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The bio-insecticide Bacillus thuringiensis israelensis (Bti) has worldwide become the most commonly used agentin mosquito control programs that pursue two main objectives: the control of vector-borne diseases and the reduction of nuisance, mainly coming frommosquitoes that emerge in large quantities from seasonal wetlands. The Upper Rhine Valley, a biodiversity hotspot in Germany, has been treated withBti for decades to reduce mosquito-borne nuisance and increase human well-being.Although Btiis presumed to be an environmentally safe agent,adverse effects on wetland ecosystems are still a matter of debate especially when it comes to long-term and indirect effects on non-target organisms. In light of the above, this thesis aims at investigating direct and indirect effects of Bti-based mosquito control on non-target organisms within wetland food chains.Effects were examinedin studies with increasingeco(toxico)logical complexity, ranging from laboratory over mesocosm to field approaches with a focus on the non-biting Chironomidae and amphibian larvae (Rana temporaria, Lissotriton sp.).In addition, public acceptance of environmentally less invasive alternative mosquito control methods was evaluated within surveys among the local population.
Chironomids were the most severely affected non-target aquatic invertebrates. Bti substantially reduced larval and adult chironomid abundances and modified their species composition. Repeated exposures to commonly used Bti formulations induced sublethal alterations of enzymatic biomarkers activityin frog tadpoles. Bti-induced reductions of chironomid prey availability indirectly decreased body size of newts at metamorphosis and increased predation on newt larvae in mesocosm experiments. Indirect effects of severe reductions in midge biomassmight equally be passed through aquatic but also terrestrial food chains influencing predators of higher trophic levels. The majority ofaffectedpeople in the Upper Rhine Valley expressed a high willingness to contributefinancially to environmentally less harmful mosquito control.Alternative approaches could still include Bti applications excepting treatment of ecologically valuable areas. Potentially rising mosquito levels could be counteracted with local acting mosquito traps in domestic and urban areas because mosquito presence was experienced as most annoying in the home environment.
As Bti-based mosquito control can adversely affect wetland ecosystems, its large-scale applications, including nature conservation areas, should be considered more carefully to avoid harmful consequences for the environmentat the Upper Rhine Valley.This thesis emphasizesthe importance to reconsiderthe current practice of mosquito control and encourage research on alternative mosquito control concepts that are endorsed by the local population. In the context ofthe ongoing amphibian and insect declinesfurther human-induced effects onwetlands should be avoided to preserve biodiversity in functioning ecosystems.
Die vorliegende Dissertation beschäftigt sich mit euroskeptischen Äußerungen in der Parteienkommunikation und der Medienberichterstattung im Vorfeld der Europawahl 2014. Die Arbeit verwendet ein akteurszentriertes Forschungsdesign, welches eine differenzierte Betrachtung der öffentlichen Debatte europäischer Themen erlaubt. Die Analyse deckt auf, welche nationalen Parteien euroskeptische Positionen vertreten und inwiefern diese Einzug in die mediale Berichterstattung finden. Auch die Positionierung der Medien selbst wird durch die Untersuchung meinungsbezogener Artikel berücksichtigt. Die den Studien zu Grunde liegende Konzeptualisierung des Euroskeptizismus-Begriff umfasst neben globalen und konkreten negativen Bewertungen der EU auch die Zuschreibung von Problemverantwortung als weitere Spielart euroskeptischer Äußerungen. Die Arbeit nimmt weiterhin eine international vergleichende Perspektive ein, um den Einfluss nationaler Kontextfaktoren auf die Verbreitung euroskeptischer Positionen aufzuzeigen.
Die Ergebnisse der Analyse decken zunächst auf, dass das Vorhandensein erstarkender euroskeptischer Oppositionsparteien nicht zwangsläufig zu einer Politisierung der europäischen Debatte führt, da sich die europhilen Mainstream-Parteien verschiedener Strategien zur Vermeidung einer solchen Kontroversen bedienen. Die Analysen ergeben weiterhin, dass europhile Regierungsparteien zwar mehrheitlich vor konkreten negativen Bewertungen der EU zurückschrecken, diese aber in Bezug auf die europäische Finanzkrise vorwiegend als Verursacher von Problemlagen skizzieren. Letztlich verdeutlichen die Ergebnisse, dass die mediale Berichterstattung zu Themen mit EU-Bezug eine starke Synchronizität zwischen Nachrichten- und Meinungsteil aufzeigt. Dies gilt sowohl in Bezug auf die geäußerten Bewertungen zur Europäischen Union als auch hinsichtlich der Darstellung von Verantwortlichkeit.
