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Institute
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During olive oil production, large amounts of olive mill wastewater (OMW) are generated within a short period of time. OMW has a high nutrient content and could serve as fertilizer when applied on land. However, its fatty and phenolic constituents have adverse effects on soil properties. It is still unknown how seasonal fluctuations in temperature and precipitation influence the fate and effect of OMW components on soil properties in a long-term perspective. An appropriate application season could mitigate negative consequences of OMW while preserving its beneficial effects. In order to investigate this, 14 L OMW m-2 were applied to different plots of an olive plantation in winter, spring, and summer respectively. Hydrological soil properties (water drop penetration time, hydraulic conductivity, dynamic contact angle), physicochemical parameters (pH, EC, soluble ions, phenolic compounds, organic matter), and biological degradation (bait-lamina test) were measured to assess the soil state after OMW application. After one rainy season following OMW application, the soil quality of summer treatments significantly decreased compared to the control. This was particularly apparent in a three-times lower biodegradation performance, ten-fold higher soil water repellency, and a four-fold higher content of phenolic compounds. The soil properties of winter treatments were comparable to the control, which demonstrated the recovery potential of the soil ecosystem. Spring treatments resulted in an intermediate response compared to summer and winter treatments, but without any precipitation following OMW application. Significant accumulation or leaching effects to deeper soil were not observed. Therefore, the direct application of legally restricted OMW amounts to soil is considered acceptable during the moist seasons. Further research is needed to quantify the effect of spring treatments and to gain further insight into the composition and kinetics of organic OMW constituents in the soil.
The use of agricultural plastic covers has become common practice for its agronomic benefits such as improving yields and crop quality, managing harvest times better, and increasing pesticide and water use efficiency. However, plastic covers are suspected of partially breaking down into smaller debris and thereby contributing to soil pollution with microplastics. A better understanding of the sources and fate of plastic debris in terrestrial systems has so far been hindered by the lack of adequate analytical techniques for the mass-based and polymer-selective quantification of plastic debris in soil. The aim of this dissertation was thus to assess, develop, and validate thermoanalytical methods for the mass-based quantification of relevant polymers in and around agricultural fields previously covered with fleeces, perforated foils, and plastic mulches. Thermogravimetry/mass spectrometry (TGA/MS) enabled direct plastic analyses of 50 mg of soil without any sample preparation. With polyethylene terephthalate (PET) as a preliminary model, the method limit of detection (LOD) was 0.7 g kg−1. But the missing chromatographic separation complicated the quantification of polymer mixtures. Therefore, a pyrolysis-gas chromatography/mass spectrometry (Py-GC/MS) method was developed that additionally exploited the selective solubility of polymers in specific solvents prior to analysis. By dissolving polyethylene (PE), polypropylene (PP), and polystyrene (PS) in a mixture of 1,2,4-trichlorobenzene and p-xylene after density separation, up to 50 g soil became amenable to routine plastic analysis. Method LODs were 0.7–3.3 mg kg−1, and the recovery of 20 mg kg−1 PE, PP, and PS from a reference loamy sand was 86–105%. In the reference silty clay, however, poor PS recoveries, potentially induced by the additional separation step, suggested a qualitative evaluation of PS. Yet, the new solvent-based Py-GC/MS method enabled a first exploratory screening of plastic-covered soil. It revealed PE, PP, and PS contents above LOD in six of eight fields (6% of all samples). In three fields, PE levels of 3–35 mg kg−1 were associated with the use of 40 μm thin perforated foils. By contrast, 50 μm PE films were not shown to induce plastic levels above LOD. PP and PS contents of 5–19 mg kg−1 were restricted to single observations in four fields and potentially originated from littering. The results suggest that the short-term use of thicker and more durable plastic covers should be preferred to limit plastic emissions and accumulation in soil. By providing mass-based information on the distribution of the three most common plastics in agricultural soil, this work may facilitate comparisons with modeling and effect data and thus contribute to a better risk assessment and regulation of plastics. However, the fate of plastic debris in the terrestrial environment remains incompletely understood and needs to be scrutinized in future, more systematic research. This should include the study of aging processes, the interaction of plastics with other organic and inorganic compounds, and the environmental impact of biodegradable plastics and nanoplastics.
Agricultural plastic covers made from polyethylene (PE) and polypropylene (PP) provide increased yields and an improved crop quality. However, such covers are suspected of partially breaking down into smaller debris and thereby contributing to soil pollution with microplastics. To scrutinize this, we randomly sampled 240 topsoil cores (0–5 cm) from eight fields which were covered with fleeces, perforated foils, and plastic mulches for less than 2 years. Samples from the field periphery (50 m perimeter) served as a reference. Visual plastic debris > 2 mm was analyzed by Fourier transform infrared spectroscopy. Smaller, soil-associated plastic debris was dispersed from 50 g of fine soil (≤ 2 mm) using sodium hexametaphosphate solution and density-separated with saturated NaCl solution. The collected PE, PP, and polystyrene (PS) debris was selectively dissolved in a mixture of 1,2,4-trichlorobenzene and p-xylene at 150 °C and quantified by pyrolysis–gas chromatography–mass spectrometry (Py-GC/MS). We counted six PE and PS fragments > 2 mm in two out of eight fields. By contrast, Py-GC/MS detected PE, PP, and PS contents in the fine soil of six fields (6 % of all samples). In three fields, PE levels of 3–35 mg kg−1 were potentially associated with the use of thinner and less durable perforated foils (40 µm thickness). This was slightly more pronounced at field edges where the plastic covers are turned and weighed down. By contrast, 50 µm thick PE films were not shown to emit any plastic debris. PP contents of 5–10 mg kg−1 were restricted to single observations in the field centers of three sites. At one site, we found expanded PS particles > 2 mm that concurred with elevated PS levels (8–19 mg kg−1) in the fine soil. Both PP and PS were distributed indistinctly across sites so that their source remained unresolved. In addition, the extent to which plastic contents of up to 7 mg kg−1 in the field periphery of some sites were attributed to wind drift from the covered fields or from external sources needs to be investigated in future studies. Our results suggest that the short-term use of thicker and more durable plastic covers should be preferred over thinner or perforated films to limit plastic emissions and accumulation in soil.
Background. Agricultural plastic mulches offer great benefits such as higher yields and lower pesticide use. Yet, plastic mulches may disintegrate over time and fragment into smaller debris. Such plastic debris is expected to remain in the field after removal of the plastic mulch and thus contributes to soil contamination with plastics.
Method. To investigate this, we collected soil samples at 0–10 cm and 10–40 cm depth from three fields covered with black mulch film for three consecutive years. Three fields without any reported plastic use served as control. Visual plastic debris > 1 cm (macroplastics) was collected from the soil surface. Mesoplastics between 2 mm and 1 cm were density separated from the sampled soil using saturated NaCl solution and analyzed by Fourier-transform infrared spectroscopy. Debris ≤ 2 mm (microplastics) was dispersed from 50 g soil using sodium hexametaphosphate solution followed by the aforementioned density separation. The separated polyethylene (PE), polypropylene (PP), and polystyrene (PS) were quantified via solvent-based pyrolysis–gas chromatography/mass spectrometry (Py–GC/MS).
Results. With 89–206 fragments ha−1, the majority of macroplastics were located in fields previously covered with mulch films. 80% of the collected specimen were identified as black PE film. The number of mesoplastics in plastic-mulched soil was 2.3 particles kg−1, while only 1.0 particles kg−1 were found in the reference fields. Py–GC/MS revealed microplastic levels of up to 13 mg kg−1. The PE content was significantly higher in plastic-mulched fields than in reference fields.
Discussion. Although the identified plastic levels are lower than those reported in comparable studies, our results still suggest that plastic mulching functions as a source of plastic debris in agricultural systems. Due to its severely restricted degradability, these plastics are likely to accumulate in soil in the long term and further fragment into smaller and smaller debris.
Der Apple ][ war einer der drei ersten kompletten Computersysteme auf dem Markt. Von April 1977 an wurde er rund 16 Jahre lang mehrere Millionen mal verkauft. Entwickelt wurde dieser 8 Bit Homecomputer von Steve Wozniak und Steve Jobs. Sie ebneten damit den Weg für den Macintosh und das heute gut bekannte Unternehmen Apple.
Diese Arbeit beschreibt die Implementierung eines Softwareemulators für das komplette Apple ][ Computersystem auf nur einem Atmel AVR Microcontroller. Die größte Herausforderung besteht darin, dass der Microcontroller nur eine geringfügig höhere Taktrate als die zu emulierende Hardware hat. Dies erfordert eine effiziente Emulation der CPU und Speicherverwaltung, die nachfolgend zusammen mit der Laufzeitumgebung für die Emulation vorgestellt wird. Weiterhin wird die Umsetzung des Emulators mit Display und Tastatur in Hardware naher erläutert.
Mit dieser Arbeit wird die erfolgreiche Entwicklung eines portablen Apple ][ Emulators, von der Software über die Hardware bis hin zu einem Prototypen, vorgestellt.
Graphs are known to be a good representation of structured data. TGraphs, which are typed, attributed, ordered, and directed graphs, are a very general kind of graphs that can be used for many domains. The Java Graph Laboratory (JGraLab) provides an efficient implementation of TGraphs with all their properties. JGraLab ships with many features, including a query language (GReQL2) for extracting data from a graph. However, it lacks a generic library for important common graph algorithms. This mid-study thesis extends JGraLab with a generic algorithm library called Algolib, which provides a generic and extensible implementation of several important common graph algorithms. The major aspects of this work are the generic nature of Algolib, its extensibility, and the methods of software engineering that were used for achieving both. Algolib is designed to be extensible in two ways. Existing algorithms can be extended for solving specialized problems and further algorithms can be easily added to the library.
The belief in a just world in face of injustice: victim, observer, and perpetrator perspectives
(2021)
Injustice happens every day either to us, to our neighbors, or people across the world. Yet, believing that the world is a fair place helps us to cope with this injustice and motivates us to behave fairly. Scholars have found that these functions that the belief in a just world (BJW) serves are crucial for maintaining mental health. However, the conditions under which BJW is functional and when people give up this belief are not well studied. The current dissertation aims to examine: when the BJW can be shattered, the role of the external world and other internal resources in face of injustice, and the role of BJW in predicting corrupt behavior. Three studies were conducted corresponding to each party of injustice: a victim, an observer, and a perpetrator.
Study 1 examined the effects of criminal victimization on BJW and buffering role of perceptions of justice in the criminal justice process. A cross-sectional study showed that victims of very severe crimes such as domestic violence and human trafficking had lower personal BJW than non-victims and victims of less severe crimes, and higher informational justice perceptions reduced the effect of victimization on the personal BJW. Study 2 aimed to test the changes in BJW after observing severe injustice. A longitudinal study showed that after observing school rampage attacks that happened at other schools, BJW of adolescent participants increased. Moreover, life satisfaction and perceived social support moderated the change of BJW. Study 3 examined relationships between BJW and corrupt behavior. A cross-sectional study showed that personal BJW can predict bribery behavior.
