Refine
Year of publication
- 2012 (23) (remove)
Document Type
- Doctoral Thesis (23) (remove)
Keywords
- 18. Jahrhundert (1)
- Africa (1)
- Afrika (1)
- Agriotes spp. (1)
- Ambulante Psychotherapie (1)
- Argumentation (1)
- Auditing (1)
- Ausbreitung (1)
- Befragungsinstrument (1)
- Beispiel (1)
Institute
- Fachbereich 8 (8)
- Fachbereich 7 (4)
- Institut für Integrierte Naturwissenschaften, Abt. Biologie (4)
- Institut für Germanistik (2)
- Institut für Informatik (2)
- Institut für Integrierte Naturwissenschaften, Abt. Geographie (1)
- Institut für Musikwissenschaft und Musikpädagogik (1)
- Mathematisches Institut (1)
Technical products have become more than practical tools to us. Mobile phones, for example, are a constant companion in daily life. Besides purely pragmatic tasks, they fulfill psychological needs such as relatedness, stimulation, competence, popularity, or security. Their potential for the mediation of positive experience makes interactive products a rich source of pleasure. Research acknowledged this: in parallel to the hedonic/utilitarian model in consumer research, Human-Computer Interaction (HCI) researchers broadened their focus from mere task-fulfillment (i.e., the pragmatic) to a holistic view, encompassing a product's ability for need-fulfillment and positive experience (i.e., the hedonic). Accordingly, many theoretical models of User Experience (UX) acknowledge both dimensions as equally important determinants of a product's appeal: pragmatic attributes (e.g., usability) as well as hedonic attributes (e.g., beauty). In choice situations, however, people often overemphasize the pragmatic, and fail to acknowledge the hedonic. This phenomenon may be explained by justification. Due to their need for justification, people attend to the justifiability of hedonic and pragmatic attributes rather than to their impact on experience. Given that pragmatic attributes directly contribute to task-fulfillment, they are far easier to justify than hedonic attributes. People may then choose the pragmatic over the hedonic, despite a true preference for the hedonic. This can be considered a dilemma, since people choose what is easy to justify and not what they enjoy the most. The present thesis presents a systematic exploration of the notion of a hedonic dilemma in the context of interactive products.
A first set of four studies explored the assumed phenomenon. Study 1 (N = 422) revealed a reluctance to pay for a hedonic attribute compared to a pragmatic attribute. Study 2 (N = 134) demonstrated that people (secretly) prefer a more hedonic product, but justify their choice by spurious pragmatic advantages. Study 3 (N = 118) confronted participants with a trade-off between hedonic and pragmatic quality. Even though the prospect of receiving a hedonic product was related to more positive affect, participants predominantly chose the pragmatic, especially those with a high need for justification. This correlation between product choice and perceived need for justification lent further support to the notion that justification lies at the heart of the dilemma. Study 4 (N = 125) explored affective consequences and justifications provided for hedonic and pragmatic choice. Data on positive affect suggested a true preference for the hedonic - even among those who chose the pragmatic product.
A second set of three studies tested different ways to reduce the dilemma by manipulating justification. Manipulations referred to the justifiability of attributes as well as the general need for justification. Study 5 (N = 129) enhanced the respective justifiability of hedonic and pragmatic choice by ambiguous product information, which could be interpreted according to latent preferences. As expected, enhanced justifiability led to an increase in hedonic but not in pragmatic choice. Study 6 (N = 178) manipulated the justifiability of hedonic choice through product information provided by a "test report", which suggested hedonic attributes as legitimate. Again, hedonic choice increased with increased justifiability. Study 7 (N = 133) reduced the general need for justification by framing a purchase as gratification. A significant positive effect of the gratification frame on purchase rates occurred for a hedonic but not for a pragmatic product.
Altogether, the present studies revealed a desire for hedonic attributes, even in interactive products, which often are still understood as purely pragmatic "tools". But precisely because of this predominance of pragmatic quality, people may hesitate to give in to their desire for hedonic quality in interactive products - at least, as long as they feel a need for justification. The present findings provide an enhanced understanding of the complex consequences of hedonic and pragmatic attributes, and indicate a general necessity to expand the scope of User Experience research to the moment of product choice. Limitations of the present studies, implications for future research as well as practical implications for design and marketing are discussed.
Nandi forests (South and North Nandi forests) are situated in the Rift Valley Province of Kenya very close to Kakamega forest. From previous documents it has been seen that Kakamega and Nandi forests were connected to each other forming one big "U" shaped forest block till the beginnings of 1900s. Due to human pressures, currently there are three different forests form the previous one block forest. Although they were one forest, information on Nandi forests is very scanty when it is compared to that of Kakamega forest. The species composition and diversity as well as plant communities and population structure of Nandi forests have not been studied. Information is not available about the similarity status of South and North Nandi forests. Furthermore the natural regeneration potential (seedling bank) of these forests is not well studied and documented. Hence this study aims to fill these gaps.
In this study totally 76 quadrates (49 from South Nandi and 27 from North Nandi) were used to collect data. In the South Nandi forests 27 of the quadrates were laid in the better side of the forest (at Kobujoi) and the remaining 22 were in the heavily disturbed part of this forest (Bonjoge). The quadrates were arranged on transects that have one to one and half km which were parallel to the slope. The distance between the quadrates was 100 meter and transects are 500 m apart. The size of the main quadrate was 400 m2 (20 X 20 m) which also had five small plots (3 X 3 m) distributed on the four corners and in the center. Each woody plants (climbers, shrubs and trees) having more than one meter and greater than two centimeter diameter at breast height (dbh) were measured and recorded. Seedlings and herbaceous plants were sampled in the smaller plots. Individual plants were identified at species level and when it was not possible to identify in the field voucher specimen were prepared and latter identified at the East African Herbarium, National Museum of Kenya, and Nairobi. Clustering and ordination were performed using PC-ORD and CANOCO ecological softwares, respectively. For both clustering and ordination abundance data of the species was used. Shannon diversity index and evenness were computed using PC-ORD while similarity indices, Fisher alpha, rarefaction, species richness estimation (nonparametric species richness estimators) were conducted using EstimateS. Indicator species analysis was undertaken using PC-ORD. Basal area and height class distribution at forests level or site level (Bonjoge and Kobujoi) and diameter (dbh) class distribution for selected trees species were performed to evaluate population structure.
Furthermore importance value (IV) of woody plant species was calculated. SPSS version 16 was used to undertake both parametric (when data assume normal distribution) and nonparametric (when data are not assuming normal distribution) comparison of means, correlation and regression analysis.
