang her begrenzte und dementsprechend exemplarische – Sichtung und Analyse empirisch basierter Arbeiten zum Einsatz von Social Software in der Hochschullehre durchgeführt. Mit Hilfe eines modifizierten didaktischen Szenariomodells wird die Vielfalt unterschiedlicher Einsatzformen kategoriengeleitet dargestellt. Als zentrales Thema hinsichtlich typischer Probleme konnte das Ausbleiben studentischer Partizipation sowie der Umgang der Lehrenden mit dieser Problematik herausgearbeitet werden.
Der Tagungsband stellt das Werk Hans Tietgens' in den Mittelpunkt. Die Beiträge des Bandes dokumentieren weniger ein Tagungsgeschehen als vielmehr zeitgenössische Interpretationen und Anschlüsse an theoretischen Reflexionen Hans Tietgens', die auch heute noch eine große Relevanz besitzen. Auf diese Weise eröffnen die vorliegenden Beiträge einen aktuellen Zugang zu den Arbeiten des Erwachsenenbildners.
The past climate in central Asia, and especially on the Tibetan Plateau (TP), is of great importance for an understanding of global climate processes and for predicting the future climate. As a major influence on the climate in this region, the Asian Summer Monsoon (ASM) and its evolutionary history are of vital importance for accurate predictions. However, neither the evolutionary pattern of the summer monsoon nor the driving mechanisms behind it are yet clearly understood. For this research, I first synthesized previously published Late Glacial to Holocene climatic records from monsoonal central Asia in order to extract the general climate signals and the associated summer monsoon intensities. New climate and vegetation sequences were then established using improved quantitative methods, focusing on fossil pollen records recovered from Tibetan lakes and also incorporating new modern datasets. The pollen-vegetation and vegetation-climate relationships on the TP were also evaluated in order to achieve a better understanding of fossil pollen records. The synthesis of previously published moisture-related palaeoclimate records in monsoonal central Asia revealed generally different temporal patterns for the two monsoonal subsystems, i.e. the Indian Summer Monsoon (ISM) and East Asian Summer Monsoon (EASM). The ISM appears to have experienced maximum wet conditions during the early Holocene, while many records from the area affected by the EASM indicate relatively dry conditions at that time, particularly in north-central China where the maximum moisture levels occurred during the middle Holocene. A detailed consideration of possible driving factors affecting the summer monsoon, including summer solar insolation and sea surface temperatures, revealed that the ISM was primarily driven by variations in northern hemisphere solar insolation, and that the EASM may have been constrained by the ISM resulting in asynchronous patterns of evolution for these two subsystems. This hypothesis is further supported by modern monsoon indices estimated using the NCEP/NCAR Reanalysis data from the last 50 years, which indicate a significant negative correlation between the two summer monsoon subsystems. By analogy with the early Holocene, intensification of the ISM during coming decades could lead to increased aridification elsewhere as a result of the asynchronous nature of the monsoon subsystems, as can already be observed in the meteorological data from the last 15 years. A quantitative climate reconstruction using fossil pollen records was achieved through analysis of sediment core recovered from Lake Donggi Cona (in the north-eastern part of the TP) which has been dated back to the Last Glacial Maximum (LGM). A new data-set of modern pollen collected from large lakes in arid to semi-arid regions of central Asia is also presented herein. The concept of "pollen source area" was introduced to modern climate calibration based on pollen from large lakes, and was applied to the fossil pollen sequence from Lake Donggi Cona. Extremely dry conditions were found to have dominated the LGM, and a subsequent gradually increasing trend in moisture during the Late Glacial period was terminated by an abrupt reversion to a dry phase that lasted for about 1000 years and coincided with the first Heinrich Event of the northern Atlantic region. Subsequent periods