The findings of three studies provided evidence that BJW does not function in isolation. An external world and internal resources can reduce the threat of injustice on BJW. BJW plays an important role in predicting unfair behavior therefore authorities should aim to maintain the BJW of their citizens.
This thesis focuses on approximate inference in assumption-based argumentation frameworks. Argumentation provides a significant idea in the computerization of theoretical and practical reasoning in AI. And it has a close connection with AI, engaging in arguments to perform scientific reasoning. The fundamental approach in this field is abstract argumentation frameworks developed by Dung. Assumption-based argumentation can be regarded as an instance of abstract argumentation with structured arguments. When facing a large scale of data, a challenge of reasoning in assumption-based argumentation is how to construct arguments and resolve attacks over a given claim with minimal cost of computation and acceptable accuracy at the same time. This thesis proposes and investigates approximate methods that randomly select and construct samples of frameworks based on graphical dispute derivations to solve this problem. The presented approach aims to improve reasoning performance and get an acceptable trade-off between computational time and accuracy. The evaluation shows that for reasoning in assumption-based argumentation, in general, the running time is reduced with the cost of slightly low accuracy by randomly sampling and constructing inference rules for potential arguments over a query.
Geographic cluster based routing in ad-hoc wireless sensor networks is a current field of research. Various algorithms to route in wireless ad-hoc networks based on position information already exist. Among them algorithms that use the traditional beaconing approach as well as algorithms that work beaconless (no information about the environment is required besides the own position and the destination). Geographic cluster based routing with guaranteed message delivery can be carried out on overlay graphs as well. Until now the required planar overlay graphs are not being constructed reactively.
This thesis proposes a reactive algorithm, the Beaconless Cluster Based Planarization (BCBP) algorithm, which constructs a planar overlay graph and noticeably reduces the number of messages required for that. Based on an algorithm for cluster based planarization it beaconlessly constructs a planar overlay graph in an unit disk graph (UDG). An UDG is a model for a wireless network in which every participant has the same sending radius. Evaluation of the algorithm shows it to be more efficient than the non beaconless variant. Another result of this thesis is the Beaconless LLRAP (BLLRAP) algorithm, for which planarity but not continued connectivity could be proven.
Statistical eco(-toxico)logy
(2017)
Freshwaters are of immense importance for human well-being.
Nevertheless, they are currently facing unprecedented levels of threat from habitat loss and degradation, overexploitation, invasive species and
pollution.
To prevent risks to aquatic ecosystems, chemical substances, like agricultural pesticides, have to pass environmental risk assessment (ERA) before entering the market.
Concurrently, large-scale environmental monitoring is used for surveillance of biological and chemical conditions in freshwaters.
This thesis examines statistical methods currently used in ERA.
Moreover, it presents a national-scale compilation of chemical monitoring data, an analysis of drivers and dynamics of chemical pollution in streams and, provides a large-scale risk assessment by combination with results from ERA.
Additionally, software tools have been developed to integrate different datasets used in ERA.
The thesis starts with a brief introduction to ERA and environmental monitoring and gives an overview of the objectives of the thesis.
Chapter 2 addresses experimental setups and their statistical analyses using simulations.
The results show that current designs exhibit unacceptably low statistical power, that statistical methods chosen to fit the type of data provide higher power and that statistical practices in ERA need to be revised.
In chapter 3 we compiled all available pesticide monitoring data from Germany.
Hereby, we focused on small streams, similar to those considered in ERA and used threshold concentrations derived during ERA for a large-scale assessment of threats to freshwaters from pesticides.
This compilation resulted in the most comprehensive dataset on pesticide exposure currently available for Germany.
Using state-of-the-art statistical techniques, that explicitly take the limits of quantification into account, we demonstrate that 25% of small streams are at threat from pesticides.
In particular neonicotinoid pesticides are responsible for these threats.
These are associated with agricultural intensity and can be detected even at low levels of agricultural use.
Moreover, our results indicated that current monitoring underestimates pesticide risks, because of a sampling decoupled from precipitation events.
Additionally, we provide a first large-scale study of annual pesticide exposure dynamics.
Chapters 4 and 5 describe software solutions to simplify and accelerate the integration of data from ERA, environmental monitoring and ecotoxicology that is indispensable for the development of landscape-level risk assessment.
Overall, this thesis contributes to the emerging discipline of statistical ecotoxicology and shows that pesticides pose a large-scale threat to small streams.
Environmental monitoring can provide a post-authorisation feedback to ERA.
However, to protect freshwater ecosystems ERA and environmental monitoring need to be further refined and we provide software solutions to utilise existing data for this purpose.
The output of eye tracking Web usability studies can be visualized to the analysts as screenshots of the Web pages with their gaze data. However, the screenshot visualizations are found to be corrupted whenever there are recorded fixations on fixed Web page elements on different scroll positions. The gaze data are not gathered on their fixated fixed elements; rather they are scattered on their recorded scroll positions. This problem has raised our attention to find an approach to link gaze data to their intended fixed elements and gather them in one position on the screenshot. The approach builds upon the concept of creating the screenshot during the recording session, where images of the viewport are captured on visited scroll positions and lastly stitched into one Web page screenshot. Additionally, the fixed elements in the Web page are identified and linked to their fixations. For the evaluation, we compared the interpretation of our enhanced screenshot against the video visualization, which overcomes the problem. The results revealed that both visualizations equally deliver accurate interpretations. However, interpreting the visualizations of eye tracking Web usability studies using the enhanced screenshots outperforms the video visualizations in terms of speed and it requires less temporal demands from the interpreters.
The global problematic issue of the olive oil industry is in its generation of large amounts of olive mill wastewater (OMW). The direct discharge of OMW to the soil is very common which presents environmental problems for olive oil producing countries. Both, positive as well as negative effects on soil have been found in earlier studies. Therefore, the current study hypothesized that whether beneficial effects or negative effects dominate depends on the prevailing conditions before and after OMW discharge to soil. As such, a better understanding of the OMW-soil interaction mechanisms becomes essential for sustainable safe disposal of OMW on soil and sustainable soil quality.
A field experiment was carried out in an olive orchard in Palestine, over a period of 24 months, in which the OMW was applied to the soil as a single application of 14 L m-2 under four different environmental conditions: in winter (WI), spring (SP), and summer with and without irrigation (SUmoist and SUdry). The current study investigated the effects of seasonal conditions on the olive mill wastewater (OMW) soil interaction in the short-term and the long-term. The degree and persistence of soil salinization, acidification, accumulation of phenolic compounds and soil water repellency were investigated as a function of soil depth and time elapsed after the OMW application. Moreover, the OMW impacts on soil organic matter SOM quality and quantity, total organic carbon (SOC), water-extractable soil organic carbon (DOC), as well as specific ultraviolet absorbance analysis (SUVA254) were also investigated for each seasonal application in order to assess the degree of OMW-OM decomposition or accumulation in soil, and therefore, the persisting effects of OMW disposal to soil.
The results of the current study demonstrate that the degree and persistence of relevant effects due to OMW application on soil varied significantly between the different seasonal OMW applications both in the short-term and the long-term. The negative effects of the potentially hazardous OMW residuals in the soil were highly dependent on the dominant transport mechanisms and transformation mechanisms, triggered by the ambient soil moisture and temperature which either intensified or diminished negative effects of OMW in the soil during and after the application season. The negative effects of OMW disposal to the soil decreased by increasing the retention time of OMW in soil under conditions favoring biological activity. The moderate conditions of soil moisture and temperature allowed for a considerable amount of applied OMW to be biologically degraded, while the prolonged application time under dry conditions and high temperature resulted in a less degradable organic fraction of the OMW, causing the OMW constituents to accumulate and polymerize without being degraded. Further, the rainfall during winter season diminished negative effects of OMW in the soil; therefore, the risk of groundwater contamination by non-degraded constituents of OMW can be highly probable during the winter season.
Agricultural pesticides, especially insecticides, are an integral part of modern farming. However, these may often leave their target ecosystems and cause adverse effects in non- target, especially freshwater ecosystems, leading to their deterioration. In this thesis, the focus will be on Insect Growth Regulators (IGRs) that can in many ways cause disruption of the endocrine system of invertebrates. Freshwater invertebrates play important ecological, economic and medical roles, and disruption of their endocrine systems may be crucial, considering the important role hormones play in the developmental and reproductive processes in organisms. Although Endocrine Disruption Chemicals (EDCs) can affect moulting, behaviour, morphology, sexual maturity, time to first brood, egg development time, brood size (fecundity), and sex determination in invertebrates, there is currently no agreement upon how to characterize and assess endocrine disruption (ED). Current traditional ecotoxicity tests for Ecological Risk Assessment (ERA) show limitations on generating data at the population level that may be relevant for the assessment of EDCs, which effects may be sublethal, latent and persist for several generations of species (transgenerational).
It is therefore the primary objective of this thesis to use a test method to investigate adverse effects of EDCs on endpoints concerning development and reproduction in freshwater invertebrates. The full life-cycle test over two generations that includes all sensitive life stages of C. riparius (a sexual reproductive organism) allows an assessment of its reproduction and should be suitable for the investigation of long-term toxicity of EDCs in freshwater invertebrates. C. riparius is appropriate for this purpose because of its short life cycle that enables the assessment of functional endpoints of the organism over several generations. Moreover, the chironomid life cycle consists of a complete metamorphosis controlled by a well-known endocrine mechanism and the endocrine system of insects has been most investigated in great detail among invertebrates. Hence, the full life-cycle test with C. riparius provides an approach to assess functional endpoints (e.g. reproduction, sex ratio) that are population-relevant as a useful amendment to the ERA of EDCs. In the laboratory, C. riparius was exposed to environmentally-relevant concentrations of the selected IGRs in either spiked water or spiked sediment scenario over two subsequent generations.
The results reported in this thesis revealed significant effects of the IGRs on the development and the reproduction of C. riparius with the second (F1) generation showing greater sensitivity. These findings indicated for the first time the suitability of multigenerational testing for various groups of EDCs and strongly suggested considering the full life-cycle of C. riparius as an appropriate test method for a better assessment of EDCs in the freshwater environment. In conclusion, this thesis helps to detect additional information that can be extrapolated at population level and, thus, might contribute to better protection of freshwater ecosystems against the risks of Endocrine Disrupting Chemicals (EDCs.) It may furthermore contribute to changes in the ERA process that are necessary for a real implementation of the new European chemical legislation, REACH (Registration, Evaluation Authorization and Restriction of Chemicals). Finally, significant interactions between temperature, chemical exposure and generation were reported for the first time and, may help predict impacts that may occur in the future, in the field, under predicted climate change scenarios.
Estuaries are characterized by a longitudinal salinity gradient. This gradient is one of the main environmental factors responsible for the distribution of organisms. Distinguishing salinity zones is of crucial importance, e.g., for the development of tools for the assessment of ecological quality. The methods most often applied for classifying water according to salinity are the Venice System and the method of Bulger et al. (1993), both of which determine zone boundaries using species occurrences relative to mean salinity. However, although these methods were developed for homoiohaline waters, they have also been routinely applied to poikilohaline systems. I tested the applicability of both methods using salinity and macroinvertebrate data for the poikilohaline Elbe Estuary (Germany). My results showed that the mid-estuary distribution of macro-invertebrates is determined by variation in salinity rather than by mean salinity. Consequently, neither of the two methods is applicable for defining salinity zones in the Elbe Estuary. Cluster analysis combined with a significance test, by contrast, was a better tool for identifying the boundaries of salinity zones in poikilohaline systems.
