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forum:logopädie 33.2019, 1
(2019)
forum:logopädie 33.2019, 2
(2019)
forum:logopädie 33.2019, 3
(2019)
forum:logopädie 33.2019, 4
(2019)
forum:logopädie 33.2019, 5
(2019)
forum:logopädie 33.2019, 6
(2019)
O caso Jauss
(2019)
Gesundheitsbildung
(2019)
Staatsrecht I
(2019)
Das Staatsrecht zählt sowohl in der Praxis als auch in der juristischen Prüfung zu den zentralen Rechtsgebieten. Das Staatsorganisationsrecht bestimmt Aufbau und Verfahren der Staatsorgane und beeinflusst durch den Vorrang der Verfassung die gesamte Rechtsordnung.
Der Band behandelt anschaulich, umfassend und systematisch geordnet den gesamten Pflichtwahlstoff. In Form von Fällen und Fragen wird dabei unter Berücksichtigung der Rechtsprechung des Bundesverfassungsgerichts besonderer Wert auf die staatstheoretischen Grundlagen und die europarechtlichen Bezüge dieses Rechtsgebiets gelegt.
Vorteile auf einen Blick
- ausführliche Behandlung in Frageund-Antwort-Fällen
- systematische und umfassende Darstellung aktuell auf neuestem Rechtsstand.
Zur Neuauflage
Für die 4. Auflage wurde das Werk in zwei Bände aufgeteilt. Band I enthält eine ausführliche Darstellung des Staatsorganisationsrechts. Berücksichtigt wurde dabei die umfangreiche neue Rechtsprechung des BVerfG zu diesem Rechtsbereich. Enthalten sind außerdem die aktuellen Einflüsse des europäischen Rechts und der Rechtsprechung des EGMR auf das deutsche Staatsrecht.
Zielgruppe
Für Studierende der Anfangs- und Fortgeschrittenensemester sowie zur Vorbereitung auf die Erste Juristische Staatsprüfung.
The Book of Radiance
(2019)
Tewje in Deutschland
(2019)
Drawing on the example of Sholem Aleichem’s Tevye the Dairyman, this article covers the history of Yiddish translation and publication in Germany in the 20th century.Following the paradigm of translation as a cultural practice, I demonstrate how the translation reflects aspects of Jewish-German cultural history, focussing on a mainly inner-Jewish identity discourse before the Shoah and a remembrance context after it. Whereas decisive differences and changes characterize 20th-century history in diachronic as well as synchronic respect, the article reflects also on continuities and parallels.
The Ram Bible (Tanakh Ram) is a recently-published Bible edition printed in two columns: the right-hand column features the original biblical Hebrew text and the lefthand column features the translation of the Bible into a high-register literary Israeli (Reclaimed Hebrew). The Ram Bible edition has gained impressive academic and popular attention. This paper looks at differences between academics, teachers, students, media personalities and senior officials in the education system, regarding their attitude to the Ram Bible. Our study reveals that Bible teachers and students who make frequent use of this edition understand its contribution to comprehending the biblical language, stories, and ideas. Opponents of Ram Bible are typically administrators and theoretician scholars who advocate the importance of teaching the Bible but do not actually teach it themselves. We argue that the fundamental difference between biblical Hebrew and Israeli makes the Hebrew Bible incomprehensible to native Israeli speakers. We explain the advantages of employing tools such as the Ram Bible.
Scholars of modern Jewish thought explore the hermeneutics of “translation” to describe the transference of concepts between discourses. I suggest a more radical approach – translation as transvaluation – is required. Eschewing modern tests of truth such as “the author would have accepted it” and “the author should have accepted it,” this radical form of translation is intentionally unfaithful to original meanings. However, it is not a reductionist reading or a liberating text. Instead, it is a persistent squabble depending on both source and translation for sustenance. Exploring this paradigm entails a review of three expositions of the Korah biblical narrative; three readings dedicated to keeping an eye on current events: (1) Tsene-rene (Prague, 1622), biblical prose; (2) Yaldei Yisrael Kodesh, (Tel Aviv, 1973), a secular Zionist reworking of Tsene-rene; and (3) The Jews are Coming (Israel, 2014–2017) a satirical television show.