In this study totally 321 vascular plant species comprising 92 families and 243 genera were identified in Nandi forests (both South and North Nandi forests). In South Nandi forest 253 plant species form 82 families and 201 genera were recorded while in North Nandi 181 species comprising 67 families and 155 genera were recorded. Jackknife second order estimators gave the highest species richness estimate for both South and North Nandi forests i.e. 284 and 209, respectively. In the case of highly disturbed and less disturbed parts of South Nandi forest 138 and 172 vascular plant species were recorded, respectively. Asteraceae, Rubiaceae and Euphorbiaceae are the top three species rich families of Nandi forests. In terms of different diversity measures (i.e. alpha and beta diversity, Fisher alpha, Shannon diversity and evenness indices) South Nandi is more diverse than North Nandi forest. Sörensen and Jaccard (classic) as well as their respective abundance based similarities showed that there is a low species similarity between South and Nandi forests. The cluster analysis resulted in three different plant communities and this result is supported by the ordination result.
South and North Nandi forest has inverted "J" height class distribution showing that larger proportion of woody plant individuals are found in the lower height classes. Similar pattern is observed when the diameters of all woody plants were considered together. However, different diameter class distributions (seven types) were identified when selected tree species were analyzed separately. It has been observed that the basal area of South Nandi forest is significantly lower than that of North Nandi forest (Mann-Whitney U =358, p < 0.001). Similarly Bonjoge has significantly lower basal area (t-value=3.77, p<0.01) than that of Kobujoi. Number of woody plat seedlings in South Nandi forest is significantly higher than that of North Nandi (Mann-Whitney U = 362.5, p<0.001). In the same way Bonjoge has significantly smaller number of ssedlings than Kobujoi (t-value 4.24, p<0.001). Most of species in both forests are able to resprout from stumps after physical damage; hence this helps the regeneration of the forests in addition to seedling banks. This study enables to fill some of the information gaps about Nandi forests especially of floristic composition, population structure, natural regeneration and human impacts on this ecosystem.
Education and training of the workforce have become an important competitive factor for companies because of the rapid technological changes in the economy and the corresponding ever shorter innovation cycles. Traditional training methods, however, are limited in terms of meeting the resulting demand for education and training in a company, which continues to grow and become faster all the time. Therefore, the use of technology-based training programs (that is, courseware) is increasing because courseware enables self-organized and self-paced learning and, through integration into daily work routines, allows optimal transfer of knowledge and skills, resulting in high learning outcome. To achieve these prospects, high-quality courseware is required, with quality being defined as supporting learners optimally in achieving their learning goals. Developing high-quality courseware, however, usually requires more effort and takes longer than developing other programs, which limits the availability of this courseware in time and with the required quality.
This dissertation therefore deals with the research question of how courseware has to be developed in order to produce high-quality courseware with less development effort and shorter project duration. In addition to its high quality, this courseware should be optimally aligned to the characteristics and learning goals of the learners as well as to the planned usage scenarios for the knowledge and skills being trained. The IntView Method for the systematic and efficient development of high-quality courseware was defined to answer the research question of this dissertation. It aims at increasing the probability of producing courseware in time without exceeding project schedules and budgets while developing a high-quality product optimally focused on the target groups and usage scenarios.
The IntView Methods integrates those execution variants of all activities and activity steps required to develop high-quality courseware, which were identified in a detailed analysis of existing courseware development approaches as well as production approaches from related fields, such as multimedia, web, or software engineering, into a systematic process that in their interaction constitute the most efficient way to develop courseware. The main part of the proposed method is therefore a systematic process for engineering courseware that encompasses all courseware lifecycle phases and integrates the activities and methods of all disciplines involved in courseware engineering, including a lifecycle encompassing quality assurance, into a consolidated process. This process is defined as a lifecycle model as well as a derived process model in the form of a dependency model in order to optimally support courseware project teams in coordinating and synchronizing their project work. In addition to the models, comprehensive, ready-to-apply enactment support materials are provided, consisting of work sheets and document templates that include detailed activity descriptions and examples.
The evaluation of the IntView Method proved that the method together with the enactment support materials enables efficient as well as effective courseware development. The projects and case studies conducted in the context of this evaluation demonstrate that, on the one hand, the method is easily adaptable to the production of different kinds of courseware or to different project contexts, and, on the other hand, that it can be used efficiently and effectively.
The first group that was revised within my study is Ochralea Clark, 1865 (Hazmi & Wagner 2010a). I have checked the type specimen of most species that were originally described in Ochralea and there is no doubt that this genus is clearly distinct from Monolepta. Weise (1924) has synonymised Galeruca nigripes (Olivier, 1808) with O. nigricornis Clark, 1865 and the valid name of the species is O. nigripes (Olivier, 1808). Out of ten species originally described in this genus, only this species remain valid and O. pectoralis is a new synonym of O. nigripes. Additionally, Monolepta wangkliana Mohamedsaid, 2000 is very closely related to O. nigripes and need to be transferred to Ochralea. The second genus where the revision is still published is Arcastes Baly, 1865 (Hazmi & Wagner 2010b). I have checked the genitalic characters of A. biplagiata, and most of the type species of other Arcastes. Arcastes biplagiata possesses a peculiar shape of the median lobe and asymmetrically arranged endophallic structures. These peculiar characters are very useful to delimit this genus from the others. Therefore, only three valid species remain in Arcastes, while two new synonyms are found and fourrnother species need to be transferred to other genera. While checking the genitalic characteristics of type species of Arcastes sanguinea, thernmedian lobe as well as the spermatheca of this species possesses strong differences to A. biplagiata. The species was redescribed and transferred in a monotypic new genus Rubrarcastes Hazmi & Wagner, 2010c. The fourth genus that was already revised is Neolepta Jacoby, 1884. It was originally described on base of only two species by that time, N. biplagiata and N. fulvipennis. Jacoby has not designated a type species of the genus, and Maulik (1936) did it later, with the designation of N. biplagiata. Jacoby in his original description has only commented that Neolepta is very close and similar to Monolepta Chevrolat, 1837 and Candezea Chapuis, 1879. Subsequent authors have described further eight species, and transferred one species from Luperodes to it, summing up the total number of eleven described species in Neolepta. I have checked the genitalic characters of the type, N. biplagiata and have found out that the median lobe is not incised apically and stronger sclerotised ventral carinae with an apical hook close to the apex occur. Out of all described species, only two are closely related to the genero-type, N. sumatrensis (Jacoby, 1884) new combination and N. quadriplagiata Jacoby, 1886 that will remain in this group after the revision. All other species need to be transferred to other genera, including the newly described Paraneolepta and Orthoneolepta. The last distinct paper of this thesis presented the results on Monolepta Chevrolat, 1837. The massive number of Monolepta from the entire Oriental Region, with about 260 described species names is a more long-life project and not practicable within a PhD-study. Thus I have focused on the species of Monolepta known from the Sundaland area in this work. A comprehensive revision including the study of the primary types of the described species, has never been done for Monolepta from this sub-region, while new species have also been described in the last decade (e. g. Mohamedsaid 1993, 1997, 1998, 1999, 2000a,b, 2001, 2002, 2005).