corresponding to the warm Bølling-Allerød period and the Younger Dryas cold event were followed by moist conditions during the early Holocene, with annual precipitation of up to about 400 mm. A slightly drier trend after 9 cal ka BP was then followed by a second wet phase during the middle Holocene that lasted until 4.5 cal ka BP. Relatively steady conditions with only slight fluctuations then dominated the late Holocene, resulting in the present climatic conditions. In order to investigate the relationship between vegetation and climate, temporal variations in the possible driving factors for vegetation change on the northern TP were examined using a high resolution late Holocene pollen record from Lake Kusai. Moving-window Redundancy Analyses (RDAs) were used to evaluate the correlations between pollen assemblages and individual sedimentary proxies. These analyses have revealed frequent fluctuations in the relative abundances of alpine steppe and alpine desert components, and in particular a decrease in the total vegetation cover at around 1500 cal a BP. The climate was found to have had an important influence on vegetation changes when conditions were relatively wet and stable. However, after the 1500 cal a BP threshold in vegetation cover was crossed the vegetation appears to have been affected more by extreme events such as dust storms or fluvial erosion than by the general climatic trends. In addition, pollen spectra over the last 600 years have been revealed by Procrustes analysis to be significantly different from those recovered from older samples, which is attributed to an increased human impact that resulted in unprecedented changes to the composition of the vegetation. Theoretical models that have been developed and widely applied to the European area (i.e. the Extended R-Value (ERV) model and the Regional Estimates of Vegetation Abundance from Large Sites (REVEALS) model) have been applied to the high alpine TP ecosystems in order to investigate the pollen-vegetation relationships, as well as for quantitative reconstructions of vegetation abundance. The modern pollen–vegetation relationships for four common pollen species on the TP have been investigated using Poaceae as the reference taxa. The ERV Submodel 2 yielded relatively high PPEs for the steppe and desert taxa (Artemisia Chenopodiaceae), and low PPEs for the Cyperaceae that are characteristic of the alpine Kobresia meadows. The plant abundances on the central and north-eastern TP were quantified by applying these PPEs to four post-Late Glacial fossil pollen sequences. The reconstructed vegetation assemblages for the four pollen sequences always yielded smaller compositional species turnovers than suggested by the pollen spectra, indicating that the strength of the previously-reported vegetation changes may therefore have been overestimated. In summary, the key findings of this thesis are that (a) the two ASM subsystems show asynchronous patterns during both the Holocene and modern time periods, (b) fossil pollen records from large lakes reflect regional signals for which the pollen source areas need to be taken into account, (c) climate is not always the main driver for vegetation change, and (d) previously reported vegetation changes on the TP may have been overestimated because they ignored inter-species variations in pollen productivity.
Turning Aliens into Citizens
(2011)
Inhalt: Empirical results of the survey ; A cumulative index of citizenship ; Jammu and Kashmir: Contesting “Indian” citizenship ; Conclusion
Die Logik der Selektion
(2011)
Grenzen als Sortiermaschinen
(2011)
Renaissance des Bürgers
(2011)
Urbane Integration
(2011)
Afghanistan – Ein Menetekel
(2011)
Ganz oder gar nicht!
(2011)
Abzug, um zu bleiben
(2011)
Rückzug Fehlanzeige
(2011)
Einstieg in den Ausstieg?
(2011)
Was uns Algerien lehrt
(2011)
Der Afghanistan-Komplex
(2011)
Inhalt: Historische Herausbildung des Konfliktes ; Das Scheitern der Reformen Amanullah Khans ; Der Modus Vivendi Zahir Shahs ; Der Afghanistankrieg von 1979 bis 1989 ; Der Bürgerkrieg 1989 bis 2001 ; Einzug der Taliban ; Aktuelle Lage in Afghanistan ; Intervention der USA und Folgen ; Ungewisse Perspektiven
Deutsche Interessen
(2011)
Wiederkehr des Immergleichen
(2011)
Mehr Debatte wagen!