Tewje in Deutschland
(2019)
Drawing on the example of Sholem Aleichem’s Tevye the Dairyman, this article covers the history of Yiddish translation and publication in Germany in the 20th century.Following the paradigm of translation as a cultural practice, I demonstrate how the translation reflects aspects of Jewish-German cultural history, focussing on a mainly inner-Jewish identity discourse before the Shoah and a remembrance context after it. Whereas decisive differences and changes characterize 20th-century history in diachronic as well as synchronic respect, the article reflects also on continuities and parallels.
This article explores an instructive case of translation critique against the background of the rise of Zionism in Europe at the turn of the previous century. It seeks to answer the question: Why did David Frishman, one of the most prolific Hebrew writers and translators of the late 1890s and early 1900s, criticize Vladimir Jabotinsky’s Russian translation of Hayim Nahman Bialik’s Hebrew poems? Both Bialik and Jabotinsky were major figures in the field of Hebrew culture and Zionist politics in the early 1900s, while Frishman generally shunned partisan activism and consistently presented himself as devoted solely to literature. Frishman perceived literature, nevertheless, as a political arena, viewing translation, in particular, as a locus of ideological debate. Writing from the viewpoint of a political minority at a time in which the Hebrew translation industry in Europe gained momentum, Frishman deemed translation a tool for cementing cultural hierarchies. He anticipated later analyses of the act and products of translation as reflective of intercultural tensions. The article suggests, more specifically, that it was Frishman’s view of the Hebrew Bible that informed his “avant-garde” stance on translation.
In a previously published article in HIN under the title of “Eduard Dorsch and his unpublished poem on the occasion of Humboldt’s 100th birthday,” I elaborated on Dorsch’s poem that was read in Detroit in front of a German-American audience on Sept. 14, 1869, a day widely celebrated in the US in honor of Humboldt. Although it was not surprising that Dorsch wrote the occasional poem in the first place given his affinities with Humboldt’s world of thought, a discovery of a second occasional poem upon further research in Dorsch’s voluminous papers was indeed unexpected, in this case read on the same date in Monroe, Michigan. Although there are a number of similarities between the Detroit and Monroe versions, there are enough differences that warrant this addendum to my original article.
Alexander von Humboldts und Aimé Bonplands Pflanzen im Herbarium der Universität Halle-Wittenberg
(2019)
Die Pflanzensammlung (Herbarium) der Universität Halle-Wittenberg enthält eine beträchtliche Anzahl von Pflanzenexemplaren, die von Alexander von Humboldt und Aimé Bonpland während ihrer amerikanischen Reise (1799–1804) gesammelt wurden. Wir erläutern die wissenschaftliche Bedeutung der Herbarbelege und wie sie ihren Weg nach Halle fanden.
Der erste Band von Humboldts Kosmos regte den preußischen Offizier und Dichter Bernhard von Lepel zu der Ode An Humboldt (1847) an. Der Dichter sandte Humboldt eine handschriftliche Kopie seines Werkes zu dessen 78. Geburtstag. Humboldt reagierte auf dieses Geschenk mit einer Einladung Lepels, den das persönliche Treffen mit dem berühmten Gelehrten ehrte aber auch enttäuschte, denn Humboldt ging nur oberflächlich auf die Ode ein, stattdessen las er seinem Gast aus dem zweiten Band des Kosmos vor. Allerdings erhielt Lepel Empfehlungsbriefe für Ludwig Tieck. Die Begegnung des Dichters mit Humboldt hat ihren Niederschlag vor allem in der Korrespondenz zwischen Bernhard von Lepel und seinem engen Freund Theodor Fontane gefunden.
Los estudios del viaje se centran en las experiencias, publicaciones y aportes científicos de Humboldt. El artículo estudia la situación política española en 1799, la posición y el influjo del poderoso ministro Urquijo, cuya caída y sus eventuales consecuencias en territorios americanos, son mencionados en forma pasajera y preocupada por Humboldt. Se transcribe el inusual registro de Humboldt como pasajero de la corbeta Castor, con detalles, algunos tergiversados, sobre el influjo de Georg Forster en su formación, su continuado empleo prusiano, su avance hacia territorio portugués y las dudas por la velocidad del viaje. Estos datos, junto con algunas críticas en Quito, contemporáneas y posteriores, así como problemas de al menos dos de sus interlocutores con la Inquisición limeña, ofrecen una “mirada americana”, ciertamente parcial, a Humboldt y explican, posiblemente, los pocos datos y la percepción negativa de su estadía en Lima.