On base of the most current species lists of Mohamedsaid (2001, 2004, 2005) and Kimoto (1990), the number of valid species described from this region is about 72. After my revision, only thirteen valid species can remain in Monolepta in the sense of the generotype M. bioculata (Wagner 2007), while seven species have been found as new synonyms, three have been already transferred to other genera and further 49 species need to be transferred to other genera.
Purpose: Leader-follower communication plays an important role in all organizations. However, research on school leadership did not focus on communication competency (CC) and its impact on school quality (e.g. on teachers' commitment, job satisfaction) so far; there is a striking lack of theory and empirical data. Therefore, this paper describes the development and validation of a standardized measure for CC of school principals. It is based on a theoretical framework with LMX as a communication-based approach to leadership and an interpersonal communication process model. Design/Methodology: CC was conceptualized as a 3-dimensional construct. Five studies were conducted with German teachers and school principals from all types of schools (total N=1649): selection of items via expert ratings, exploring the dimensionality, cross-validation of the structure, test-retest-reliability, external validity. Results: Analyses led to a 3-factor solution - Altercentrism, Knowledge and Willingness to Communicate, Self-Regulation - with 14 items and good internal consistencies. CFA, exploring the nomological network, and invariance measurement supported construct validity. Limitations: Empirical studies still have to be conducted to evaluate the application in other leader - follower contexts apart from school. Research/Practical Implications: The measure and the theoretical framework can be applied for analyzing principal - teacher interactions in detail and for detecting problems in communication processes. The measure can also be used for feedback processes and for demand-oriented trainings.Originality/Value: For the first time, this paper explicitly combines the concepts of CC and leadership in schools and provides a measure within a theoretical framework to assess principals' CC. Such a valid instrument is the prerequisite for further investigating the importance of CC in the context of (school) leadership.
Problembewältigung stellt eine essentielle (kognitive) Aktivität im alltäglichen Leben, wie auch im Berufsleben, dar. Bereits in der Grundschule wird diese Fähigkeit, z.B. bei der Lösung von mathematischen Textaufgaben, gefordert und gefördert. Trotzdem bereitet dies Schülern verschiedener Klassenstufen nach wie vor große Schwierigkeiten. Das Lösen von Textaufgaben erfordert eine Vielzahl kognitiver Operationen. Dies ist besonders dann der Fall, wenn es sich bei den Aufgaben nicht um Routineaufgaben handelt. Für die Bearbeitung von Textaufgaben können Schüler auf verschiedene Repräsentationen zurückgreifen, wobei sowohl interne und externe als auch depiktionale (abbildende) und deskriptionale (beschreibende) unterschieden werden können. Da bisher kaum empirische Forschungsarbeiten zum Umgang von Schülern mit problemhaltigen Textaufgaben vorliegen, und darüber hinaus sehr wenig über die selbstgenerierten Repräsentationen bei der Bearbeitung von Textaufgaben bekannt ist, ist die vorliegende Arbeit z.T. explorativ angelegt. Im Fokus stehen die spontanen und individuellen Lösungsprozesse von Schülern verschiedener Klassenstufen bei der Bearbeitung von problemhaltigen Textaufgaben. Dabei wurde vorrangig untersucht, auf welche Repräsentationsformen die Schüler bei ihren Lösungsprozessen zurückgreifen.
Insgesamt 268 Schüler verschiedener Klassenstufen (Grundschüler der 3. und 4. Klasse; Gymnasiasten der 6. und 9. Klasse) wurden in Einzeluntersuchungen gebeten, jeweils fünf problemhaltige Textaufgaben zu lösen. Diese wurden ursprünglich im Hinblick auf die Primarstufe entwickelt, scheinen jedoch auch für Schüler höherer Klassenstufen ihren anspruchsvollen Charakter nicht zu verlieren. Für die Aufgabenlösungen standen den einzelnen Schülern verschiedene Materialien zur Verfügung. Von Seiten der Versuchsleitung wurden keinerlei Hilfestellungen gegeben. Nach jeder Aufgabe wurden die Schüler zu ihren Vorgehensweisen mittels halbstrukturiertem Interview befragt. Das individuelle Vorgehen wurde durch Videoaufzeichnungen festgehalten.
Das gewonnene Videomaterial wurde durch drei geschulte Beobachter anhand eines selbstentwickelten Kodiersystems quantifiziert und schließlich statistisch ausgewertet.
Allgemein kann gesagt werden, dass alle Schüler Schwierigkeiten bei der Bearbeitung der fünf Textaufgaben aufwiesen. So gab es nicht einen Schüler, der alle fünf Aufgaben richtig lösen konnte. Trotzdem nahm die Anzahl der richtigen Lösungen mit höherer Klassenstufe signifikant zu. In diesem Zusammenhang ergaben sich jedoch unterschiedlich starke Zuwächse in Abhängigkeit von der jeweiligen Aufgabe und ihren Anforderungen.
Hinsichtlich der selbstgenerierten Repräsentationsformen ergaben sich u.a. folgende Ergebnisse. Erstens operierten die Grundschüler im Vergleich zu den Gymnasiasten sehr stark intern deskriptional, d.h., sie waren versucht, die gesamten Aufgaben durch Kopfrechnen zu bewältigen. Zweitens griffen die Schüler mit höherer Klassenstufe eher auf verschiedene Repräsentationsformen zurück, was für einen flexibleren Umgang mit ihnen spricht. Drittens scheint die Verwendung multipler Repräsentationen bei der Konstruktion des mathematischen Modells nicht per se zu einer richtigen Lösung zu führen. Aber sie verhindert, unabhängig von der Klassenstufe, eine gänzlich falsche Aufgabenbearbeitung bzw. -lösung. Im Bezug auf das Lösungsvorgehen konnte kein eindeutiges Ergebnis erzielt werden. Hier scheinen je nach Aufgabenanforderungen (und wahrscheinlich auch Personenfähigkeiten) ganzheitliche und zergliedernde Vorgehensweisen unterschiedlich gut geeignet zu sein im Hinblick auf den Lösungserfolg. Nachfolgende Untersuchungen müssen die hier berichteten Ergebnisse überprüfen. Die Ergebnisse legen jedoch nahe, dass hinsichtlich des Umgangs von Schülern mit anspruchsvollen Textaufgaben nach wie vor Handlungsbedarf bestehen sollte. Gerade der im Mathematikunterricht gelegte Schwerpunkt auf deskriptionale Repräsentationsformen im Sinne von Rechnungen und Gleichungen scheint bedenklich. Vielmehr sollte eine Schulkultur etabliert werden, die den flexiblen Einsatz von verschiedenen Repräsentationsformen, und hier im Besonderen die Verwendung depiktionaler Repräsentationen, als legitim und durchaus notwendig erachtet.