(2011)
Alte These – neuer Aufguss
(2011)
Warten auf Godot
(2011)
„It’s the Strategy, Stupid!“
(2011)
Inhalt: 1. Werte und Selbstverständnis behutsam erneuern Globalisierung Demografischer Wandel Klimawandel 2. Langfristig ökonomischen Wohlstand sichern Bildung Forschung und Entwicklung Außenwirtschaft 3. Plädoyer für eine neue außenpolitische Kultur : Deutsche Interessen – Ein Anachronismus? Status quo: Interessendefinition im Hinterzimmer Interessen klar definieren und erfolgreich durchsetzen Entscheidungsmatrix für Auslandseinsätze Evaluierung des Nutzens Evaluierung der Kosten Ableiten der Entscheidung Und die Moral? – Aber sicher! Der Tönissteiner Kreis
Die neuen Anforderungen an Schulleitungen im Zuge gesellschaftlicher, schulpolitischer und schulinterner Entwicklungen sind erheblich (Huber, 2008). Diese in der Literatur breit geteilte Einschätzung schlägt sich bislang nicht ausreichend in Forschungsaktivitäten zur Gesundheit schulischer Führungskräfte nieder – im Unterschied zu der ausgiebigen Forschung zur Lehrergesundheit, die für die Lehrer durchgängig eine kritische Gesundheitslage feststellt. Besondere Aufmerksamkeit erzielte dabei die Potsdamer Lehrerstudie (Schaarschmidt, 2004). Sie belegte unter anderem auch die Einflussmöglichkeiten der Schulleitung auf die Lehrergesundheit. Die vorliegende Arbeit verfolgt zwei Ziele: Erstens wird die aktuelle Schulleitungsforschung um empirische Daten zur gesundheitlichen Situation von n = 484 Schulleitungen aus Brandenburg und Baden-Württemberg ergänzt. Zweitens wird die Bedeutung der Schulleitung für die Lehrergesundheit näher untersucht, indem empirische Daten aus Führungsfeedbackverfahren mit n = 12 Schulleitungen und n = 332 Lehrern in Baden-Württemberg und Hessen herangezogen werden. Das diagnostische Verfahren AVEM (“Arbeitsbezogenes Verhaltens- und Erlebensmuster“, Schaarschmidt & Fischer, 1996/2003) dient als methodische Grundlage. Es erhebt Selbsteinschätzungen zum arbeitsbezogenen Verhalten und Erleben und weist auf mögliche Risiken im Sinne psychischer oder psychosomatischer Gefährdung hin. Das Instrument erfasst mit 66 Items 11 Dimensionen (z.B. Distanzierungsfähigkeit). Auf diese Weise ist es möglich, die befragte Person einem von vier arbeitsbezogenen Verhaltens- und Erlebensmustern zuzuordnen: Muster G (Gesundheitsideal), Muster S (Schonungstendenz gegenüber beruflichen Anforderungen), Risikomuster A (überhöhtes Engagement), Risikomuster B (Resignation). Zudem werden Fragen zu schulischer Führung eingesetzt, die sich aus vorhandenen Fragebögen speisen. Mit Hilfe einer exploratorischen Faktorenanalyse können sechs Faktoren identifiziert werden: Persönliche emotionale Wertschätzung und Fürsorge, optimistische Zukunftsorientierung, konstruktives Management des Schulbetriebs, Förderung von Weiterbildung und pädagogischem Diskurs, Präsenz/Ansprechbarkeit und Partizipationsorientierung. Zu der ersten Fragestellung zeigt sich für die befragten Schulleitungen im Mittel ein gesundheitlich recht positives Bild – gerade im Kontrast zu den befragten Lehrern. Für die befragten Schulleitungen wird eine signifikant günstigere AVEM-Musterkonstellation festgestellt: Der Anteil des Musters G ist bei den Schulleitungen deutlich höher, der Anteil des Musters B deutlich niedriger und der Anteil des Musters A in etwa gleich groß. Die AVEM-Ergebnisse schlagen sich bei den befragten Schulleitungen in unmittelbaren Gesundheitsindikatoren nieder. Für bestimmte Untergruppen herrscht allerdings ein gesundheitlich vergleichsweise kritisches Bild vor, nämlich tendenziell für Schulleitungen in Brandenburg, für weibliche Schulleitungen und Schulleitungen an Grund- und Förderschulen. Eine hohe Unterrichtsverpflichtung ist mit einem größeren Anteil an Risikomustern verbunden. Ein hohes Maß an erlebter Autonomie – insbesondere im sozial-interaktiven Bereich mit den Lehrern (d.h. bei Auswahl, Einstellung und Beurteilung von Lehrern sowie bei der innerschulischen Arbeitsorganisation und kollegialen Zusammenarbeit) – geht dagegen mit jeweils günstigeren AVEM-Musterkonstellationen