In der vorliegenden Studie geht es um den möglichen und tatsächlichen Beitrag von sogenannten Geschäftsmodellen im Kontext eines reflexiven Bildungsmanagements im Feld der wissenschaftlichen Weiterbildung an (öffentlichen) Hochschulen in Deutschland.
Im Anschluss an Behrmann (2006) wird ein reflexives Bildungsmanagement verwendet, um mögliche strategische und entwicklungsrelevante Orientierungen für die strategische (Neu-)Positionierung von Weiterbildungseinrichtungen bzw. reflexive Entwicklung von Hochschulen im Handlungs- bzw. Geschäftsfeld der wissenschaftlichen Weiterbildung zu strukturieren. In diesem Zusammenhang unterstützen Geschäftsmodelle die Realisierung des (Weiter-)Bildungsauftrags von (öffentlichen) Hochschulen bzw. von deren Weiterbildungseinrichtungen. Diese möglichen Orientierungen wurden im Rahmen von qualitativen Inhaltsanalysen nach Kuckartz (2016) auf der Grundlage von visualisierten Gruppendiskussionen nach Kühl (2009) rekonstruiert. Der Feldzugang erfolgte mit Unterstützung der Deutschen Gesellschaft für wissenschaftliche Weiterbildung und Fernstudium e.V. (DGWF).
Absicherung der analytischen Interpretation von Geolokalisierungsdaten in der Mobilfunkforensik
(2019)
Abstract
Location based services maybe are within one of the most outstanding features of modern mobile devices. Despite the fact, that cached geolocation data could be used to reconstruct motion profiles, the amount of devices capable to provide these information in the field of criminal investigations is growing.
Motivation
The aim of this work is to generate in-depth knowledge to questions concerning geolocation in the field of mobile forensics, making especially somehow cached geolocation data forensically valuable. On top, tools meeting the specific requirements of law enforcement personnel shall be developed.
Problems
Geolocation processes within smartphones are quite complex. For the device to locate its position, different reference systems like GPS, cell towers or WiFi hot\-spots are used in a variety of ways. The whole mobile geolocation mechanism is proprietary to the device manufacturer and not build with forensic needs in mind. One major problem regarding forensic investigations is, that mainly reference points are being extracted and processed instead of real life device location data. In addition, these geolocation information only consist of bits and bytes or numeric values that have to be securely assigned to their intended meaning. The location data recovered are full of gaps providing only a part of the process or device usage. This possible loss of data has to be determined deriving a reliable measurement for the completeness, integrity and accuracy of data. Last but not least, as for every evidence within a criminal investigation, it has to be assured, that manipulations of the data or errors in position estimation have no disadvantageous effect on the analysis.
Research Questions
In the context of localisation services in modern smartphones, it always comes back to similar questions during forensic everyday life:
* Can locations be determined at any time?
* How accurate is the location of a smartphone?
* Can location data from smartphones endure in court?
Approach
For a better understanding of geolocation processes in modern smartphones and to evaluate the quality and reliability of the geolocation artefacts, information from different platforms shall be theoretically analysed as well as observed in-place during the geolocation process. The connection between data points and localisation context will be examined in predefined live experiments as well as desktop- and native applications on smartphones.
Results
Within the scope of this thesis self developed tools have been used for forensic investigations as well as analytical interpretation of geodata from modern smartphones. Hereby a generic model for assessing the quality of location data has emerged, which can be generally applied to geodata from mobile devices.
This dissertation deals with the opportunities and restrictions that parties face in an election campaign at the supranational level of the EU. Using communication science concepts of agenda-setting (focus: media) and agenda-building (focus: political parties), the first part of the study is based on the election campaign for the European Parliament (EP) in 2014. It analyses to what extent political parties put the EU on the agenda. Second, it is examined whether parties have used their structural advantage of being able to influence the media agenda at the supranational level during the election campaign in the context of the EP election campaign. Third, it is examined whether parties can gain an advantage for the visibility of their campaigns by rejecting EU integration and the associated conflictual communication. Fourth and final, it will be explored whether agenda-building can influence the rankings of specific policy issues on the media agenda in the European context.