In einem randomisierten Kontrollgruppen-Design wurde die Wirksamkeit zweier ambulanter psychologischer Tinnitus-Therapien (12-wöchige psychologische Tinnitus-Therapie (PTT) sowie 4-wöchige psychologische Kurzzeit-Tinnitus-Therapie (KPTT)) miteinander verglichen. Die Überprüfung der Wirksamkeit erfolgte mittels folgender Parameter: Tinnitusbelastung, subjektive Lautheit, Dauer der Tinnituswahrnehmung, Tinnitusbelästigung, Copingfähigkeit, Stimmung, Depressivität, Schlaf und Kontrollüberzeugung. An der Studie nahmen 90 Patienten mit chronischem Tinnitus teil, die zufällig der PTT, der KPTT oder einer Wartekontrollgruppe (WKG) zugeteilt wurden. Die Datenerhebung erfolgte zu drei Messzeitpunkten: vor Therapiebeginn, nach Therapieende sowie 6 Monate nach Therapieende. Beide Interventionen führen zur signifikanten Reduktion der Tinnitusbelastung, der subjektiv wahrgenommenen Lautheit, der Dauer der Tinnituswahrnehmung und der Tinnitusbelästigung. Weiterhin führen beide Therapien zum Erlernen und zur Anwendung von effektiven Copingstrategien und damit auch zur Erhöhung der Kontrollüberzeugung. Alle berichteten Verbesserungen bleiben auch 6 Monate nach dem Therapieende stabil. Nachdem in der WKG nach 4 und nach 12 Wochen keine signifikanten Veränderungen beobachtet werden konnten, sind die Veränderungen in den Therapiegruppen in den o.g. Variablen als Therapieeffekte zu sehen. Keine der beiden Interventionen führt zu einer signifikanten Veränderung des Schlafes und der Stimmung. Als einziger signifikanter Prädiktor des Therapieerfolgs hat sich die Tinnitusdauer herausgestellt. Während die PTT unabhängig von der Tinnitusdauer zu einer Reduktion der Tinnitusbelastung führt, ist die KPTT umso wirksamer, je kürzer die Tinnitusdauer ist. Das Vorhandensein einer komorbiden psychischen Störung, die Ausgangsbelastung sowie die Veränderungsbereitschaft beeinflussen die Therapiewirksamkeit nicht. Da sich diese beiden ambulanten psychologischen Tinnitus-Therapien nicht in ihrer Wirksamkeit und in ihren langfristigen Auswirkungen voneinander unterscheiden, kann resümiert werden, dass beide gut für eine ambulante psychologische Behandlung von Patienten mit chronischem Tinnitus geeignet sind. Die kürzere KPTT ist jedoch aufgrund des niedrigeren Zeit- und Kostenaufwandes als effizienter zu bewerten.
In this study the influence of soil moisture and soil type on the selected pests and diseases Phytophthora infestans (Mont.) de Bary, Fusarium graminearum Schwabe and F. culmorum (W.G. Smith) Saccardo, respectively, as well as the larvae of the most important Elateridae Agriotes lineatus Linnaeus, A. obscurus Linnaeus, A. sputator Linnaeus, A. sordidus Illiger and A. ustulatus Schaller (called wireworms) was characterized. The aim was to integrate soil modules in prediction models for agricultural and horticultural pests and diseases, to optimise the scheduling of disease controls, to detect periods of high-intensity attacks and to reduce the number of preventive treatments. The measurement of soil moisture is time intensive and additionally soil moisture is highly varying within small areas. Therefore this parameter did not have a high impact in the prediction models for agricultural and horticultural pests and diseases in the past. In this study the possibilities for a site-specific simulation of soil moisture was investigated. The soil moisture simulation model SIMPEL (HÖRMANN 1998) was adapted to agricultural conditions and the site-specific simulation of soil moisture was realised on the basis of radar measured precipitation data from the German Meteorological Service (DWD) and on interpolated weather data (ZEUNER 2007). The comparison of the simulated soil moisture data with the field measurements showed a highly significant correlation (Alpha = 0.01) and an average of 3.8 % differences. Therefore the site-specific simulation of soil moisture will be possible and can be included in the prediction models for agricultural and horticultural pests and diseases. The results of laboratory and field experiments as well as analyses on monitoring data showed, that the influence of soil parameters on the three selected pests and diseases varied. Whereas the investigations on the influence of soil moisture on P. infestans identified no clear correlation, considerable correlations between soil moisture and soil type on wireworms as well as F. graminearum and F. culmorum could be detected. For the prediction of the appearance of wireworms in the upper soil level in relation to soil moisture and soil type the simulation model SIMAGRIO-W was developed. The validation of the new model showed highly significant correlations between soil moisture and soil type on the appearance of wireworms. The influence of soil type on F. graminearum and F. culmorum was integrated in the existing prediction model FUS-OPT. A correlation between air cached spores of F. graminearum and simulation results from the modified model FUS-OPT showed a high significance in PEARSON test. The results of this study showed that the implementation of soil moisture and soil type in the prediction models for agricultural and horticultural pests and diseases can be realised. The developed and modified prediction models can be used by the Governmental Crop Protection Services in Germany through www.isip.de.
This doctoral thesis concerns the theoretical basis, development and validation of a multipart instrument to provide students of educational sciences with some feedback about their competence-development (instrument KIPBI) and report to their experiences in practical training (instrument EIPRA). It thus supports the reflection capability of the student teachers. Both instruments are part of an online self-assessment (Tour 3-RLP), which is similar to the Career-Counselling for Teachers (CCT, see cct-germany.de) but unlike this, does not focus on ability but on competence-development. The instruments serve to promote the professional development of student teachers. This is a goal of the reformed concept of teacher training in Rhineland-Palatinate, the so-called KMK-standards for teacher training and education, the Rhineland-Palatinate "Framework School Quality" as well as of handouts and manuals for the implementation of in-depth practical training in teacher education. The first part of this dissertation describes the theoretical framework for the development of instruments for the "CCT-Tour 3-RLP" starting with the issue of professionalization in teacher profession. Historical dimensions and their associated approaches to teacher education research are manifold. They range from the aspect of "teacher personality" to the implementation of teaching-standards and standards for teacher education and output orientation. While within the 60s and 70s the personality approach was pivotal in teacher education research, nowadays expertise-development and models of skills-development are discussed as central issues. Therefore, the theory section describes the influence of previous research-paradigms and their semantic content upon the current trend. As one part of the analysis the construct of "teacher self-efficacy" will be explained, along topological and typological models of competence-development.