einher. Zur Beantwortung der zweiten Fragestellung wird eine methodisch anspruchsvolle Mehrebenenanalyse durchgeführt, die die hierarchische Anordnung der Daten angemessen behandelt. Für die wahrgenommene soziale Unterstützung durch die Schulleitung wird dabei eine negative Beziehung zur subjektiven Bedeutsamkeit der Arbeit und der Verausgabungsbereitschaft der befragten Lehrer gefunden. Hingegen ergibt sich ein positiver Zusammenhang zwischen der erlebten Förderung von Weiterbildung und pädagogischem Diskurs und dem Erfolgserleben der befragten Lehrer. Ebenso hängt die wahrgenommene Führung durch die Schulleitung in ihrer Gesamtheit in positiver Weise mit der Lebenszufriedenheit der befragten Lehrer zusammen. Es sei betont, dass ausschließlich Effekte nachgewiesen werden, die auf die individuelle Ebene der Lehrer zurückgehen, d.h. es scheint – was den Zusammenhang zwischen erlebter Führung und Lehrergesundheit angeht – auf die subjektive Wahrnehmung des Führungsverhaltens der Schulleitung durch den/die jeweilige(n) Lehrer/in anzukommen. Eine erste theoretische Skizze zu wesentlichen Determinanten von Schulleitungsgesundheit wird vorgeschlagen. Empfehlungen für die Schulleitungspraxis umfassen die Reduzierung der Unterrichtsverpflichtung, die Erweiterung von Autonomie im sozial-interaktiven Bereich mit den Lehrern und die systematische Etablierung von Mitarbeitergesprächen zur Ausgestaltung individueller Führungsbeziehungen zwischen Schulleitungen und Lehrern.
Cognitive psychology is traditionally interested in the interaction of perception, cognition, and behavioral control. Investigating eye movements in reading constitutes a field of research in which the processes and interactions of these subsystems can be studied in a well-defined environment. Thereby, the following questions are pursued: How much information is visually perceived during a fixation, how is processing achieved and temporally coordinated from visual letter encoding to final sentence comprehension, and how do such processes reflect on behavior such as the control of the eyes’ movements during reading. Various theoretical models have been proposed to account for the specific eye-movement behavior in reading (for a review see Reichle, Rayner, & Pollatsek, 2003). Some models are based on the idea of shifting attention serially from one word to the next within the sentence whereas others propose distributed attention allocating processing resources to more than one word at a time. As attention is assumed to drive word recognition processes one major difference between these models is that word processing must either occur in strict serial order, or that word processing is achieved in parallel. In spite of this crucial difference in the time course of word processing, both model classes perform well on explaining many of the benchmark effects in reading. In fact, there seems to be not much empirical evidence that challenges the models to a point at which their basic assumptions could be falsified. One issue often perceived as being decisive in the debate on serial and parallel word processing is how not-yet-fixated words to the right of fixation affect eye movements. Specifically, evidence is discussed as to what spatial extent such parafoveal words are previewed and how this influences current and subsequent word processing. Four experiments investigated parafoveal processing close to the spatial limits of the perceptual span. The present work aims to go beyond mere existence proofs of previewing words at such spatial distances. Introducing a manipulation that dissociates the sources of long-range preview effects, benefits and costs of parafoveal processing can be investigated in a single analysis and the differing impact is tracked across a three-word target region. In addition, the same manipulation evaluates the role of oculomotor error as the cause of non-local distributed effects. In this respect, the results contribute to a better understanding of the time course of word processing inside the perceptual span and attention allocation during reading.