In many estuaries, such as the Elbe Estuary, a maximum turbidity zone (MTZ) develops, where suspended matter accumulates owing to circulation processes. It is assumed that the MTZ is a stressful environment with an excess of organic matter, high deposition rates, large variations in salinity, and dredging activities. Under such harsh conditions, populations might remain below the carrying capacity, and it is assumed that competition is of little importance, as predicted by the stress gradient hypothesis. I tested whether competition for food is important in the MTZ of the Elbe Estuary using stable isotope analysis of the macroinvertebrate community. The isotopic niches of no two taxa within a feeding group overlapped, which indicated different resource use and the absence of competition. The main reasons for the lack of overlap of isotopic niches were differences in habitat, feeding behavior, and migration behavior.
The Elbe Estuary is nowadays highly industrialized and has long been subjected to a plethora of human-caused alterations. However, it is largely unknown what changes occurred in benthic communities in the last century. Hence, I considered taxonomic and functional aspects of macrobenthic invertebrates of the Elbe Estuary given in data from 1889 (most natural state), 1985 and 1986 (highly polluted state), and 2006 (recent state) to assess benthic community shifts. Beta-diversity analysis showed that taxonomic differences between the sampling dates were mainly due to species turnover, whereas functional differences were predominantly a result of functional nestedness. Species number (S), functional richness (FRic), and functional redundancy reached minimum values in 1985 and 1986 and were highest and rather similar in 1889 and 2006. The decline in FRic from 1889 to 1985/1986 was non-random, consistent with habitat filtering. FRic, functional beta diversity, and S data suggested that the state of the estuary from 1889 was almost re-established in 2006. However, the community in 1889 significantly differed from that in 2006 owing to species replacement. My results indicate that FRic and FR in 1889 could have promoted ecosystem resilience and stability.
Current political issues are often reflected in social media discussions, gathering politicians and voters on common platforms. As these can affect the public perception of politics, the inner dynamics and backgrounds of such debates are of great scientific interest. This thesis takes user generated messages from an up-to-date dataset of considerable relevance as Time Series, and applies a topic-based analysis of inspiration and agenda setting to it. The Institute for Web Science and Technologies of the University Koblenz-Landau has collected Twitter data generated beforehand by candidates of the European Parliament Election 2019. This work processes and analyzes the dataset for various properties, while focusing on the influence of politicians and media on online debates. An algorithm to cluster tweets into topical threads is introduced. Subsequently, Sequential Association Rules are mined, yielding wide array of potential influence relations between both actors and topics. The elaborated methodology can be configured with different parameters and is extensible in functionality and scope of application.
In Silico simulation of biological systems is an important sub area of computational biology (system biology), and becomes more and more an inherent part for research. Therefore, different kinds of software tools are required. At present, a multitude of tools for several areas exists, but the problem is that most of the tools are essentially application specific and cannot be combined. For instance, a software tool for the simulation of biochemical processes is not able to interact with tools for the morphology simulation and vice versa. In order to obtain realistic results with computer-aided simulations it is important to regard the biological system in its entirety. The objective is to develop a software framework, which provides an interface structure to combine existing simulation tools, and to offer an interaction between all affiliated systems. Consequently, it is possible to re-use existing models and simulation programs. Additionally, dependencies between those can be defined. The system is designed to interoperate as an extendable architecture for various tools. The thesis shows the usability and applicability of the software and discusses potential improvements.
Population genetic structure in European Hyalodaphnia species: Monopolization versus gene flow
(2012)
Cyclic parthenogens displays an alternation of asexual and sexual reproduction which has consequences for the genetic structure of these organisms. The clonal diversity of cyclic parthenogenetic zooplankton populations is influenced by the size of the dormant egg bank, i.e., the amount of sexually produced dormant eggs that assembled in the sediment, as these dormant eggs contribute new genetic variants to the populations. Further, the clonal diversity is impacted by clonal erosion over time, which reduces the number of different clones through stochastic and selective processes. Although freshwater invertebrates are good dispersers through their dormant stages, the influence of gene flow is assumed to be negligible, as the local population successfully monopolizes the available resources. As these populations reach carrying capacity fast due to the asexual reproduction, the first colonizing individuals are able to successfully establish in the habitat, resulting in a priority effect which hinders the invasion of new genotypes. Due to clonal selection and sexual reproduction a population will locally adapt over time and will establish a dormant egg bank which facilitates the fast re-colonization after a hostile period. This thesis evaluates the processes altering the population genetic structure of cyclic parthenogenetic zooplankton with a special focus on the concepts of monopolization as well as the counteracting effects of gene flow, using large-lake Daphnia species. Thirty-two variable microsatellite DNA markers were developed and a subset of twelve markers was evaluated regarding their suitability for species assignment and hybrid class detection. With this marker set and an additional mitochondrial DNA marker forty-four natural European populations of the species D. cucullata, D. galeata and D. longispina were studied. In D. galeata, most populations were characterized by low clonal diversities which suggest high influence from clonal erosion over the growing season and a low contribution from the dormant egg bank. Further, recent expansions as well as gene flow were detected, probably caused by the anthropogenic alteration of freshwater habitats, in particular eutrophication of many European lakes. D. longispina and D. cucullata revealed a different genetic structure compared to D. galeata, with high genetic differentiation among populations. This indicates low levels of effective gene flow which is in line with the predictions of monopolization. Further, high clonal diversities were found in populations of the two taxa, suggesting a high contribution from the dormant egg bank while clonal erosion was often not detectable. In D. longispina, mitochondrial data revealed an ancient expansion which was probably initiated by the formation of glacial lakes after the last ice age.
In addition, in D. longispina not only clonal diversity but also genetic diversity was high, indicating that during the build-up of the studied populations the influence from gene flow was probably high. To better understand the processes that act on early populations the population build-up in regard to the temporal advantage of clones during invasion succession was experimentally studied and revealed that priority effects shape population structure of Daphnia species. However, in certain cases the highly superior clones resulted in the extinction of inferior clones independent of the temporal advantage the single clones had.
This clearly shows that not only the time of succession is important but also the competitive strength. rnIn conclusion, the results obtained show that the population genetic structure in cyclic parthenogenetic zooplankton species is impacted by various processes. In addition to earlier studies, which mainly focus on local adaptation, clonal erosion and the size of the dormant egg bank to understand population genetic structure, this thesis could show that gene flow may be effective as well. During population build-up the advantage of early arriving individuals does not necessarily predict the outcome of population assembly, as additional genotypes may contribute to the population. Finally, the genetic structure of established populations may be severely impacted by effective gene flow, if severe environmental changes alter the habitat of the locally adapted population.
Particle swarm optimization is an optimization technique based on simulation of the social behavior of swarms.
The goal of this thesis is to solve 6DOF local pose estimation using a modified particle swarm technique introduced by Khan et al. in 2010. Local pose estimation is achieved by using continuous depth and color data from a RGB-D sensor. Datasets are aquired from different camera poses and registered into a common model. Accuracy and computation time of the implementation is compared to state of the art algorithms and evaluated in different configurations.
This habilitation thesis collects works addressing several challenges on handling uncertainty and inconsistency in knowledge representation. In particular, this thesis contains works which introduce quantitative uncertainty based on probability theory into abstract argumentation frameworks. The formal semantics of this extension is investigated and its application for strategic argumentation in agent dialogues is discussed. Moreover, both the computational as well as the meaningfulness of approaches to analyze inconsistencies, both in classical logics as well as logics for uncertain reasoning is investigated. Finally, this thesis addresses the implementation challenges for various kinds of knowledge representation formalisms employing any notion of inconsistency tolerance or uncertainty.
This thesis connects the endeavors of the winemaker’s intention in perfect and profitable wine making with an innovative technological application to use Internet of Things. Thereby the winemaker’s work may be supported and enriched – and enables until recent years still unthinkable optimization of managing and planning of his business, including close state control of different areas of his vineyard, and more than that, not ending up with the single grapevine. It is exemplarily shown in this thesis how to measure, transmit, store and make data available, exemplarily demonstrated with “live” temperature, air and soil humidity values from the vineyard. A modular architecture was designed for the system presented, which allows the use of current sensors, and similar low-voltage sensors, which will be developed in the future.
By using IoT devices in the vineyard, the winemaker advances to a new quality of precision of forecasted data, starting from live data of his vineyard. Of more and more importance, the winemaker can start immediate action, when unforeseen heavy weather conditions occur. Immediate use of current data enabled by a Cloud Infrastructure. For this system, an open service infrastructure is employed. In contrast to other published commercial approaches, the described solution is based on open source.
As an alone-standing part of this work, a physical prototype for measuring relevant parameters in the vineyard was de-novo designed and developed until fulfilling the set of specifications. The outlined features and requirements for a functioning data collection and autonomously transmitting device was developed, described, and the fulfilment by the prototype device were demonstrated. Through literature research and supportive orientationally live interviews of winemakers, the theory and the practical application were synchronized and qualified.
For the development of the prototype the general principles of development of an electronic device were followed, in particular the Design Science Research development rules, and principles of Quality Function Deployment. As a characteristic of the prototype, some principles like re-use of approved construction and material price of the building blocks of the device were taken into consideration as well (e.g. housing; Arduino; PCB). Parts reduction principles, decomplexation and simplified assembly, testing and field service were integrated to the development process by the modular design of the functional vineyard device components, e.g. with partial reference to innovative electrical cabinet construction system Modular-3.
The software architectural concept is based on a three-layer architecture inclusive the TTN infrastructure. The front end is realized as a rich web client, using a WordPress plugin. WordPress was chosen due to the wide adoption through the whole internet, enabling fast and easy user familiarization. Relevant quality issues have been tested and discussed in the view of exemplary functionality, extensibility, requirements fulfilment, as usability and durability of the device and the software.
The prototype was characterized and tested with success in the laboratory and in field exposition under different conditions, in order to allow a measurement and analysis of the fulfilment of all requirements by the selected and realized electronic construction and layout.
The solution presented may serve as a basis for future development and application in this special showcase and within similar technologies. A prognosis of future work and applications concludes this work.
Although most plastic pollution originates on land, current research largely remains focused on aquatic ecosystems. Studies pioneering terrestrial microplastic research have adapted analytical methods from aquatic research without acknowledging the complex nature of soil. Meanwhile, novel methods have been developed and further refined. However, methodical inconsistencies still challenge a comprehensive understanding of microplastic occurrence and fate in and on soil. This review aims to disentangle the variety of state-of-the-art sample preparation techniques for heterogeneous solid matrices to identify and discuss best-practice methods for soil-focused microplastic analyses. We show that soil sampling, homogenization, and aggregate dispersion are often neglected or incompletely documented. Microplastic preconcentration is typically performed by separating inorganic soil constituents with high-density salt solutions. Not yet standardized but currently most used separation setups involve overflowing beakers to retrieve supernatant plastics, although closed-design separation funnels probably reduce the risk of contamination. Fenton reagent may be particularly useful to digest soil organic matter if suspected to interfere with subsequent microplastic quantification. A promising new approach is extraction of target polymers with organic solvents. However, insufficiently characterized soils still impede an informed decision on optimal sample preparation. Further research and method development thus requires thorough validation and quality control with well-characterized matrices to enable robust routine analyses for terrestrial microplastics.