Furthermore the practical elements of teacher education and their contribution to the professionalization of future teachers are presented. Professional reflection is assumed to be a basis for developing expertise. Therefore it is necessary to investigate how theoretical knowledge can be "transferred" to practical performance. A unifying theory connecting the integration hypothesis (assuming that knowledge is directly transferable into practice) with the differentiation hypothesis (teacher skills form their own knowledgebase independent from both theoretical and practical knowledge) is provided by cognitive psychology (particularly by research on expertise). Endpoint of the theoretical discourse is the evaluation of the referred theoretical positions and their meaning for the Rhineland-Palatinate reform of teacher education and teacher training and the role that the "Tour 3-RLP" is going to play in this context.In the empirical part the methodical and methodological steps for validation of the instruments are discussed. At first the Swiss standards for teacher profession (developed by the Pädagogische Hochschule Schwyz, Central Switzerland) are presented. They can serve as a model building a competency-oriented tool that refers to competency stages.
An analysis of various methods for the setting of cut-scores aiming to develop appropriate competency levels is also a fundament for the procedures developed in the context of the empirical investigations. The results of the pilot-study and a follow-up study conducted with both described instruments (KIPBI and EIPRA) show that the instruments for competence-measurement fulfil the requirements of psychometric criteria (like a scale-structure) and tend to support student teachers´ self-reflection. Core concern of both instruments is the promotion of students, realized by the online-self-assessment by the use of appropriate feedback structures and related recommendations for action.The final chapter of this thesis includes the discussion of the results of the validation and implementation study. This final view is devoted to the question whether or not competency-modeling or standard-based approaches to professionalization are the only possible accesses to map and explain skills development. The role of reflection seems to be important for both the integral and the differential approach and interconnects them.
A taxonomic revision of the genus Pteris in tropical Africa revealed 26 species. An identification key to the species is provided. Morphological characters were used to prepare a cladistic analysis of the relevant taxa. Each species was evaluated concerning the IUCN red list status. Only Pteris mkomaziensis was considered as Near Threatened, and all other species only as Least Concern. An inventory of the ferns of Kakamega Forest / Kenya and Budongo Forest / Uganda revealed 85 species in Kakamega and 66 species in Budongo. Life form spectra were analysed and the ferns were studied for their value for bioindication.
Wild boars belong to the most wide spread ungulates in the world. They are characterized by a well performed adaption to their environment mainly due to their omnivorous dietary. The wild boar population in Germany increased during the past three decades. Nowadays their high density leads to problems in agricultural areas due to damage of crops and plays a significant role as disease vector as the classical swine fever. For an effective population management population size information is of crucial importance. Different traditional methods exist to estimate population sizes as direct sightnings, faecal drop counts or hunting harvest which provide only relative estimates and population trends. Absolute population sizes could be yielded by a Capture-Mark-Recapture (CMR) approach. However, capturing of wild boars is difficult to realize and costly in terms of personnel and field effort.
Furthermore the capture probabilities are heterogeneous due to the variable behaviour of individuals influenced by age, sex, and experience of the animals. Non-invasive genetic methods are a promising complement to the traditional methods for population size estimation particularly for wild boar. These methods reduce stress and capture bias and increase the number of re-captures. Faeces proved to be a suitable DNA source for wild boar genotyping, due to almost equal capture probability. However working with faeces implicates difficulties such as low DNA rnquality and quantity, genotyping errors as dropout and false alleles.
The main aim of the present study was to develop a reliable, cost-efficient, reproducible and practicable method for wild boar genotyping. This method should provide a reliable dataset of genotypes obtained from the collected faeces samples. Individual identification forms the basis for an improved mark-recapture approach. As there is no sound method for absolute population counts in free living wild boar, reference values for the validation of this new approach are missing. Therefore, different routines to reduce and to assess genotyping errors were compared within this thesis. For maximum amplification rate, the storage, the extraction methods and the PCR-procedure were optimised. A step by step procedure was evaluated in order to determine the minimum required microsatellite (MS) number for reliable individual identification including a test with family groups (female and embryo tissue) to distinguish even between close relatives. A multiple-tubes approach, post-amplification checking and different correction procedures were applied to reduce genotyping errors. In order to quantify real genotyping error rates (GER) of datasets derived from sampling in the Palatinate Forest in western Germany, different methods for GER determination were compared with each other, obtaining GERs between 0% and 57.5%. As a consequence, more strict criteria for the multi-tube approach and increased repetition number of homozygous samples were used. An additional method validation was the implementation of a blind test to achieve the reliability of the genotyping and error checking procedure. Finally a strict and practicable proposal for the lab procedure was developed, by beginning with faecal sample collection and ending with a reliable dataset with genotypes of each sample.
The results of the presented method were derived from two sampling periods in a 4000 ha area in the Palatinate Forest in Rhineland-Palatinate in December 2006 and 2007. Both provided high confidence intervals (CI) applying inaccurate estimates (eg. for 2006 population size amounted to 215 with CI 95% of 156-314 and for 2007 population size amounted to 415 with CI 95% of 318-561) due to low sampling sizes (for 2006 n = 141 and for 2007 n = 326), successfully analysed samples (for 2006 n = 89 and for 2007 n = 156) and recapture numbers (for 2006 n = 12 and for 2007 n = 24). Furthermore, the population estimates even for the lowest values were considerably higher than previously assumed by hunting statistics, which implicates an ineffective hunting regime in the study area. For the future prospect, to obtain more precise population size estimations the increase of sampling sizes is inevitable, because absolute and reliable estimates are highly desirable for wildlife management and the control of diseases transmission. Nevertheless, the method for individual genotyping of wild boars evaluated in this thesis could be successfully established resulting in reliable datasets for population estimation modelling with sufficiently low GER.
Gerechtigkeitswahrnehmungen haben sich im Unternehmenskontext als bedeutsame Prädiktoren von Bindungsphänomenen und Extra-Rollenverhalten zugunsten der Organisation erwiesen, aber für Alumni als ehemalige Mitglieder einer Organisation wurde dieser Zusammenhang bisher noch nicht untersucht. Die vorliegende Arbeit gibt einen Überblick über Konzepte, mit denen das in den Sozialwissenschaften bislang wenig adressierte und elaborierte Konzept der Alumnnibindung theoretisch gefasst und mit Konzepten der psychologischen Gerechtigkeitsforschung in Verbindung gebracht werden kann. Um die Bedeutsamkeit von Gerechtigkeitswahrnehmungen während der Hochschulzeit für spätere Alumnibindung und späteres Alumni-Engagement zu untersuchen, wird ein theoretisches Modell vorgeschlagen, das Gerechtigkeit mit bereits bekannten Einflussfaktoren integriert.
Die empirische Studie erfasste zu drei Messzeitpunkten zunächst die Kontrollvariablen und in einer zweiten Erhebungswelle die Gerechtigkeitswahrnehmungen von Studierenden. In einer dritten Erhebung ca. 6-12 Monaten nach Abschluss des Studiums die affektive und normative Hochschulbindung, sowie die Engagement-Bereitschaften von Alumni erhoben. Anhand der Stichprobe, die je nach Messzeitpunkt und beteiligten Variablen zwischen N = 296 bis N =795 Teilnehmenden umfasst, werden einzelne Hypothesen über die Auswirkung von Gerechtigkeitswahrnehmungen, sowie deren Bedeutung innerhalb eines multiplen regressionsanalytischen Mediationsmodelles überprüft.