In der kubanischen Hauptstadt Havanna eröffnet am 19. Dezember 2019 eine Dauerausstellung zu Alexander von Humboldt. Die Casa Museo Humboldt an einem historischen Ort der Altstadt wird damit zum weltweit ersten Alexander von Humboldt-Museum. In kubanischer-deutscher Kooperation erarbeitet, zeigt die Ausstellung Humboldt auf zwei Ebenen: im Kontext seiner Naturerforschung und dem seiner Begegnungen auf der fünfjährigen Amerikareise. Die Ausstellung richtet sich an kubanische wie internationale Besucher. Sie wirft einen hintergründigen und aktuellen Blick auf Humboldt in Amerika und versteht sich als Partner und Forum für Wissenschaft, Bildung und Kultur in Kuba.
The importance of cryptic diversity in rotifers is well understood regarding its ecological consequences, but there remains an in depth comprehension of the underlying molecular mechanisms and forces driving speciation. Temperature has been found several times to affect species spatio-temporal distribution and organisms’ performance, but we lack information on the mechanisms that provide thermal tolerance to rotifers. High cryptic diversity was found recently in the freshwater rotifer “Brachionus calyciflorus”, showing that the complex comprises at least four species: B. calyciflorus sensu stricto (s.s.), B. fernandoi, B. dorcas, and B. elevatus. The temporal succession among species which have been observed in sympatry led to the idea that temperature might play a crucial role in species differentiation.
The central aim of this study was to unravel differences in thermal tolerance between species of the former B. calyciflorus species complex by comparing phenotypic and gene expression responses. More specifically, I used the critical maximum temperature as a proxy for inter-species differences in heat-tolerance; this was modeled as a bi-dimensional phenotypic trait taking into consideration the intention and the duration of heat stress. Significant differences on heat-tolerance between species were detected, with B. calyciflorus s.s. being able to tolerate higher temperatures than B. fernandoi.
Based on evidence of within species neutral genetic variation, I further examined adaptive genetic variability within two different mtDNA lineages of the heat tolerant B. calyciflorus s.s. to identify SNPs and genes under selection that might reflect their adaptive history. These analyses did not reveal adaptive genetic variation related to heat, however, they show putatively adaptive genetic variation which may reflect local adaptation. Functional enrichment of putatively positively selected genes revealed signals of adaptation in genes related to “lipid metabolism”, “xenobiotics biodegradation and metabolism” and “sensory system”, comprising candidate genes which can be utilized in studies on local adaptation. An absence of genetically-based differences in thermal adaptation between the two mtDNA lineages, together with our knowledge that B. calyciflorus s.s. can withstand a broad range of temperatures, led to the idea to further investigate shared transcriptomic responses to long-term exposure to high and low temperatures regimes. With this, I identified candidate genes that are involved in the response to temperature imposed stress. Lastly, I used comparative transcriptomics to examine responses to imposed heat-stress in heat-tolerant and heat-sensitive Brachionus species. I found considerably different patterns of gene expression in the two species. Most striking are patterns of expression regarding the heat shock proteins (hsps) between the two species. In the heat-tolerant, B. calyciflorus s.s., significant up-regulation of hsps at low temperatures was indicative of a stress response at the cooler end of the temperature regimes tested here. In contrast, in the heat-sensitive B. fernandoi, hsps generally exhibited up-regulation of these genes along with rising temperatures. Overall, identification of differences in expression of genes suggests suppression of protein biosynthesis to be a mechanism to increase thermal tolerance. Observed patterns in population growth are correlated with the hsp gene expression differences, indicating that this physiological stress response is indeed related to phenotypic life history performance.