In an attempt to put pronunciation training back in the limelight and to engage in a fruitful discussion on pronunciation- equal importance with other language skills, the current research project focuses on pronunciation. Specifically, one area that causes problems for L1-German speakers is concentrated on, namely the central approximant. German learners should not despair too much as even many native-English children stumble with /r/. For some, acquiring this sound takes a long time and even some professional help (see Secord 2007: 7-8). One problem that these children have is the substitution of /r/ with /w/. "Children with developmental speech substitution," write Raphael et al., "often produce the more easily articulated (…) /w/ for /r/" (2011: 119). Most native-English children require a long time to acquire this sound. According to Bleile, /r/ belongs to the last stage (i.e. stage 4) of a child- language development (see Bleile 2004: 106). This final stage can range from five years of age to adolescence. One of the greatest difficulties, for instance, occurs with postvocalic /r/ (or "[r] colored schwa") and consonant clusters with /r/ (see Bleile 2004: 106).
It is important at this juncture to direct attention to the organization of the current research project and how it addresses the /r/-problem. At the start of the current study, an appropriate and concise definition of the /r/-sound is proposed. While it can be easily stated that the letter <r> is the 18th letter in the English alphabet, it is much more arduous to define what is meant by the /r/-sound. In chapter 2, a number of definitions of /r/ are explored. Section 2.1 presents an articulatory description and section 2.2 offers an acoustic description. A theoretical definition is provided in section 2.3. By exploring the distinguishing features of the /r/-sound, it can be distinguished from other sounds. From these three perspectives, a more encompassing view of the complicated English /r/-sound can be obtained.
In chapter 3, three hypotheses are presented. The first two are the main hypotheses for the current study. There is also a third (minor) hypothesis and it is an offshoot from some of the research findings from the first hypothesis. In section 3.1.1, hypothesis 1 (H1) investigates the frequency of the problem that L1-German speakers have when speaking the American English /r/-sound aloud when it is postvocalic and in a weakened syllable. Hypothesis 2 (H2) is put forward in section 3.1.2. It explores the frequency of /w/-substitution for /r/ when the latter sound is prevocalic in a stressed syllable. For the final and third hypothesis (H3), one specific occassion where L1 interference occurs (i.e. /ɐ/ for /ə/) is researched in section 3.1.3.
Some organizational details concerning the study are also included in the third chapter. The general set-up of the study is provided in section 3.2.1. Information pertaining to both the disqualified participants of the study as well as the 50 test subjects who were selected for the study is available in section 3.2.1.2. Details on technical equipment and software programs are disclosed in sections 3.2.1.1 and 3.2.1.3. The prescribed reading texts that the test subjects needed to read aloud are presented in the subsections of section 3.2.2.
For a better understanding of the acoustic properties of the prevocalic /r/-sound, five expressions from the reading text are selected. In section 3.3, the expressions are also articulated by the author (a native speaker of a variety of English from North America) in four different scenarios. The scenarios try to illustrate a limited number of possible articulatory variations. The author utters the expressions in four different ways: 1.) with lip spreading, 2.) in isolation, 3.) in connected speech and 4.) with /w/-substitution for /r/. These articulations serve as a template for understanding how the acoustic features of /r/ changes. Some of these changes are noticeable in the articulations of the test subjects (presented in chapter 4).
In chapter 4, the data collected for the three hypotheses are presented. For H1, section 4.1 and its subsections document the formant readings of a number of English expressions which contain the postvocalic /r/. In this analysis, it is important to detect where the central approximant is elided. In cases of elision, the samples have their schwa-like sounds plotted in a vowel quadrilateral, so that their locations can be detected. In section 4.2 and its subsections, data observations for H2 are discussed. From these data, the extent of /w/-substitution for /r/ when it is prevocalic in a stressed syllable can be observed. In section 4.3, an analysis of the /ɐ/-sound from three German expressions as they are spoken by the 50 test subjects is presented for H3. Together with pertinent data (i.e. formant readings) from H1, a comparison is made between the locations of /ə/ and /ɐ/. This section concludes with a plotting of all samples of these two vowels in a vowel chart.
In the final chapter of the current study, the main findings of the three hypotheses are summarized. Chapter 5 also provides some insights into a few of the gaps or limitations in the present research. Future research endeavors are proposed in order to suggest possible avenues to advance the findings reported on in the fourth chapter. In addition, several teaching suggestions and pronunciation exercises for implementing the /r/-sound in class are presented.
Lastly, there is an appendix section that consists of 14 smaller appendices (i.e Volume 2). The spectrograms and formant readings for each expression spoken by each of the 50 test subjects are documented in Appendix A to M. In Appendix N, some charts, tables, diagrams, etc. that are discussed throughout the following chapters are made available. Copies of the original questionnaire that were filled out by the test subjects are also in Appendix N.
Initial goal of the current dissertation was the determination of image-based biomarkers sensitive for neurodegenerative processes in the human brain. One such process is the demyelination of neural cells characteristic for Multiple sclerosis (MS) - the most common neurological disease in young adults for which there is no cure yet. Conventional MRI techniques are very effective in localizing areas of brain tissue damage and are thus a reliable tool for the initial MS diagnosis. However, a mismatch between the clinical fndings and the visualized areas of damage is observed, which renders the use of the standard MRI diffcult for the objective disease monitoring and therapy evaluation. To address this problem, a novel algorithm for the fast mapping of myelin water content using standard multiecho gradient echo acquisitions of the human brain is developed in the current work. The method extents a previously published approach for the simultaneous measurement of brain T1, T∗ 2 and total water content. Employing the multiexponential T∗ 2 decay signal of myelinated tissue, myelin water content is measured based on the quantifcation of two water pools (myelin water and rest) with different relaxation times. Whole brain in vivo myelin water content maps are acquired in 10 healthy controls and one subject with MS. The in vivo results obtained are consistent with previous reports. The acquired quantitative data have a high potential in the context of MS. However, the parameters estimated in a multiparametric acquisition are correlated and constitute therefore an ill-posed, nontrivial data analysis problem. Motivated by this specific problem, a new data clustering approach is developed called Nuclear Potential Clustering, NPC. It is suitable for the explorative analysis of arbitrary dimensional and possibly correlated data without a priori assumptions about its structure. The developed algorithm is based on a concept adapted from nuclear physics. To partition the data, the dynamic behavior of electrically even charged nucleons interacting in a d-dimensional feature space is modeled. An adaptive nuclear potential, comprised of a short-range attractive (Strong interaction) and a long-range repulsive term (Coulomb potential), is assigned to each data point. Thus, nucleons that are densely distributed in space fuse to build nuclei (clusters), whereas single point clusters are repelled (noise). The algorithm is optimized and tested in an extensive study with a series of synthetic datasets as well as the Iris data. The results show that it can robustly identify clusters even when complex configurations and noise are present. Finally, to address the initial goal, quantitative MRI data of 42 patients are analyzed employing NPC. A series of experiments with different sets of image-based features show a consistent grouping tendency: younger patients with low disease grade are recognized as cohesive clusters, while those of higher age and impairment are recognized as outliers. This allows for the definition of a reference region in a feature space associated with phenotypic data. Tracking of the individual's positions therein can disclose patients at risk and be employed for therapy evaluation.
Social entrepreneurship is a form of entrepreneurship that marries a social mission to a competitive value proposition. Notably, social entrepreneurship fosters a more equitable society by addressing social issues and trying to achieve an ongoing sustainable impact through a social mission rather than purely profit maximization. The topic of social entrepreneurship has appealed considerably to many different streams of research. The focus on understanding how and why entrepreneurs think and act is a significant justification for future research. Nevertheless, the theoretical examination of this phenomenon is in its infancy. Social entrepreneurship research is still largely phenomenon-driven. Specifically, Social Entrepreneurial Intention is in an early stage and lacks quantitative research. Therefore, this thesis proposes to address this need. The thesis’ objectives are twofold: (1) develop a formation model for Social Entrepreneurial Intentions in general and (2) test the model by conducting an empirical study. Based on these objectives, the two research questions guiding the thesis are (1) what factors influence the intention of a person to become a social entrepreneur and (2) what relationships exist among these factors.
In order to answer these two research questions, this thesis uses purposeful research design, which is a combination of literature review and empirical study. The literature review is based on a comprehensive range of books, articles, and research papers published in leading academic journals and conference proceedings in different disciplines such as entrepreneurship, social entrepreneurship, entrepreneurship education, management, social psychology, and social economics. The empirical study is conducted via a survey of 600 last-year students from four universities in three regions in Vietnam: Hanoi, Da Nang, and Ho Chi Minh. The data are analyzed with SPSS-AMOS version 24, using screening data, scale development, exploratory factor analysis, and confirmation factor analysis. The thesis ascertains that Entrepreneurship Experience/Extra-curricular Activity, Role Model, Social Entrepreneurial Self-Efficacy, and Social Entrepreneurial Outcome Expectation directly and positively affect the intention of the Vietnamese students to be social entrepreneurs. Entrepreneurship Education also influences the Social Entrepreneurial Intention, but not directly, otherwise indirectly via Social Entrepreneurial Self-Efficacy and Social Entrepreneurial Outcome Expectation. Similarly, Perceived Support has no direct relationship to Social Entrepreneurial Intention; however, it shows an indirect link via the mediator ‘Social Entrepreneurial Outcome Expectation’. Furthermore, the dissertation brings new insights to the social entrepreneurship literature and provides important implications for practice. Limitations and future directions are also provided in the thesis.
From September 4 to 11, 1992, a fiirst meeting between Ukrainian and German scientists interested in mathematical and computer modeling of social processes was held at Vorzel' near Kiev. The meeting had been planned for nearly three years by Igor V. Chernenko and Mikhail V. Kuz'min, then members of the research group on mathematical modeling in sociology at the Institute of Sociology of the Academy of Science of the Ukrainian Republic, and had to be postponed twice due to the political development in the former Soviet Union, but thanks to the organizers' perseverance (and in spite of a strike of the airport personell at Kiev Borispol Airport on the eve of the conference) the conference could at last be realized.rnThe main purpose of the conference was to discuss a synergetic interpretation of large-scale destructive social processes as catastrophic phenomena in self-organized systems.
This paper originates from the FP6 project "Emergence in the Loop (EMIL)" which explores the emergence of norms in artificial societies. Part of work package 3 of this project is a simulator that allows for simulation experiments in different scenarios, one of which is collaborative writing. The agents in this still prototypical implementation are able to perform certain actions, such as writing short texts, submitting them to a central collection of texts (the "encyclopaedia") or adding their texts to texts formerly prepared by other agents. At the same time they are able to comment upon others' texts, for instance checking for correct spelling, for double entries in the encyclopaedia or for plagiarisms. Findings of this kind lead to reproaching the original authors of blamable texts. Under certain conditions blamable activities are no longer performed after some time.