Die Ergebnisse lassen darauf schließen, dass sich Hochschulbindung und Engagement-Bereitschaften von Alumni nicht nur prinzipiell durch Gerechtigkeitswahrnehmungen vorhersagen lassen, sondern diese insbesondere in ihrer prozeduralen und interaktionalen Komponente einen bedeutsamen Beitrag zur Vorhersage von Hochschulbindung und Engagement-Bereitschaften auch über andere Einflussfaktoren hinaus leisten. Ferner zeigte sich, der Einfluss von Gerechtigkeitswahrnehmungen auf Engagement-Bereitschaften von Alumni je nach konkretem Kriterium über eine affektive oder normative Form der Hochschulbindung mediiert wird.
Wie kaum ein anderes Phänomen hat die Frage nach der Legalität der Selbsttötung, die in ihrer letzten Konsequenz immer eine Frage nach dem Selbstbestimmungsrecht des Menschen ist, Gesellschaften gespalten. Stellte die Selbsttötung in der Antike ein durchaus tolerierbares Mittel dar, um einem qualvollen Leben zu entfliehen, so wurde sie im Mittelalter unter dem Einfluss des Christentums fast durchgängig verboten. Für die Aufklärung, die im allgemeinen Verständnis als eine Epoche gilt, in der sich der Grundgedanke durchsetzt, die Vernunft als allgemeingültigen Wertemaßstab für alles menschliche Handeln heranzuziehen und die Bevormundung durch Autoritäten zu hinterfragen, stellt die Bewertung der Selbsttötung eine besondere "Provokation" dar. Die über einen langen Zeitraum sowohl von kirchlichen als auch weltlichen Autoritäten gleichermaßen propagierte Auffassung von der Unzulässigkeit des aus eigener Hand herbeigeführten Todes konnte unter Perspektive eines Individuationsprozesses im Zeitalter der Aufklärung nicht weiterhin unhinterfragt hingenommen werden.
Während die deutschen Philosophen und Theologen der Aufklärung weitestgehend in traditionellen Bewertungsmustern verhaftet blieben und die Tat je nach Ausrichtung als ein Vergehen wider Gott, die Gemeinschaft oder das eigene Ich verstanden, machten sich Veränderungen in der öffentlichen Wahrnehmung und Bewertung der Selbsttötung vor allem in der Strafrechtsdebatte und im medizinisch-anthropologischen Diskurs bemerkbar. Hier stand nun nicht mehr die Bewertung der Tat im Vordergrund, sondern die Frage nach deren Ursachen. Blieb die Wahrnehmung der Selbsttötung als ein Akt entgegen der Vernunft zunächst zu weiten Teilen bestehen, setzte sich jedoch zunehmend das Verständnis durch, die Selbsttötung als das tödliche Ende einer Krankheit zu begreifen. Eine derartige Bewertung führte beispielsweise dazu, dass die gängige und sowohl im weltlichen als auch im kanonischen Recht verankerte Praxis der Bestrafung der Selbstmörder immer häufiger ausgesetzt wurde.
Gleichzeitig vollzieht sich im Geiste der Aufklärung ein deutlicher Wandel im literarischen Diskurs. Allen voran Johann Christoph Gottsched, dessen Trauerspiel Der Sterbende Cato das Analysekapitel der Arbeit einleitet, wollte ausdrücklich das Trauerspiel in den Dienst der rationalen Philosophie gestellt wissen. Aufbauend auf einem Verständnis, dass Literatur sich als Resonanzraum außerliterarischer Diskurse verstehen lässt und zugleich selbst diskursschaffend ist, stellt sich aus der Zusammenschau der ausgeführten Entwicklungslinien die Frage, wie das Motiv der Selbsttötung, das seit Sophokles als ein erlaubtes und taugliches Inventar des Trauerspiels galt und in der barocken Tragödie vielfach als eine nachahmungs- und bewunderungswürdige Tat dramatisiert wurde, von den Literaten des Aufklärungsjahrhunderts gestaltet wurde. Die Relevanz der Studie ergibt sich somit aus einem Zusammenspiel von Untersuchungszeitraum, Gattung und Selbsttötung als solcher. Die Dissertation leistet einen Beitrag zur Geschichte der Selbsttötung unter Perspektive einer literaturwissenschaftlichen Motivanalyse und legt hierbei ein theoretisch expliziertes Verständnis des Motivbegriffs vor, innerhalb dessen das Motiv nicht ausschließlich als ein handlungsführendes und strukturbildendes Element verstanden wird, sondern darüber hinaus strukturell durch die Gattung bestimmt in den jeweiligen Kontextualisierungen Auskunft über kollektive Denkformen und kommunikative Konventionen gibt. Dieses Konzept ermöglicht es, die Entwicklung des Motivs im literarischen Diskurs anhand der dominierenden Wahrnehmungsparadigmen zu beschreiben. Hierbei werden drei zentrale "Motivgestalten" präsentiert, in denen das Motiv in ähnlichen oder verwandten Implikationen auftritt. Die besprochenen Texte reichen von kanonisierten Klassikern wie Schillers Die Räuber bis hin zu jenen, die nur am Rande der literaturwissenschaftlichen Betrachtung eine Rolle spielen so z.B. Die neue Arria von Freidrich Maximilian Klinger.
Diversität und Verbreitung von Schluchtwäldern (Tilio-Acerion) im Rheinischen Schiefergebirge
(2012)
Im Rahmen dieser Studie wurde die Diversität der Gefäßpflanzen von Edellaubmischwäldernrn im Rheinischen Schiefergebirge statistisch erfasst und dabei erstmalig deren Artenzusammensetzung anhand einer angewandten Standortanalyse soziologisch-floristisch beschrieben sowie deren Verbreitung im Einzugsbereich von unterer Mosel, unterer Lahn und dem Mittelrheingebiet zusammenfassend dargestellt.