Evidence-based prescriptions for balance training in youth have recently been established. However, there is currently no standardized means available to assess and quantify balance task difficulty (BTD). Therefore, the objectives of this study were to examine the effects of graded BTD on postural sway, lower limb muscle activity and coactivation in adolescents. Thirteen healthy high-school students aged 16 to 17 volunteered to participate in this cross-sectional study. Testing involved participants to stand on a commercially available balance board with an adjustable pivot that allowed six levels of increasing task difficulty. Postural sway [i.e., total center of pressure (CoP) displacements] and lower limb muscle activity were recorded simultaneously during each trial. Surface electromyography (EMG) was applied in muscles encompassing the ankle (m. tibialis anterior, medial gastrocnemius, peroneus longus) and knee joint (m. vastus medialis, biceps femoris). The coactivation index (CAI) was calculated for ankle and thigh muscles. Repeated measures analyses of variance revealed a significant main effect of BTD with increasing task difficulty for postural sway (p < 0.001; d = 6.36), muscle activity (p < 0.001; 2.19 < d < 4.88), and CAI (p < 0.001; 1.32 < d < 1.41). Multiple regression analyses showed that m. tibialis anterior activity best explained overall CoP displacements with 32.5% explained variance (p < 0.001). The observed increases in postural sway, lower limb muscle activity, and coactivation indicate increasing postural demands while standing on the balance board. Thus, the examined board can be implemented in balance training to progressively increase BTD in healthy adolescents.
Stimmstörungen bei Kindern
(2019)
Stimmstörungen
(2019)
A growing demand for natural resources embedded in current changes of the international order will put pressure on states to secure the future availability of these resources. Some political discourses suggest that states might respond by challenging the foundations of international law. Whereas the UN Charter was inter alia aimed at eliminating uses of force for economic reasons, one may observe an on-going trend of securitization of matters of resource supply resulting into the revival of self-preservation doctrines. The chapter will show that those claims lack a normative foundation in the current framework of the prohibition of the use of force. Moreover, international law has sufficient instruments to cope with disputes over access to resources by other means than the use of force. The international community, therefore, must oppose claims that may contribute to normative uncertainties and strengthen already existing instruments of pacific settlement of disputes.
This paper assesses the rise and decline of international rule of law in the case of non-state armed actors. Both signs of rise and signs of decline of international rule of law show in the case of non- state armed actors. Signs of rise include the expansion of coverage of international humanitarian law (IHL) and international criminal law, as well as international legal argumentation and rhetoric made by non-state armed groups. Some non-state armed actors express that they are governed by IHL in public statements or bilateral agreements with international actors, partly acknowledging universality of international humanitarian norms, and sometimes act as such. Signs of decline in the international rule of law also show – although some of them can be seen as business-as-usual – privileging of military advantage, instrumental use of international law (as justification and local interpretations), as well as conflicting understanding of IHL between local and global norms. The multiplicity of non-state actors also portends the decline of international rule of law, with the proliferation of many non-organized groups without legitimacy-seeking motivations.
Modern rule of law and post-war constitutionalism are both anchored in rights-based limitations on state authority. Rule-of-law norms and principles, at both domestic and international levels, are designed to protect the freedom and dignity of the person. Given this “thick” conception of the rule of law, authoritarian practices that remove constraints on domestic political leaders and weaken mechanisms for holding them accountable necessarily erode both domestic and international rule of law. Drawing on political science research on authoritarian politics, this study identifies three core elements of authoritarian political strategies: subordination of the judiciary, suppression of independent news media and freedom of expression, and restrictions on the ability of civil society groups to organize and participate in public life. According to available data, each of these three practices has become increasingly common in recent years. This study offers a composite measure of the core authoritarian practices and uses it to identify the countries that have shown the most marked increases in authoritarianism. The spread and deepening of these authoritarian practices in diverse regimes around the world diminishes international rule of law. The conclusion argues that resurgent authoritarianism degrades international rule of law even if this is defined as the specifically post-Cold War international legal order.
How to identify customary international law is an important question of international law. The International Law Commission has in 2018 adopted a set of sixteen conclusions, together with commentaries, on this topic. The paper consists of three parts: First, the reasons are discussed why the Commission came to work on the topic “Identification of customary international law”. Then, some of its conclusions are highlighted. Finally, the outcome of the work of the Commission is placed in a general context, before concluding.