The natural and the artificial environment of mankind is of enormous complexity, and our means of understanding this complex environment are restricted unless we make use of simplified (but not oversimplified) dynamical models with the help of which we can explicate and communicate what we have understood in order to discuss among ourselves how to re-shape reality according to what our simulation models make us believe to be possible. Being both a science and an art, modelling and simulation isrnstill one of the core tools of extended thought experiments, and its use is still spreading into new application areas, particularly as the increasing availability of massive computational resources allows for simulating more and more complex target systems.
In the early summer of 2012, the 26th European Conference on Modelling andrnSimulation (ECMS) once again brings together the best experts and scientists in the field to present their ideas and research, and to discuss new challenges and directions for the field.
The 2012 edition of ECMS includes three new tracks, namely Simulation-BasedrnBusiness Research, Policy Modelling and Social Dynamics and Collective Behaviour, and extended the classical Finance and Economics track with Social Science. It attracted more than 110 papers, 125 participants from 21 countries and backgrounds ranging from electrical engineering to sociology.
This book was inspired by the event, and it was prepared to compile the most recent concepts, advances, challenges and ideas associated with modelling and computer simulation. It contains all papers carefully selected from the large number of submissions by the programme committee for presentation during the conference and is organised according to the still growing number tracks which shaped the event. The book is complemented by two invited pieces from other experts that discussed an emerging approach to modelling and a specialised application. rnrnWe hope these proceedings will serve as a reference to researchers and practitioners in the ever growing field as well as an inspiration to newcomers to the area of modelling and computer simulation. The editors are honoured and proud to present you with this carefully compiled selection of topics and publications in the field.
This dissertation is dedicated to a new concept for capturing renunciation-oriented attitudes and beliefs — sufficiency orientation. Sufficiency originates in the interdisciplinary sustain-ability debate. In contrast to efficiency and consistency, sufficiency considers human behaviour as the cause of socio-ecological crises and strives for a reduction in consumption respecting the planetary boundaries. The present work places sufficiency in a psychological research context and explores it qualitatively and quantitatively. On the basis of five manuscripts, the overarching question pursued is to what extent sufficiency orientation contributes to socio-ecological transformation. Based on one qualitative study and five further quantitative studies, sufficiency orientation is investigated in different behavioural contexts that are of particular importance with regard to CO2 emissions. In addition, sufficiency orientation is linked to a wider range of psychologically relevant theories that help gain an overview of correlates and possible causes for the development of a sufficiency orientation.
Manuscript 1 uses expert interviews (N = 21) to develop a heuristic framework on a transformation towards societal sufficiency orientation including barriers and enablers, as well as ambiguities on such a change. The derived elements are interpreted in the light of the leverage points approach. This framework can serve as a heuristic for future research and to develop measures concerning sufficiency orientation.
As part of an online study (N = 648), Manuscript 2 examines the extent to which sufficiency orientation can be embedded in classic models for explaining pro-environmental intentions and behaviour (Theory of Planned Behaviour, Norm Activation Model), and showed a significant contribution to the explanation of intentions and behaviour in the field of plastic consumption.
Manuscript 3 reports two framing experiments (Study 1, N = 123, Study 2, N = 330) to investigate how pro-social justice sensitivity contributes to making sufficiency orientation more salient and promoting it. While sufficiency orientation and pro-social facets of justice sensitivity were positively related to each other, there was no effect of the framing intervention in the hypothesised direction. The results indicate that justice-related information at least in the presented manner is more likely to generate reactance.
Manuscript 4 presents an online study (N = 317) and targets the importance of sufficiency orientation for predicting actual greenhouse gas emissions in relation to flight behav-iour and policy support for the decarbonisation of mobility. In addition, the connection between sufficiency orientation and global identity is examined. It turns out that sufficiency orientation is superior to global identity in predicting actual emissions and decarbonisation policies. Contrary to expectations, sufficiency orientation and the form of global identity operationalised in the presented study shows a positive correlation and are compatible.
Manuscript 5 reports a reflective diary intervention (N = 252) that should lead to a short- and long-term increase in sufficiency orientation by satisfying basic psychological needs through induced self-reflection. For both groups with or without the intervention, sufficiency orientation increased slightly but significantly. Although no specific effect of the manipulation was found, basic psychological need satisfaction turns out to be the largest predictor for sufficiency orientation. Subjective well-being is positively associated with sufficiency orientation, while time affluence shows no clear associations in the study.
Overall, the results highlight the relevance of sufficiency orientation in relation to socio-ecological transformation and actual behavioural change. Sufficiency orientation is related to low-emission behaviour and support for political measures to decarbonize infrastructures. These results contribute to the discussion on the intention-behaviour gap in regard to impact-relevant behaviour, i.e. behaviour producing high emissions. The present findings suggest, that sufficiency orientation could be related to a strong intention-behavioural consistency. However, further research is needed to validate these results and improve the measurement of sufficiency orientation. Furthermore, the studies provided insights on correlates of sufficiency orientation: justice sensitivity, global identity, subjective well-being and left-wing liberal political ideologies are all found to be positively related to sufficiency orien-tation. Moreover, basic psychological need satisfaction was identified as a potential mechanism that can support the emergence of sufficiency orientation, however, causality remains unclear. From these findings, the work derives practical implications how to possibly strengthen sufficiency orientation on the micro, meso and macro levels of society.
Taken together, the dissertation provides important insights into a new and still developing concept, and shows its connectivity to psychological theories. However, future research is required in order to grasp more precisely the complexity of sufficiency orientation and to understand origins and predictors of sufficiency orientation. This work contributes to the interdisciplinary debate on socio-ecological transformation and points out that sufficiency orientation can serve to a future worth living as being related to reduced consumption.
Flowering habitats to enhance biodiversity and pest control services in agricultural landscapes
(2015)
Meeting growing demands for agricultural products requires management solutions that enhance food production, whilst minimizing negative environmental impacts. Conventional agricultural intensification jeopardizes farmland biodiversity and associated ecosystem services through excessive anthropogenic inputs and landscape simplification. Agri-environment schemes (AES) are commonly implemented to mitigate the adverse effects of conventional intensification on biodiversity. However the moderate success of such schemes thus far would strongly benefit from more explicit goals regarding ecosystem service provisioning. Providing key resources to beneficial organisms may improve their abundance, fitness, diversity and the ecosystem services they provide. With targeted habitat management, AES may synergistically enhance biodiversity and agricultural production and thus contribute to ecological intensification. We demonstrate that sown perennial wildflower strips, as implemented in current AES focusing on biodiversity conservation also benefit biological pest control in nearby crops (Chapter 2).
Comparing winter wheat fields adjacent to wildflower strips with fields without wildflower strips we found strongly reduced cereal leaf beetle (Oulema sp.) density and plant damage near wildflower strips. In addition, winter wheat yield was 10 % higher when fields adjoined wildflower strips. This confirms previous assumptions that wildflower strips, known for positive effects on farmland biodiversity, can also enhance ecosystem services such as pest control and the positive correlation of yield with flower abundance and diversity suggests that floral resources are key. Refining sown flower strips for enhanced service provision requires mechanistic understanding of how organisms benefit from floral resources. In climate chamber experiments investigating the impact of single and multiple flowering plant species on fitness components of three key arthropod natural enemies of aphids, we demonstrate that different natural enemies benefit differently from the offered resources (Chapter 3).
Some flower species were hereby more valuable to natural enemies than others overall. Additionally, the mixture with all flowers generally performed better than monocultures, yet with no transgressive overyielding. By explicitly tailoring flower strips to the requirements of key natural enemies of crop pests we aimed to maximise natural enemy mediated pest control in winter wheat (Chapter 4)and potato (Chapter 5) crops.
Respecting the manifold requirements of diverse natural enemies but not pests, in terms of temporal and spatial provisioning of floral, extra floral and structural resources, we designed targeted annual flower strips that can be included in crop rotation to support key arthropods at the place and time they are needed. Indeed, field experiments revealed that cereal leaf beetle density and plant damage in winter wheat can be reduced by 40 % to 61 % and aphid densities in potatoes even by 77 %, if a targeted flower strip is sown into the field. These effects were not restricted to the vicinity of flower strips and, in contrast to fields without flower strip, often prevented action thresholds from being reached. This suggests that targeted flower strips could replace insecticides. All adult natural enemies were enhanced inside targeted flower strips when compared to control strips. Yet, spillover to the field was restricted to key natural enemies such as ground beetles (winter wheat), hoverflies (potato) and lacewings (winter wheat and potato), suggesting their dominant role in biological control. In potatoes, targeted flower strips also enhanced hoverfly species richness in strips and crop, highlighting their additional benefits for diversity.
The present results provide more insights into the mechanisms underlying conservation biological control and highlight the potential of tailored habitat management for ecological intensification.
Student misbehavior and its treatment is a major challenge for teachers and a threat to their well-being. Indeed, teachers are obliged to punish student misbehavior on a regular basis. Additionally, teachers’ punishment decisions are among the most frequently reported situations when it comes to students’ experiences of injustice in school. By implication, it is crucial to understand teachers’ treatment of student misbehavior vis-à-vis students’ perceptions. One key dimension of punishment behavior reflects its underlying motivation and goals. People generally intend to achieve three goals when punishing misbehavior, namely, retribution (i.e., evening out the harm caused), special prevention (i.e., preventing recidivism of the offender), and general prevention (i.e., preventing imitation of others). Importantly, people’s support of these punishment goals is subject to hierarchy and power, implying that teachers’ and students’ punishment goal preferences differ. In this dissertation, I present three research projects that shed first light on teachers’ punishment and its goals along with the students’ perception of classroom intervention strategies pursuing these goals. More specifically, I first examined students’ (i.e., children’s) general support of each of the three punishment goals sketched above. Furthermore, I applied an attributional approach to understand and study the goals teachers intend to achieve when punishing student misbehavior. Finally, I investigated teachers’ and students’ support of the punishment goals regarding the same student misbehavior to directly compare their views on these goals and reactions pursuing them. In sum, the findings show that students generally prefer retribution and special prevention to general prevention, whereas teachers prefer general prevention and special prevention to retribution. This ultimately translates into a "mismatch" of teachers and students in their preferences for specific punishment goals, and the findings suggest that this may indeed enhance students’ perception of injustice. Overall, the results of the present research program may be valuable for the development of classroom intervention strategies that may reduce rather than enhance conflicts in student-teacher-interactions.
The European landscape is dominated by intensive agriculture which leads to widespread impact on the environment. The frequent use of agricultural pesticides is one of the major causes of an ongoing decline in flower-visiting insects (FVIs). The conservation of this ecologically diverse assemblage of mobile, flying insect species is required by international and European policy. To counteract the decrease in species numbers and their abundances, FVIs need to be protected from anthropogenic stressors. European pesticide risk assessment was devised to prevent unacceptable adverse consequences of pesticide use on FVIs. However, there is an ongoing discussion by scientists and policy-makers if the current risk assessment actually provides adequate protection for FVI species.