Zudem war es Ziel dieser Untersuchung die Variabilität und Struktur der Artenzusammensetzung in Abhängigkeit von edaphischen und mikroklimatischen Umweltfaktoren auf Schiefer als anstehendem Gestein zu analysieren und diesbezüglich das Tilio-Acerion des Untersuchungsraums mit den bisher vorwiegend auf kalkhaltigem Untergrund untersuchten Edellaubmischwaldgesellschaften der übrigen deutschen Gebirge zu vergleichen. Mit Blick auf die Einstufung dieser Waldgesellschaft als "prioritären Lebensraum" innerhalb des NATURA 2000-Schutzgebietssystems und der an die FFH-Richtlinie gekoppelten Berichtspflicht von Rheinland-Pfalz, die alle 6 Jahre erfüllt werden muss,wurde die bisherige Einstufung der Ausprägung dieser Waldgesellschaft für die naturräumlichen Haupteinheiten im Untersuchungsraum revidiert. Dabei wurden auch anthropogene Gefährdungen untersucht und Schutzmaßnahmen für den Erhalt dieses in Mitteleuropa streng geschützten Fauna-Flora-Habitats diskutiert sowie Vorschläge zur Eingliederung von bisher unberücksichtigten Regionen in das NATURA 2000-Schutzgebietssystem abgegeben. Insgesamt wurden 191 Taxa in 1209 Aufnahmen erfasst und 29 Arten davon auf Grund ihrer Seltenheit oder Schutzwürdigkeit als bemerkenswert eingestuft. Des Weiteren wurden 3 Assoziationen und eine bisher noch unbekannte Festuca altissima-Tilia cordata-Gesellschaft beschrieben, wobei der überwiegende Teil der Aufnahmen dem Fraxino-Aceretum pseudoplatani zugeordnet wurde, das sich synsystematisch in weitere standörtlich bedingte Untereinheiten differenzieren lässt. Dabei hebt sich das Tilio-Acerion im Rheinischen Schiefergebirge gemeinsam mit Beständen weiterer silikatischer Gebirge von Edellaubmischwäldern auf karbonatischen Gebirgen in Deutschland durch säuretolerante Arten einer Polystichum aculeatum-Variante syntaxonomisch ab. Zudem konnte das in der Literatur bisher umstrittene Adoxo moschatellinae-Aceretum als eigene, dem Tilio-Acerion zugehörige Assoziation anhand von Kennarten wie dem im Untersuchungsraum hochsteten Polystichum aculeatum in der für die syntaxonomische Bewertung prioritären Krautschicht validiert werden. Regionale Unterschiede der Edellaubmischwälder sind im Untersuchungsgebiet anhand der dortigen Verbreitungsgrenzen submediterraner, (sub-)atlantischer und (sub-)kontinentaler Florenelemente erkennbar. Edaphische und mikroklimatische Faktoren haben sich als besonders einflussreich für diverse Ausprägungen der Schluchtwaldflora herausgestellt. Das Tilio-Acerion ist im Einzugsbereich der Mosel besonders artenreich, was lokal auch auf das Lahngebiet zutrifft. Der Straßen- und Wegebau wird als häufigste Gefährdung eingestuft, in den Tieflagen des oberen Mittelrhein- und Moselgebiets kommen Niederwald-Effekte in Form von haselreichen Degradationsstadien hinzu, in den Hochlagen sind Nadelwaldaufforstungen problematisch. Entsprechend wird gefordert derartige Maßnahmen sowie die Abholzung und Totholzentnahme in Edellaubmischwäldern zu vermeiden und diese sich stattdessen ihrer natürlichen Sukzession zu überlassen.
Die Studie hat gezeigt, dass die naturräumlichen Haupteinheiten Hunsrück, Westerwald, Taunus sowie das Mosel-, Lahn- und Mittelrheintal entgegen bisheriger Einstufung ein "Hauptvorkommen" an Schlucht- und Hangmischwäldern mit "guter Ausprägung" aufweisen.
In summary, this study revealed the widespread occurrence of antiviral drugs in the aquatic environment. Furthermore, it could be shown that the elimination of pharmaceuticals in both biological and oxidative treatment do not necessarily result in their mineralization but rather leads to the formation of a variety of transformation and oxidation products.
This is one of the first studies in which the fate and in particular the transformation of pharmaceuticals has been comprehensively investigated in almost the complete water cycle, from biological wastewater treatment to advanced oxidation processes via ozone. It was shown that the transformation of pharmaceuticals in the urban water cycle can ultimately result in the formation of toxic transformation products.
New media are continually gaining importance in society. This process also has an increasing influence on developments in the field of education. Due to the use of computers as an integral part of schooling, new possibilities with regard to the organisation of learning processes arise. In this context, it is of great significance that appropriate computer applications for the respective learning group be prepared, so that justifiable use of computers in lessons can take place. Furthermore, efficient integration of computers requires changes in spatial organisation, in teaching methodology and in the role of the teacher. Such reflection and re-orientation are the essential basis for meaningful usage of new media in teaching and learning processes. An initial aim of this thesis is an empirical analysis of the situation regarding the usage of computers in geometry lessons in primary schools, based on a regional survey. The evaluation gives information as to how intensively the computer is used in the learning process and shows us which factors determine the use of computers in geometry lessons.
The results are an empirical foundation for the development of a computer-based learning environment called "Geolizi" (the second aim of my study). Within this learning environment, the pupils should work independently on the topics "mirror-imaged figures" and "the construction of rectangles and squares", with the help of the computer. During this process, hands-on media, traditional drawing instruments and interactive worksheets are available to the pupils. The computer (with its appropriate applications) takes over different functions in this learning process. Testing of this learning environment ("Geolizi") took place in several primary school classes, within the scope of formative and summative evaluation. With the help of questionnaires filled in by the pupils, the usability of the individual elements was tested. Based on a pre-post-investigation design, an attempt has been made to discover possible changes in the attitude of teachers regarding the usage of computers in the teaching of elementary geometry.
The results of this test phase, together with the evaluation of the questionnaires, lead to the founded presumption that usage of the multimedia-based learning environment " Geolizi " could result in greater use of computers in geometry lessons. All in all, the developed learning environment demonstrates an interesting possibility of how to use computers in the teaching of geometry at primary schools, thus making an important contribution to an independent, individualised learning process.
Das Beispiel ist ein hoch komplexer, historisch sich vielfach ausdifferenzierender Begriff, mit dem sich seit der Antike die geisteswissenschaftlichen Disziplinen intensiv auseinandergesetzt haben. Die Orientierung am Besonderen, am Konkreten, am Einzelfall, am Exemplarischen ist eine zentrale menschliche Denkbewegung bei der Erkenntnisgewinnung, der Wissensvermittlung, dem Verstehen und der Verständigung ebenso wie bei der Überzeugung und Glaubhaftmachung. Wie wir aber in unserem ganz gewöhnlichen, alltäglichen Sprechen mit Beispielen umgehen, welche Rolle "das Exemplarische" insbesondere in der verbalen, mündlichen Interaktion spielt, wozu und wie wir Beispiele einsetzen, das ist linguistisch wenig und vor allem nicht systematisch untersucht. Wir nehmen im Alltag immer wieder explizit metasprachlich auf das Beispielgeben Bezug, wenn wir etwa sagen "Gib mir doch mal ein Beispiel" oder "Ich mach mal ein Beispiel". Die Analyse der Gesprächspraxis zeigt zudem, dass die Beispielverwendung kein randständiges, sondern ein sehr häufig zu beobachtendes sprachliches Phänomen in verschiedenen Kommunikationskontexten ist, von dem sich vermuten lässt, dass es gerade für die Alltagskommunikation fundamental ist.