This article explores, whether domestic judges might be held accountable under international criminal law (ICL). To date, international criminal justice has almost entirely focused on prosecuting political or military leaders. The Justice Case tried before the Nuremberg Military Tribunal in 1946 marks the most prominent exception. Prior to it, the judiciary – otherwise considered the epitome of justice – had mutated into a murderous machinery under Nazi rule. Judicial decisions do have far-reaching implications possibly constituting or contributing to international crimes. This holds true in a wide range of cases, for instance on practices of warfare and torture, on the use of certain weapon technologies, or on policies relating to minorities or racial segregation. I argue that domestic judges are accountable when engaging in international crimes. The article delves into technical aspects of criminal law; as well as the notions of judicial independence and immunity. While guaranteeing the rule of law, these two notions challenge the core idea of ICL: its equal application vis-à-vis all perpetrators of international crimes irrespective of official capacity. In order to differentiate due judicial conduct and its abuse in violation of ICL, I suggest a threshold a judicial act needs to exceed for entailing accountability for an international crime.
International courts regularly cite each other, in part as a means of building legitimacy. Such international, cross-court use of precedent (or “judicial dialogue”) among the regional human rights courts and the Human Rights Committee has an additional purpose and effect: the construction of a rights-based global constitutionalism. Judicial dialogue among the human rights courts is purposeful in that the courts see themselves as embedded in, and contributing to, a global human rights legal system. Cross-citation among the human rights courts advances the construction of rights-based global constitutionalism in that it provides a basic degree of coordination among the regional courts. The jurisprudence of the U.N. Human Rights Committee (HRC), as an authoritative interpreter of core international human rights norms, plays the role of a central focal point for the decentralized coordination of jurisprudence. The network of regional courts and the HRC is building an emergent institutional structure for global rights-based constitutionalism.
This paper – which is based on the Thomas Franck Lecture held by the author at Humboldt University Berlin on 13 May 2019 – argues that the most likely development of international to be expected will be the coexistence of two “legal worlds”. On the one hand, an inter-State law brutally regulating political relations between human groups whitewashed by nationalism; on the other hand, a transnational or “a-national” law regulating economic relations between private as well as public interests. Further, the paper argues that there are two obvious victims – of very different nature – of this foreseeable evolution: the human being on the one hand, the certainty and effectiveness of the rule of law itself on the other hand.
Once the “popular plaything of Realpolitiker” the doctrine of rebus sic stantibus post the 1969 VCLT is often described as an objective rule by which, on grounds of equity and justice, a fundamental change of circumstances may be invoked as a ground for termination. Yet recent practice from States such as Ecuador, Russia, Denmark and the United Kingdom suggests that it is returning with a new livery. They point to an understanding based on vital States’ interests––a view popular among scholars such as Erich Kaufmann at the beginning of the last century.
This paper focuses on one particular issue which has arisen in the course of the ongoing debate on the reform of investor-State dispute settlement (ISDS), namely that of the appointment of arbitrators. Taking as its starting point that there now exists tentative consensus that the present system for the appointment of arbitrators either causes or exacerbates certain problematic aspects of the current ISDS system, the paper explores one option for reform, namely the introduction of an independent panel for the selection of investment arbitrators. In doing so, it is argued that a shift in the normative basis of the rules governing appointments is required in order to accommodate the principles of party autonomy and the international rule of law. Such reform, while not completely removing the initiative that parties presently enjoy, is the most efficient way to introduce rule of law considerations such as a measure of judicial independence into the current appointments system. This, it is argued, would in turn help to address some of the problematic features of the appointment of arbitrators in ISDS.
The Italian Army’s participation in Hitler’s war against the Soviet Union has remained unrecognized and understudied. Bastian Matteo Scianna offers a wide-ranging, in-depth corrective. Mining Italian, German and Russian sources, he examines the history of the Italian campaign in the East between 1941 and 1943, as well as how the campaign was remembered and memorialized in the domestic and international arena during the Cold War. Linking operational military history with memory studies, this book revises our understanding of the Italian Army in the Second World War.
“Mason without apron”
(2019)
While the lack of religion in Alexander von Humboldt’s work and the criticism he received is well known, his relationship with Freemasonry is relatively unexplored. Humboldt appears on some lists of “illustrious Masons,” and several lodges carry his name, but was he really a member? If so, when and where did he join a lodge? Are there any comments by him about Freemasonry? Who were the renowned Masons he was surrounded by? This paper examines these questions, but more importantly it analyzes what a membership might have meant for Humboldt’s scholarly work. It looks particularly at the unprecedented success he enjoyed in the United States in the early 19th century and the factors behind it. What could he have gained from these connections and how was he viewed by Masonic leaders and lodges in the trans-Atlantic world?