The first main objective of this thesis was to investigate pesticide impact on FVI species. The scientific literature was reviewed to identify groups of FVIs, summarize their ecology, and determine their habitat. This was followed by a synthesis of studies about the exposure of FVIs in their habitat and subsequent effects. In addition, the acute sensitivity of one FVI group, bee species, to pesticides was studied in laboratory experiments.
The second main objective was to evaluate the European risk assessment for possible deficits and propose improvements to the current framework. Regulatory documents were screened to assess the adequacy of the guidance in place in light of the scientific evidence. The suitability of the honey bee Apis mellifera as the currently only regulatory surrogate species for FVIs was discussed in detail.
The available scientific data show that there are far more groups of FVIs than the usually mentioned bees and butterflies. FVIs include many groups of ecologically different species that live in the entire agricultural landscape. Their habitats in crops and adjacent semi-natural areas can be contaminated by pesticides through multiple pathways. Environmentally realistic exposure of these habitats can lead to severe effects on FVI population parameters. The laboratory studies of acute sensitivity in bee species showed that pesticide effects on FVIs can vary greatly between species and pesticides.
The follow-up critical evaluation of the European FVI risk assessment revealed major shortcomings in exposure and effect assessment. The honey bee proved to be a sufficient surrogate for bee species in lower tier risk assessment. Additional test species may be chosen for higher tier risk assessment to account for ecological differences. This thesis shows that the ecology of FVIs should generally be considered to a greater extent to improve the regulatory process. Data-driven computational approaches could be used as alternative methods to incorporate ecological trait data in spatio-temporal scenarios. Many open questions need to be answered by further research to better understand FVI species and promote necessary changes to risk assessment. In general, other FVI groups than bees need to be investigated. Furthermore, comprehensive data on FVI groups and their ecology need to be collected. Contamination of FVI habitat needs to be linked to exposure of FVI individuals and ecologically complex effects on FVI populations should receive increased attention. In the long term, European FVI risk assessment would benefit from shifting its general principles towards more scientifically informed regulatory decisions. This would require a paradigm shift from arbitrary assumptions and unnecessarily complicated schemes to a substantiated holistic framework.
Despite the inception of new technologies at a breakneck pace, many analytics projects fail mainly due to the use of incompatible development methodologies. As big data analytics projects are different from software development projects, the methodologies used in software development projects could not be applied in the same fashion to analytics projects. The traditional agile project management approaches to the projects do not consider the complexities involved in the analytics. In this thesis, the challenges involved in generalizing the application of agile methodologies will be evaluated, and some suitable agile frameworks which are more compatible with the analytics project will be explored and recommended. The standard practices and approaches which are currently applied in the industry for analytics projects will be discussed concerning enablers and success factors for agile adaption. In the end, after the comprehensive discussion and analysis of the problem and complexities, a framework will be recommended that copes best with the discussed challenges and complexities and is generally well suited for the most data-intensive analytics projects.
Since the invention of U-net architecture in 2015, convolutional networks based on its encoder-decoder approach significantly improved results in image analysis challenges. It has been proven that such architectures can also be successfully applied in different domains by winning numerous championships in recent years. Also, the transfer learning technique created an opportunity to push state-of-the-art benchmarks to a higher level. Using this approach is beneficial for the medical domain, as collecting datasets is generally a difficult and expensive process.
In this thesis, we address the task of semantic segmentation with Deep Learning and make three main contributions and release experimental results that have practical value for medical imaging.
First, we evaluate the performance of four neural network architectures on the dataset of the cervical spine MRI scans. Second, we use transfer learning from models trained on the Imagenet dataset and compare it to randomly initialized networks. Third, we evaluate models trained on the bias field corrected and raw MRI data. All code to reproduce results is publicly available online.
This study was conducted in Nyungwe National Park (NNP); a biodiversity hotspot Mountain rainforest of high conservation importance in Central Africa, but with little knowledge of its insect communities including butterflies, good indicators of climate change, and forest ecosystem health. The study aimed at availing baseline data on butterfly species diversity and distribution in NNP, for future use in monitoring climate change-driven shifts and the effects of forest fragmentation on the biodiversity of Nyungwe. Butterflies were collected seasonally using fruit-baited traps and hand nets along elevational transects spanning from 1700 m up to 2950 m of altitude. Two hundred forty-two species including 28 endemics to the Albertine Rift and 18 potential local climate change indicators were documented. Species richness and abundance declined with increasing elevation and higher seasonal occurrence was observed during the dry season. This was the first study on the spatial and temporal distribution of butterflies in NNP and further studies could be conducted to add more species and allow a depth understanding of the ecology of Nyungwe butterflies.
While the existing literature on cooperative R&D projects between firms and public research institutes (PRI) has made valuable contributions by examining various factors and their influence on different outcome measures, there has been no investigation of cooperative R&D project success between firms and PRI from a product competitive advantage perspective. However, insights into the development of a meaningful and superior product (i.e., product competitive advantage) are particularly important in the context of cooperative R&D projects between PRI and (mainly small and medium-sized) firms in the biotechnology industry in response to increasing competition to raise capital funds necessary for survival.
The objectives of this thesis are: (1) to elaborate the theoretical foundations which explain the achievement of a product competitive advantage in cooperative R&D projects between biotechnology firms and PRI, (2) to identify and empirically evaluate the determining factors for achieving a product competitive advantage in cooperative R&D projects between biotechnology firms and PRI, and (3) to show how cooperative R&D projects between biotechnology firms and PRI should be designed and executed to support the achievement of a product competitive advantage.
To accomplish these objectives, a model of determinants of product competitive advantage in cooperative R&D projects between biotechnology firms and PRI is developed by drawing from the theoretical foundations of resource-based theory and information-processing theory. The model is evaluated using data from 517 questionnaires on cooperative R&D projects between at least one biotechnology firm and one PRI. The data are analyzed using variance-based structural equation modeling (i.e., PLS-SEM) in order to conduct hypotheses testing. The evaluation of the empirical data includes an additional mediation analysis and the comparison of effects in subsamples.
The results demonstrate the importance of available resources and skills, as well as the proficient execution of marketing-related and technical activities for the achievement of a product competitive advantage in cooperative R&D projects between biotechnology firms and PRI. By identifying project-related and process-related factors affecting product competitive advantage and empirically testing their relationships, the research findings should be valuable for both researchers and practitioners. After discussing contributions and implications for research and practice, the present thesis concludes with limitations and avenues for future research.
The term “Software Chrestomaty” is defined as a collection of software systems meant to be useful in learning about or gaining insight into software languages, software technologies, software concepts, programming, and software engineering. 101companies software chrestomathy is a community project with the attributes of a Research 2.0 infrastructure for various stakeholders in software languages and technology communities. The core of 101companies combines a semantic wiki and confederated open source repositories. We designed and developed an integrated ontology-based knowledge base about software languages and technologies. The knowledge is created by the community of contributors and supported with a running example and structured documentation. The complete ecosystem is exposed by using Linked Data principles and equipped with the additional metadata about individual artifacts. Within the context of software chrestomathy we explored a new type of software architecture – linguistic architecture that is targeted on the language and technology relationships within a software product and based on the megamodels. Our approach to documentation of the software systems is highly structured and makes use of the concepts of the newly developed megamodeling language MegaL. We “connect” an emerging ontology with the megamodeling artifacts to raise the cognitive value of the linguistic architecture.
The content aggregator platform Reddit has established itself as one of the most popular websites in the world. However, scientific research on Reddit is hindered as Reddit allows (and even encourages) user anonymity, i.e., user profiles do not contain personal information such as the gender. Inferring the gender of users in large-scale could enable the analysis of gender-specific areas of interest, reactions to events, and behavioral patterns. In this direction, this thesis suggests a machine learning approach of estimating the gender of Reddit users. By exploiting specific conventions in parts of the website, we obtain a ground truth for more than 190 million comments of labeled users. This data is then used to train machine learning classifiers to use them to gain insights about the gender balance of particular subreddits and the platform in general. By comparing a variety of different approaches for classification algorithm, we find that character-level convolutional neural network achieves performance with an 82.3% F1 score on a task of predicting a gender of a user based on his/her comments. The score surpasses 85% mark for frequent users with more than 50 comments. Furthermore, we discover that female users are less active on Reddit platform, they write fewer comments and post in fewer subreddits on average, when compared to male users.
Autonomous systems such as robots already are part of our daily life. In contrast to these machines, humans an react appropriately to their counterparts. People can hear and interpret human speech, and interpret facial expressions of other people.
This thesis presents a system for automatic facial expression recognition with emotion mapping. The system is image-based and employs feature-based feature extraction. This thesis analyzes the common steps of an emotion recognition system and presents state-of-the-art methods. The approach presented is based on 2D features. These features are detected in the face. No neutral face is needed as reference. The system extracts two types of facial parameters. The first type consists of distances between the feature points. The second type comprises angles between lines connecting the feature points. Both types of parameters are implemented and tested. The parameters which provide the best results for expression recognition are used to compare the system with state-of-the-art approaches. A multiclass Support Vector Machine classifies the parameters.
The results are codes of Action Units of the Facial Action Coding System. These codes are mapped to a facial emotion. This thesis addresses the six basic emotions (happy, surprised, sad, fearful, angry, and disgusted) plus the neutral facial expression. The system presented is implemented in C++ and is provided with an interface to the Robot Operating System (ROS).
This thesis evaluates automated techniques to remove objects from an image and proposed several modifications for the specific application of removing a colour checker from structure dominated images. The selection of approaches covers the main research field of image inpainting as well as an approach used in medical image processing. Their results are investigated to disclose their applicability to removing objects from structure-intense images. The advantages and disadvantages discovered in the process are then used to propose several modifications for an adapted inpainting approach suitable for removing the colour checker.
World’s ecosystems are under great pressure satisfying anthropogenic demands, with freshwaters being of central importance. The Millennium Ecosystem Assessment has identified anthropogenic land use and associated stressors as main drivers in jeopardizing stream ecosystem functions and the
biodiversity supported by freshwaters. Adverse effects on the biodiversity of freshwater organisms, such as macroinvertebrates, may propagate to fundamental ecosystem functions, such as organic matter breakdown (OMB) with potentially severe consequences for ecosystem services. In order to adequately protect and preserve freshwater ecosystems, investigations regarding potential and observed as well as direct and indirect effects of anthropogenic land use and associated stressors (e.g. nutrients, pesticides or heavy metals) on ecosystem functioning and stream biodiversity are needed. While greater species diversity most likely benefits ecosystem functions, the direction and magnitude of changes in ecosystem functioning depends primarily on species functional traits. In this context, the functional diversity of stream organisms has been suggested to be a more suitable predictor of changes in ecosystem functions than taxonomic diversity.
The thesis aims at investigating effects of anthropogenic land use on (i) three ecosystem functions by anthropogenic toxicants to identify effect thresholds (chapter 2), (ii) the organic matter breakdown by three land use categories to identify effects on the functional level (chapter 3) and (iii)on the stream community along an established land-use gradient to identify effects on the community level.