Die vorliegende Arbeit hat deshalb zum Ziel, Beispiele in der Sprachverwendung als eine Form des sprachlichen Handelns fassbar und analysierbar zu machen und die Erscheinungsformen sowie Wirkungs- und Funktionsweisen auf der Grundlage von Transkripten natürlichsprachiger Dialoge empirisch zu untersuchen. Aus der Perspektive verschiedener Disziplinen werden Dimensionen des Beispielbegriffs, des fallbezogenen Denkens und des Argumentierens mit Beispielen betrachtet. Es wird auf die grundlegende Rolle des Beispiels, des Besonderen beim Erkennen und Verstehen des Allgemeinen eingegangen, auf die Beschreibungen der Beispielfunktionen und "Funktionslogiken" auf verschiedenen Ebenen. Ausführlich wird auf die bisherigen Analysen zur Beispielverwendung in der Text- und Gesprächslinguistik eingegangen. Im Kontext der Analyse der Sprachverwendung in der natürlichen Sprache wird das Beispiel allerdings nur selten als eigenes Thema behandelt, das Exemplifizieren / Beispielnennen wird häufig als sprachliche Handlung selbstverständlich vorausgesetzt, jedoch dabei nicht konzeptuell betrachtet. Aufbauend auf die Betrachtung und Bewertung der bisherigen Untersuchungen wird in der vorliegenden Arbeit Beispielverwenden als sprachliche Handlung konzeptualisiert, die im Kern eine Konnexstiftung von Besonderem und Allgemeinem enthält. Dabei werden gesprächsanalytische und hermeneutische Ansätze aus der Handlungssemantik aufeinander bezogen und Möglichkeiten für eine Adaption gezeigt.
Die empirischen Analyse stützt sich auf ein umfangreiches Korpus transkribierter verbaler Interaktionen (Diskussionen, Talkshow, Konfliktgespräch). Die Analyseergebnisse bestehen zum einen aus korpusgestützten Beschreibungen und (für Erweiterungen offenen) Typologisierungen von Realisierungsformen und des "displays" von Beispielverwendung sowie der empirisch gestützten Beschreibung von Handlungs- und Interaktionsmustern der Beispielverwendung im Gespräch und ausführlichen, exemplarischen, funktionsbezogenen Einzelanalysen.
Modern Internet and Intranet techniques, such as Web services and virtualization, facilitate the distributed processing of data providing improved flexibility. The gain in flexibility also incurs disadvantages. Integrated workflows forward and distribute data between departments and across organizations. The data may be affected by privacy laws, contracts, or intellectual property rights. Under such circumstances of flexible cooperations between organizations, accounting for the processing of data and restricting actions performed on the data may be legally and contractually required. In the Internet and Intranet, monitoring mechanisms provide means for observing and auditing the processing of data, while policy languages constitute a mechanism for specifying restrictions and obligations.
In this thesis, we present our contributions to these fields by providing improvements for auditing and restricting the data processing in distributed environments. We define formal qualities of auditing methods used in distributed environments. Based on these qualities, we provide a novel monitoring solution supporting a data-centric view on the distributed data processing. We present a solution for provenance-aware policies and a formal specification of obligations offering a procedure to decide whether obligatory processing steps can be met in the future.
Audiences' movie evaluations have often been explored as effects of experiencing movies. However, little attention has been paid to the evaluative process itself and its determinants before, during, and after movie exposure. Moreover, until recently, research on the subjective assessment of specific film features (e.g., story, photography) has played a less important role. Adding to this research, this dissertation introduces the idea of subjective movie evaluation criteria (SMEC) and describes the scale construction for their measurement and its validation process. Drawing on social cognition theories, SMEC can be defined as standards that viewers use for assessing the features of films and conceptualized as mental representations of - or attitudes towards - specific movie features guiding cognitive and affective information processing of movies and corresponding evaluative responses. Studies were conducted in five phases to develop and validate scales for measuring and examining the structure of SMEC. In Phase I, open-ended data were categorized and content validated via a modified structure formation technique and items were developed. Subsequently in Phase II, participants completed an online questionnaire including revised and pilot-tested items. Exploratory factor analyses were iteratively applied to explore the latent structure and to select items. The resulting 8-factor model was cross-validated with different samples in Phase III applying confirmatory factor analyses which yielded good fit indices, thereby supporting structural validity. In Phase IV, latent state"trait analyses were carried out to examine the reliability, occasion specificity, common consistency, and method specificity of the eight dimensions. All factors - Story Verisimilitude, Story Innovation, Cinematography, Special Effects, Recommendation, Innocuousness, Light-heartedness, and Cognitive Stimulation - are reliable and are largely determined by stable individual differences, albeit some of them also show substantial systematic, but unstable effects due to the situation or interaction. These results provide evidence for the substantive validity of the SMEC scales. Finally, in Phase V the nomological network of SMEC was explored (external validity by examining correlations with related constructs like film genre preferences and personality traits). Taken together, whereas the SMEC concept - compatible with contemporary social cognition theories - provides a framework to theorize and address research questions about the role of movie evaluation criteria and evaluative processes, the SMEC scales are the proper tool for investigating the role of these criteria and the processes they are involved in.
To assess the effect of organic compounds on the aquatic environment, organisms are typically exposed to toxicant solutions and the adverse effects observed are linked to the concentration in the surrounding media. As compounds generally need to be taken up into the organism and distributed to the respective target sites for the induction of effects, the internal exposure is postulated to best represent the observed effects.
The aim of this work is to contribute to an improved effect assessment of organic compounds by describing experimental and modelling methods to obtain information on the internal exposure of contaminants in organisms.
Chapter 2 details a protocol for the determination of bioconcentration parameter for uptake (k1) and elimination (k2) of organic compounds in zebrafish (Danio rerio) eggs. This enables the simulation of the internal exposure in zebrafish eggs from an ambient exposure concentration over time. The accumulated contaminant amount in zebrafish eggs was also determined, using a biomimetic extraction method. Different bioconc-entration estimation models for the determination of internal steady-state concentrat-ion of pharmaceutical compounds in fish to an environmental exposure are presented in Chapter 3. Bioconcentration factors were estimated from the compounds octanol: water partition coefficient (KOW) to determine the internal exposure to an ambient concentration.
To assess the integral bioavailable fraction from the water and sediment phase of environmental contaminants for rooted aquatic plants, the internal exposure in river-living Myriophyllum aquaticum plants were determined over time, presented in Chapter 4. The plants were collected at different time points, with the accumulated organic contaminants determined using a liquid extraction method.
In Chapter 5 a protocol was established to enable the non-invasive observation of effects in M. aquaticum plants exposed to contaminated sediments over time. Since the toxicant effects are a result of all uptake and distribution processes to the target site and the toxico-dynamic process leading to an observed effect during static exposure, information on the internal exposure could thus be gained from the temporal effect expression.rn