Address on the opening of the Alexander von Humboldt Season
in Quito, Ecuador, on 13 February 2019
(2019)
Der zweite Entdecker Kubas
(2019)
Este artículo estudia el papel de Alexander von Humboldt como promotor de una representación iconográfica del Nuevo Mundo. El objetivo de Humboldt era proporcionar una nueva imagen de América, basada en hechos reales, encontrados in situ, y no en la fantasía europea. Esta representación se sitúa entre su estricta visión científica, y su combinación con su elaborada sensibilidad artística, y, por lo tanto, utiliza tanto elementos textuales como visuales para transportar el conocimiento producido. En este trabajo se analizan las fuentes que inspiraron a Humboldt para desarrollar lo que hoy entendemos por «arte científico» así como los criterios que deberían aplicarse a este género. Partiendo de la importancia que tuvo la pintura de viaje para su gran proyecto americano, interesa de particular manera su interacción con los inicios del nuevo medio de la fotografía y las ventajas que él vio en este importante avance tecnológico.
Während seines Romaufenthaltes 1805 befasste Humboldt sich mit antiken Marmorarten und legte dazu eine Sammlung an. Zusammen mit einem unveröffentlichten Manuskript Humboldts sind Teile dieser Sammlung, Originaletiketten sowie die damalige Bestandsliste im Museum für Naturkunde Berlin erhalten. Dieses Marmor-Ensemble wird im vorliegenden Beitrag im Kontext von Reise- und Sammeltraditionen, von wissenschaftsgeschichtlichen Klassifizierungen antiker Marmore sowie in Humboldts Werkzusammenhang vorgestellt.
Hat Alexander von Humboldt vor den dramatischen Folgen des vom Menschen verursachten Klimawandels gewarnt? Ausgehend von dieser Frage befasst sich der Beitrag mit seinen Klimastudien und zeigt dabei, welch enorme Wirkung diese für viele Länder der Welt hatten. Zahlreiche Aufforstungsmaßnahmen wurden im 19. Jahrhundert durch Humboldts Studien angeregt. Humboldt hat zudem – wohl als erster – die klimaverändernde Wirkung von „großen Dampf- und Gasmassen an den Mittelpunkten der Industrie“ erkannt und außerdem im 3. Band des Kosmos auch den Treibhauseffekt beschrieben. Die Bedrohungen des stetig zunehmenden anthropogenen Klimawandels jedoch konnte er nicht ahnen. Seine und auch die Erkenntnisse der anderen Klimaforscher des 19. Jhds. gerieten Anfang des 20. Jhds. in Vergessenheit. Der gerissene Rezeptionsfaden wurde erst mit der Umweltbewegung in den 1970er Jahren wieder aufgenommen und Alexander von Humboldt als Klimaforscher und „erster Ökologe“ neu bewertet.
Die 2011 von Sebastian Panwitz und Ingo Schwarz herausgegebene Korrespondenz Alexander von Humboldts mit den Mendelssohns dokumentiert ihre lebenslange Verbundenheit. Ein Brief von Humboldt an Henriette Mendelssohn, den die Mendelssohn-Gesellschaft von einem privaten Sammler erwarb, und der erst seit diesem Jahr in der Mendelssohn-Remise in Berlin-Mitte, in der Dauerausstellung Die Mendelssohns in der Jägerstraße zu sehen ist, war zum Zeitpunkt der Veröffentlichung noch nicht zugänglich. Dieser Brief lässt das gesellschaftliche und künstlerische Leben der Stadt um 1850 sichtbar werden und enthält einige Rätsel: Was hat es mit dem unkommentierten Zettel auf sich, auf dem ein nicht korrekt wiedergegebener Buchtitel der amerikanischen Autorin Harriet Beecher Stowe geschrieben steht und welches „Wunderbild“ erwähnt der weltberühmte Forschungsreisende in dem Brief an Henriette Mendelssohn?