In chapter 2, I reviewed the literature regarding pesticide and heavy metal effects on OMB, primary production and community respiration. From each reviewed study that met inclusion criteria, the toxicant concentration resulting in a reduction of at least 20% in an ecosystem function was standardized based on laboratory toxicity data. Effect thresholds were based on the relationship between ecosystem functions and standardized concentration-effect relationships. The analysis revealed that more than one third of pesticide observations indicated reductions in ecosystem functions at concentrations that are assumed being protective in regulation. However, high variation within and between studies hampered the derivation of a concentration-effect relationship and thus effect thresholds.
In chapter 3, I conducted a field study to determine the microbial and invertebrate-mediated OMB by deploying fine and coarse mesh leaf bags in streams with forested, agricultural, vinicultural
and urban riparian land use. Additionally, physicochemical, geographical and habitat parameters were monitored to explain potential differences in OMB among land use types and sites. Regarding results, only microbial OMB differed between land use types. The microbial OMB showed a negative relationship with pH while the invertebrate-mediated OMB was positively related to tree cover. OMB responded to stressor gradients rather than directly to land use.
In chapter 4, macroinvertebrates were sampled in concert with leaf bag deployment and after species identification (i) the taxonomic diversity in terms of Simpson diversity and total taxonomic
richness (TTR) and (ii) the functional diversity in terms of bio-ecological traits and Rao’s quadratic entropy was determined for each community. Additionally, a land-use gradient was established and the response of the taxonomic and functional diversity of invertebrate communities along this gradient was investigated to examine whether these two metrics of biodiversity are predictive for the rate of OMB. Neither bio-ecological traits nor the functional diversity showed a significant relationship with
OMB. Although, TTR decreased with increasing anthropogenic stress and also the community structure and 26 % of bio-ecological traits were significantly related to the stress gradient, any of these shifts propagated to OMB.
Our results show that the complexity of real-world situations in freshwater ecosystems impedes the effect assessment of chemicals and land use for functional endpoints, and consequently our potential to predict changes. We conclude that current safety factors used in chemical risk assessment may not be sufficient for pesticides to protect functional endpoints. Furthermore, simplifying real-world stressor gradients into few land use categories was unsuitable to predict and quantify losses in OMB. Thus, the monitoring of specific stressors may be more relevant than crude land use categories to detect effects on ecosystem functions. This may, however, limit the large scale assessment of the status of OMB. Finally, despite several functional changes in the communities the functional diversity over several trait modalities remained similar. Neither taxonomic nor functional diversity were suitable predictors of OMB. Thus, when understanding anthropogenic impacts on the linkage between biodiversity and ecosystem functioning is of main interest, focusing on diversity metrics that are clearly linked to the stressor in question (Jackson et al. 2016) or integrating taxonomic and functional metrics (Mondy et al., 2012) might enhance our predictive capacity.
Traditional Driver Assistance Systems (DAS) like for example Lane Departure Warning Systems or the well-known Electronic Stability Program have in common that their system and software architecture is static. This means that neither the number and topology of Electronic Control Units (ECUs) nor the presence and functionality of software modules changes after the vehicles leave the factory.
However, some future DAS do face changes at runtime. This is true for example for truck and trailer DAS as their hardware components and software entities are spread over both parts of the combination. These new requirements cannot be faced by state-of-the-art approaches of automotive software systems. Instead, a different technique of designing such Distributed Driver Assistance Systems (DDAS) needs to be developed. The main contribution of this thesis is the development of a novel software and system architecture for dynamically changing DAS using the example of driving assistance for truck and trailer. This architecture has to be able to autonomously detect and handle changes within the topology. In order to do so, the system decides which degree of assistance and which types of HMI can be offered every time a trailer is connected or disconnected. Therefore an analysis of the available software and hardware components as well as a determination of possible assistance functionality and a re-configuration of the system take place. Such adaptation can be granted by the principles of Service-oriented Architecture (SOA). In this architectural style all functionality is encapsulated in self-contained units, so-called Services. These Services offer the functionality through well-defined interfaces whose behavior is described in contracts. Using these Services, large-scale applications can be built and adapted at runtime. This thesis describes the research conducted in achieving the goals described by introducing Service-oriented Architectures into the automotive domain. SOA deals with the high degree of distribution, the demand for re-usability and the heterogeneity of the needed components.
It also applies automatic re-configuration in the event of a system change. Instead of adapting one of the frameworks available to this scenario, the main principles of Service-orientation are picked up and tailored. This leads to the development of the Service-oriented Driver Assistance (SODA) framework, which implements the benefits of Service-orientation while ensuring compatibility and compliance to automotive requirements, best-practices and standards. Within this thesis several state-of-the-art Service-oriented frameworks are analyzed and compared. Furthermore, the SODA framework as well as all its different aspects regarding the automotive software domain are described in detail. These aspects include a well-defined reference model that introduces and relates terms and concepts and defines an architectural blueprint. Furthermore, some of the modules of this blueprint such as the re-configuration module and the Communication Model are presented in full detail. In order to prove the compliance of the framework regarding state-of-the-art automotive software systems, a development process respecting today's best practices in automotive design procedures as well as the integration of SODA into the AUTOSAR standard are discussed. Finally, the SODA framework is used to build a full-scale demonstrator in order to evaluate its performance and efficiency.
This dissertation provides an interdisciplinary contribution to the project ReGLaN-Health & Logistics. ReGLaN-Health & Logistics, is an international cooperation deriving benefits from the capabilities of scientists working on different fields. The aim of the project is the development of a socalled SDSS that supports decision makers working within health systems with a special focus on rural areas. In this dissertation, one important component for the development of the DSS named EWARS is proposed and described in detail. This component called SPATTB is developed with the intention of dealing with spatial data, i.e. data with additional geocoded information with regard to the special requirements of the EWARS.rnrnAn important component in the process of developing the EWARS is the concept of GIS. Classically, geocoded information with a vectorial character numerically describing spatial phenomena is managed and processed in a GIS. For the development of the EWARS, the manageability of the type of data exemplarily given by (x,y,o) with coordinates x,y ) and Ozon-concentration o is not sufficient. It is described, that the manageable data has to be extended to data of type (x,y,f ), where (x,y) are the geocoded information, but where f is not only a numerical value but a functional description of a certain phenomenom. An example for the existence and appearance of that type of data is the geocoded information about the variation of the Ozon-concentration in time or depending on temperature. A knowledge-base as important subsystem of DSS containing expert knowledge is mentioned. This expert-knowledge can be made manageable when using methods from the field of fuzzy logic. Thereby mappings, socalled fuzzy-sets, are generated. Within the EWARS, these mappings will be used with respect to additional geocoded data. The knowledge about the geocoded mapping information only at a finite set of locations (x,y) associated with mapping information f is not sufficient in applications that need continuous statements in a certain geographical area. To provide a contribution towards solving this problem, methods from the field of computer geometry and CAD, so-called Bezier-methods, are used for interpolating this geocoded mapping information. Classically, these methods operates on vectors a the multidimensional vector-space whose elements contain real-valued components but in terms of dealing with mapping information, there has to be an extension on topological vector spaces since mapping spaces can be defined as such spaces. This builds a new perspective and possibility in the application of these methods. Therefore, the according algorithms have to be extended; this work is presented. The field of Artificial Neural Networks plays an important role for the processing and management of the data within the EWARS, where features of biological processes and structures are modeled and implemented as algorithms. Generally, the developed methods can be divided as usable in terms of interpolation or approximation functional coherences and in such being applicable to classification problems. In this dissertation one method from each type is regarded in more detailed. Thereby, the classical algorithms of the so-called Backpropagation-Networks for approximation and the Kohonen-Networks for classification are described. Within the thesis, an extension of these algorithms is then proposed using coherences from mathematical measure-theory and approximation theory. The mentioned extension of these algorithms is based on a preprocessing of the mapping data using integration methods from measure theory.
The availability of digital cameras and the possibility to take photos at no cost lead to an increasing amount of digital photos online and on private computers. The pure amount of data makes approaches that support users in the administration of the photo necessary. As the automatic understanding of photo content is still an unsolved task, metadata is needed for supporting administrative tasks like search or photo work such as the generation of photo books. Meta-information textually describes the depicted scene or consists of information on how good or interesting a photo is.
In this thesis, an approach for creating meta-information without additional effort for the user is investigated. Eye tracking data is used to measure the human visual attention. This attention is analyzed with the objective of information creation in the form of metadata. The gaze paths of users working with photos are recorded, for example, while they are searching for photos or while they are just viewing photo collections.
Eye tracking hardware is developing fast within the last years. Because of falling prices for sensor hardware such as cameras and more competition on the eye tracker market, the prices are falling, and the usability is increasing. It can be assumed that eye tracking technology can soon be used in everyday devices such as laptops or mobile phones. The exploitation of data, recorded in the background while the user is performing daily tasks with photos, has great potential to generate information without additional effort for the users.
The first part of this work deals with the labeling of image region by means of gaze data for describing the depicted scenes in detail. Labeling takes place by assigning object names to specific photo regions. In total, three experiments were conducted for investigating the quality of these assignments in different contexts. In the first experiment, users decided whether a given object can be seen on a photo by pressing a button. In the second study, participants searched for specific photos in an image search application. In the third experiment, gaze data was collected from users playing a game with the task to classify photos regarding given categories. The results of the experiments showed that gaze-based region labeling outperforms baseline approaches in various contexts. In the second part, most important photos in a collection of photos are identified by means of visual attention for the creation of individual photo selections. Users freely viewed photos of a collection without any specific instruction on what to fixate, while their gaze paths were recorded. By comparing gaze-based and baseline photo selections to manually created selections, the worth of eye tracking data in the identification of important photos is shown. In the analysis of the data, the characteristics of gaze data has to be considered, for example, inaccurate and ambiguous data. The aggregation of gaze data, collected from several users, is one suggested approach for dealing with this kind of data.
The results of the performed experiments show the value of gaze data as source of information. It allows to benefit from human abilities where algorithms still have problems to perform satisfyingly.
Towards Improving the Understanding of Image Semantics by Gaze-based Tag-to-Region Assignments
(2011)
Eye-trackers have been used in the past to identify visual foci in images, find task-related image regions, or localize affective regions in images. However, they have not been used for identifying specific objects in images. In this paper, we investigate whether it is possible to assign image regions showing specific objects with tags describing these objects by analyzing the users' gaze paths. To this end, we have conducted an experiment with 20 subjects viewing 50 image-tag-pairs each. We have compared the tag-to-region assignments for nine existing and four new fixation measures. In addition, we have investigated the impact of extending region boundaries, weighting small image regions, and the number of subjects viewing the images. The paper shows that a tag-to-region assignment with an accuracy of 67% can be achieved by using gaze information. In addition, we show that multiple regions on the same image can be differentiated with an accuracy of 38%.