Zionistische Debatten im Kontext des Ersten Weltkriegs am Beispiel der Herzl-Bund-Blätter 1914–1918
(2019)
Die Bedeutung des Ersten Weltkriegs als zentraler Kontext für die Aushandlung, Anpassung und Verwerfung unterschiedlicher Konzepte jüdischer Identität im Deutschen Kaiserreich, aber auch über dessen Grenzen hinaus, wurde in der jüngsten Forschung in verschiedenen Aspekten erörtert. Die Kriegserfahrung gab insbesondere nationaljüdischen bzw. zionistischen Gruppierungen wichtige Denkanstöße und beförderte die Konkretisierung ihrer Handlungsstrategien für den Aufbau eines jüdischen Nationalwesens in Palästina. Die vorliegende Studie möchte den Fokus historisch-soziologischer Forschung auf der akademischen zionistischen Jugendbewegung erweitern, indem sie eine zionistische Jugendorganisation in den Mittelpunkt rückt, die in wissenschaftlichen Betrachtungen bisher kaum Beachtung fand: den 1912 in Halberstadt gegründeten Herzl-Bund, einen Zusammenschluss junger zionistisch gesinnter Kaufleute. Die Autorin unternimmt eine Auseinandersetzung mit dem publizistischen Schaffen seiner Mitglieder im Kontext des Ersten Weltkriegs, anhand derer es nachzuvollziehen gilt, wie die „großen Themen“, die die Arbeit und Debatten der zionistischen Bewegung im Deutschen Kaiserreich zu dieser Zeit bestimmten, auf der Ebene des Herzl-Bundes und der in ihm vereinigten Herzl-Clubs verhandelt wurden. Hierbei wird unter Rückgriff auf die interne Informationsschrift, die Herzl-Bund-Blätter, untersucht, welche inhaltlichen Aspekte Eingang in die Debatten der zionistischen Jugend gefunden haben. Im Mittelpunkt steht die Besprechung dreier Themenkomplexe: 1) deutsch-jüdischer Nationalismus versus jüdische Nationalbewegung, 2) Antisemitismus und 3) die Begegnung mit osteuropäischen Jüdinnen und Juden. Ziel ist es, diskursive Selbstverständigungsprozesse entlang dieser Themen offenzulegen, die auch der Beantwortung der Frage dienen, ob die Erfahrungen des Ersten Weltkriegs als Schablonen zur Neubewertung des Selbstverständnisses und der eigenen Arbeit des Herzl-Bundes verstanden werden können.
Splits and Birds
(2019)
Accusative Unaccusatives
(2019)
On uninterpretable features
(2019)
Verum focus and negation
(2019)
On doubling unconditionals
(2019)
Leben mit Paradoxien
(2019)
Bienenfresserortungsversuch
(2019)
Topologische Datenanalyse
(2019)
Bei der Analyse von höherdimensionalen Daten kann deren Gestalt wichtige Informationen über den Datensatz liefern. Bei einer gegebenen Punktwolke, die aus einem unbekannten topologischen Raum ausgewählt wurde, versucht die Topologische Datenanalyse (TDA) den ursprünglichen Raum zu rekonstruieren. Dieser Beitrag soll eine Einführung in die Topologische Datenanalyse geben und konzentriert sich dabei auf zwei wichtige Aspekte: die Persistente Homologie und den Mapper. Dabei werden zuerst die notwendigen theoretischen Grundlagen vorgestellt und anschließend wird die Methodik bei der Visualisierung von Daten eingesetzt.
Die Persistente Homologie ist eines der Standardwerkzeuge in der TDA. Sie findet ihre Anwendung beispielsweise in den Bereichen Formerkennung und -beschreibung. Der Mapper als zweites wichtiges Konzept der TDA wandelt umfangreiche, höherdimensionale Datensätze in Simplizialkomplexe um und kann dadurch geometrische und topologische Eigenschaften der Daten bestimmen. Des Weiteren ist die Mapper-Methode ein brauchbares Werkzeug zur Visualisierungen von mehrdimensionalen Daten, woran statistische Verfahren scheitern.
The instrumental -er suffix
(2019)
Untersucht werden die von BulwienGesa erhobenen und aufbereiteten jahresdurchschnittlichen Wiederverkaufspreise von Eigentumswohnungen und Einfamilienhäusern in 401 kreisfreien Städten und Landkreisen für die Jahre 2004–2017. Dabei zeigt sich eine Zunahme der regionalen Streuung im Zeitverlauf vor allem in der auf die Finanzkrise 2007–2009 folgenden Zeit. Im Durchschnitt der Regionen (Landkreise und kreisfreie Städte) steigen die Preise; sie entwickeln sich aber regional stark unterschiedlich (in manchen Regionen stagnieren sie oder sind gefallen). Dies führt auch zur Zunahme der Variationskoeffizienten, also der relativen Streuung der regionalen Preise. Dies deutet auf eine Zunahme der regionalen Disparitäten in der Bundesrepublik Deutschland. Besondere Divergenzen zeigen sich zwischen den alten und den neuen Bundesländern, wie auch zwischen prosperierenden kreisfreien Städten und deren Umland und ökonomisch schwächeren Städten und Landkreisen.
Human Rights Lawyering
(2019)
Transitional Justice
(2019)
How does the international Rule of Law apply to constrain the conduct of the Executive within a constitutional State that adopts a dualist approach to the reception of international law? This paper argues that, so far from being inconsistent with the concept of the Rule of Law, the Executive within a dualist constitution has a self-enforcing obligation to abide by the obligations of the State under international law. This is not dependent on Parliament’s incorporation of treaty obligations into domestic law. It is the correlative consequence of the allocation to the Executive of the power to conduct foreign relations. The paper develops this argument in response to recent debate in the United Kingdom on whether Ministers have an obligation to comply with international law–a reference that the Government removed from the Ministerial Code. It shows that such an obligation is consistent with both four centuries of the practice of the British State and with principle.
Expanding public or publicly subsidized childcare has been a top social policy priority in many industrialized countries. It is supposed to increase fertility, promote children’s development and enhance mothers’ labor market attachment. In this paper, we analyze the causal effect of one of the largest expansions of subsidized childcare for children up to three years among industrialized countries on the employment of mothers in Germany. Identification is based on spatial and temporal variation in the expansion of publicly subsidized childcare triggered by two comprehensive childcare policy reforms. The empirical analysis is based on the German Microcensus that is matched to county level data on childcare availability. Based on our preferred specification which includes time and county fixed effects we find that an increase in childcare slots by one percentage point increases mothers’ labor market participation rate by 0.2 percentage points. The overall increase in employment is explained by the rise in part-time employment with relatively long hours (20-35 hours per week). We do not find a change in full-time employment or lower part-time employment that is causally related to the childcare expansion. The effect is almost entirely driven by mothers with medium-level qualifications. Mothers with low education levels do not profit from this reform calling for a stronger policy focus on particularly disadvantaged groups in coming years.
College+
(2019)
The paper extends a static discrete-choice labor supply model by adding participation and hours constraints. We identify restrictions by survey information on the eligibility and search activities of individuals as well as actual and desired hours. This provides for a more robust identification of preferences and constraints. Both, preferences and restrictions are allowed to vary by and are related through observed and unobserved characteristics. We distinguish various restrictions mechanisms: labor demand rationing, working hours norms varying across occupations, and insufficient public childcare on the supply side of the market. The effect of these mechanisms is simulated by relaxing different constraints at a time. We apply the empirical frame- work to evaluate an in-work benefit for low-paid parents in the German institutional context. The benefit is supposed to increase work incentives for secondary earners. Based on the structural model we are able to disentangle behavioral reactions into the pure incentive effect and the limiting impact of constraints at the intensive and extensive margin. We find that the in-work benefit for parents substantially increases working hours of mothers of young children, especially when they have a low education. Simulating the effects of restrictions shows their substantial impact on employment of mothers with young children.
The worldwide populist wave has contributed to a perception that international law is currently in a state of crisis. This article examines in how far populist governments have challenged prevailing interpretations of international law. The article links structural features of populism with an analysis of populist governmental strategies and argumentative practices. It demonstrates that, in their rhetoric, populist governments promote an understanding of international law as a mere law of coordination. This is, however, not entirely reflected in their legal practices where an instrumental, cherry-picking approach prevails. The article concludes that policies of populist governments affect the current state of international law on two different levels: In the political sphere their practices alter the general environment in which legal rules are interpreted. In the legal sphere populist governments push for changes in the interpretation of established international legal rules. The article substantiates these propositions by focusing on the principle of nonintervention and foreign funding for NGOs.