Abstract for the print-book: Walden, R. (2008). Architectural Psychology: School, University Campus, and Office Building of the Future. Lengerich: Pabst Science Publishers (in German). The need for display of self in architecture and for users' self-regulation of stress factors, which demonstrate that users crave individual control of their environment (cf. Flammer, 1990; Burger, 1992) motivated this study to use the concept of environmental control as a central criterion for the evaluation of built environment. It was applied to three case studies: a school, a university campus, and an office building. Advantages and disadvantages of the data- gathering methods of architectural Programming, User-Needs Analysis, and Post-Occupancy Evaluation were analyzed to highlight their significance in terms of Building Performance Evaluation as described by Preiser and Sc hramm (1997, 2005). The “Koblenz Architecture Questionnaire” was used as an instrument for assessing the built environment of the three case studies, and the study reports selected findings from these questionnaires. The investigation seeks to determine the effect of architecture - especially buildings' provisions for user control of environmental conditions - on user performance (cf. BOSTI studies, 1984, 2001) in three innovative buildings: the Waldorf School in Cologne, the new campus for the University in Koblenz, and the Office Tower of the Deutsche Post World Net AG in Bonn. Performance is measured in terms of (1) Lear ning and Work Efficiency, (2) Well-being, (3) Environmental Control, (4) Social Behavior (the latter just for the school project), and by means of 21 and 16 additional psychological criteria for success of the organization in the cases of the university and the office building, respectively. The study aims, among other things, at reassessing the theoretical concept of 'environmental control' and at making recommendations for both improvement of existing buildings and the design of new projects. Two central questions are: In User-Needs Analysis, what is the difference between the assessment of a building for its current use and its estimated performance in future? Do certain architectural features influence user assessments on the given performance criteria? In the studies, three mapping sentences were developed according to the 'facet approach' (Borg, 1996) as well as two systems to judge the quality of school and office buildings. Using these systems, information was obtained in all three studies to construct questionnaires. In the school study, teachers were asked 139 questions, pupils 86 questions. Responses were obtained from 26 teachers and 122 pupils. For the university, 147 students and 28 faculty members responded to 203 questions. For the office building, 56 student-experts were asked 254 questions. Characteristics of the built environment were rated using the following scale: +2 ☺☺ (very good “at present”, and accordingly very important “in the future”) down to –2 // (very bad “at present”, and very unimportant “in the future”). A general finding was a high and significant co rrelation between the responses for the three main performance criteria in all three case studies, especially for the 'importance for the future' aspect. This supports the conclusion that a perception of higher degree of environmental control by users will lead to an increased sense of well-being and consequently, there will also be a higher expectation of improved work or learning efficiency 'in the future'. The three studies further show for example that users in all three environments desire 'retreat opportunities' which may take the form of student offices in schools, niches and small group seating in classrooms, and sheltered seating in outdoor areas and work tables in the cafeteria for the university. For the offices, users wanted more visual privacy (less transparent office partitions in Combi Offices) for less visual control of their activities by supervisors and co-workers. The relationships found by the studies between the responses on the central performance criteria and the spatial characteristics of the three buildings support the contention that focused improvements in the built environment, especially with respect to features that enhance user control of environmental conditions, will influence users’ well-being as well as work performance and work or learning efficiency in a positive way.
Model-Driven Engineering (MDE) aims to raise the level of abstraction in software system specifications and increase automation in software development. Modelware technological spaces contain the languages and tools for MDE that software developers take into consideration to model systems and domains. Ontoware technological spaces contain ontology languages and technologies to design, query, and reason on knowledge. With the advent of the Semantic Web, ontologies are now being used within the field of software development, as well. In this thesis, bridging technologies are developed to combine two technological spaces in general. Transformation bridges translate models between spaces, mapping bridges relate different models between two spaces, and, integration bridges merge spaces to new all-embracing technological spaces. API bridges establish interoperability between the tools used in the space. In particular, this thesis focuses on the combination of modelware and ontoware technological spaces. Subsequent to a sound comparison of languages and tools in both spaces, the integration bridge is used to build a common technological space, which allows for the hybrid use of languages and the interoperable use of tools. The new space allows for language and domain engineering. Ontology-based software languages may be designed in the new space where syntax and formal semantics are defined with the support of ontology languages, and the correctness of language models is ensured by the use of ontology reasoning technologies. These languages represent a core means for exploiting expressive ontology reasoning in the software modeling domain, while remaining flexible enough to accommodate varying needs of software modelers. Application domains are conceptually described by languages that allow for defining domain instances and types within one domain model. Integrated ontology languages may provide formal semantics for domain-specific languages and ontology technologies allow for reasoning over types and instances in domain models. A scenario in which configurations for network device families are modeled illustrates the approaches discussed in this thesis. Furthermore, the implementation of all bridging technologies for the combination of technological spaces and all tools for ontology-based language engineering and use is illustrated.
Deformable Snow Rendering
(2019)
Accurate snow simulation is key to capture snow's iconic visuals. Intricate
methods exist that attempt to grasp snow behaviour in a holistic manner. Computational complexity prevents them from reaching real-time performance. This thesis presents three techniques making use of the GPU that focus on the deformation of a snow surface in real-time. The approaches are examined by their ability to scale with an increasing number of deformation actors and their visual portrayal of snow deformation. The findings indicate that the approaches maintain real-time performance well into several hundred individual deformation actors. However, these approaches each have their individual restrictions handicapping the visual results. An experimental approach is to combine the techniques at reduced deformation actor count to benefit from the detailed, merged deformation pattern.
Previous research concerned with early science education revealed that guided play can support young children’s knowledge acquisition. However, the questions whether guided play maintains other important prerequisites such as children’s science self-concept and how guided play should be implemented remain unanswered. The present dissertation encompasses three research articles that investigated 5- to 6-year-old children’s science knowledge, science theories, and science self-concept in the stability domain and their relation to interindividual prerequisites. Moreover, the articles examined whether children’s science knowledge, science theories, and science self-concept can be supported by different play forms, i.e., guided play with material and verbal scaffolds, guided play with material scaffolds, and free play. The general introduction of the present dissertation first highlights children’s cognitive development, their science self-concept, and interindividual prerequisites, i.e., fluid and crystallised intelligence, mental rotation ability, and interest in block play. These prerequisites are applied to possible ways of supporting children during play. The first article focused on the measurement of 5-to-6-year-old children’s stability knowledge and its relation to interindividual prerequisites. Results suggested that children’s stability knowledge could be measured reliably and validly, and was related to their fluid and crystallised intelligence. The second article was concerned with the development of children’s intuitive stability theories over three points of measurement and the effects of guided and free play, children’s prior theories as well as their intelligence on these intuitive theories. Results implied that guided play with material and verbal scaffolds supported children’s stability theories more than the other two play forms, i.e., guided play with material scaffolds and free play. Moreover, consistency of children’s prior theories, their fluid and crystallised intelligence were related to children’s theory adaptation after the intervention. The third article focused on the effect of the playful interventions on children’s stability knowledge and science self-concept over three points of measurement. Furthermore, the reciprocal effects between knowledge acquisition and science self-concept were investigated. Results implied that guided play supported knowledge acquisition and maintained children’s science self-concept. Free play did not support children’s stability knowledge and decreased children’s science self-concept. No evidence for reciprocal effects between children’s stability knowledge and their science self-concept was found. Last, in a general discussion, the findings of the three articles are combined and reflected amidst children’s cognitive development. Summarising, the present dissertation shows that children’s science knowledge, science theories, and science self-concept can be supported through guided play that considers children’s cognitive development.
Fresh water resources like rivers and reservoirs are exposed to a drastically changing world. In order to safeguard these lentic ecosystems, they need stronger protection in times of global change and population growth. In the last years, the exploitation pressure on drinking water reservoirs has increased steadily worldwide. Besides securing the demands of safe drinking water supply, international laws especially in Europe (EU Water Framework Directive) stipulate to minimize the impact of dams on downstream rivers. In this study we investigate the potential of a smart withdrawal strategy at Grosse Dhuenn Reservoir to improve the temperature and discharge regime downstream without jeopardizing drinking water production. Our aim is to improve the existing withdrawal strategy for operating the reservoir in a sustainable way in terms of water quality and quantity. First, we set-up and calibrated a 1D numerical model for Grosse Dhuenn Reservoir with the open-source community model “General Lake Model” (GLM) together with its water quality module “Aquatic Ecodynamics” library (AED2). The reservoir model reproduced water temperatures and hypolimnetic dissolved oxygen concentrations accurately over a 5 year period. Second, we extended the model source code with a selective withdrawal functionality (adaptive offtake) and added operational rules for a realistic reservoir management. Now the model is able to autonomously determine the best withdrawal height according to the temperature and flow requirements of the downstream river and the raw water quality objectives. Criteria for the determination of the withdrawal regime are selective withdrawal, development of stratification and oxygen content in the deep hypolimnion. This functionality is not available in current reservoir models, where withdrawal heights are generally provided a priori to the model and kept fixed during the simulation. Third, we ran scenario simulations identifying an improved reservoir withdrawal strategy to balance the demands for downstream river and raw water supply. Therefore we aimed at finding an optimal parallel withdrawal ratio between cold hypolimnetic water and warm epilimnetic or metalimnetic water in order to provide a pre-defined temperature in the downstream river. The reservoir model and the proposed withdrawal strategy provide a simple and efficient tool to optimize reservoir management in a multi-objective view for mastering future reservoir management challenges.
Pelagic oxyclines, the transition zone between oxygen rich surface waters and oxygen depleted deep waters, are a common characteristic of eutrophic lakes during summer stratification. They can have tremendous effects on the biodiversity and the ecosystem functioning of lakes and, to add insult to injury, are expected to become more frequent and more pronounced as climate warming progresses. On these grounds, this thesis endeavors to advance the understanding of formation, persistence, and consequences of pelagic oxyclines: We test, whether the formation of metalimnetic oxygen minima is intrinsically tied to a locally enhanced oxygen consuming process, investigate the relative importance of vertical physical oxygen transport and biochemical oxygen consumption for the persistence of pelagic oxyclines, and finally assess their potential consequences for whole lake cycling. To pursue these objectives, the present thesis nearly exclusively resorts to in situ measurements. Field campaigns were conducted at three lakes in Germany featuring different types of oxyclines and resolved either a short (hours to days) or a long (weeks to months) time scale. Measurements comprised temperature, current velocity, and concentrations of oxygen and reduced substances in high temporal and vertical resolution. Additionally, vertical transport was estimated by applying the eddy correlation technique within the pelagic region for the first time. The thesis revealed, that the formation of metalimnetic oxygen minima does not necessarily depend on locally enhanced oxygen depletion, but can solely result from gradients and curvatures of oxygen concentration and depletion and their relative position to each other. Physical oxygen transport was found to be relevant for oxycline persistence when it considerably postponed anoxia on a long time scale. However, its influence on oxygen dynamics was minor on short time scales, although mixing and transport were highly variable. Biochemical consumption always dominated the fate of oxygen in pelagic oxyclines. It was primarily determined by the oxidative breakdown of organic matter originating from the epilimnion, whereas in meromictic lakes, the oxidation of reduced substances dominated. Beyond that, the results of the thesis emphasize that pelagic oxyclines can be a hotspot of mineralization and, hence, short-circuit carbon and nutrient cycling in the upper part of the water column. Overall, the present thesis highlights the importance of considering physical transport as well as biochemical cycling in future studies.