First, the analyses show that a European political focus of election campaign communication can no longer be found only on the part of the small (eurosceptic) parties. Second, parties have a good chance of being present in media coverage if the they pursue a European political focus in their campaign communication. Third, a negative tone in party communication turns out not to be decisive for the parties' visibility in the election campaign. Fourth, a clear positioning on political issues also prepares parties for restrictions of the further development of a European thematic agenda. After a discussion of these results, the paper concludes with an assessment of the analysis limitations and an outlook on further research approaches.
Software systems have an increasing impact on our daily lives. Many systems process sensitive data or control critical infrastructure. Providing secure software is therefore inevitable. Such systems are rarely being renewed regularly due to the high costs and effort. Oftentimes, systems that were planned and implemented to be secure, become insecure because their context evolves. These systems are connected to the Internet and therefore also constantly subject to new types of attacks. The security requirements of these systems remain unchanged, while, for example, discovery of a vulnerability of an encryption algorithm previously assumed to be secure requires a change of the system design. Some security requirements cannot be checked by the system’s design but only at run time. Furthermore, the sudden discovery of a security violation requires an immediate reaction to prevent a system shutdown. Knowledge regarding security best practices, attacks, and mitigations is generally available, yet rarely integrated part of software development or covering evolution.
This thesis examines how the security of long-living software systems can be preserved taking into account the influence of context evolutions. The goal of the proposed approach, S²EC²O, is to recover the security of model-based software systems using co-evolution.
An ontology-based knowledge base is introduced, capable of managing common, as well as system-specific knowledge relevant to security. A transformation achieves the connection of the knowledge base to the UML system model. By using semantic differences, knowledge inference, and the detection of inconsistencies in the knowledge base, context knowledge evolutions are detected.
A catalog containing rules to manage and recover security requirements uses detected context evolutions to propose potential co-evolutions to the system model which reestablish the compliance with security requirements.
S²EC²O uses security annotations to link models and executable code and provides support for run-time monitoring. The adaptation of running systems is being considered as is round-trip engineering, which integrates insights from the run time into the system model.
S²EC²O is amended by prototypical tool support. This tool is used to show S²EC²O’s applicability based on a case study targeting the medical information system iTrust.
This thesis at hand contributes to the development and maintenance of long-living software systems, regarding their security. The proposed approach will aid security experts: It detects security-relevant changes to the system context, determines the impact on the system’s security and facilitates co-evolutions to recover the compliance with the security requirements.
Im Zentrum der Untersuchung steht die Entwicklung des künstlerischen Siebdrucks in Deutschland seit dem Zweiten Weltkrieg. Nach der thematischen Einführung und einer ersten kritischen Bestandsaufnahme der Forschung zum Siebdruck wird im Folgenden der Verlauf und die methodische Vorgehensweise der Arbeit verdeutlicht. Im zweiten Kapitel „Etablierung einer künstlerischen Technik“ wird zuerst die Geschichte des Siebdrucks dem Rahmen dieser Arbeit gemäß nachgezeichnet. Nachfolgend wird in einem Unterkapitel dargestellt, wie sich die Serigrafie als künstlerisches Verfahren parallel zum industriellen Siebdruck etablierte. In der Folge wendet sich die Untersuchung der Entstehung und Entwicklung des künstlerischen Siebdrucks in Deutschland zu. Dabei wird Willi Baumeister als Beispiel für die erste Generation von Künstlern in Deutschland herangezogen, die sich mit der Serigrafie beschäftigte. Im nächsten Schritt wird ein Überblick zu den Willi Baumeister nachfolgenden deutschen bzw. deutschsprachigen Serigrafie–Künstlern präsentiert. In dem sich anschließenden Exkurs-Kapitel liegt der Schwerpunkt auf der Zusammenarbeit zwischen Künstler und Drucker. Dabei werden an Beispielen namhafter Drucker wie Luitpold Domberger und Hans-Peter Haas unter anderem Einflüsse der Drucker auf die Entstehung und den Ausdruck der Kunstwerke aufgezeigt.Nach einer Einführung in die Entstehung und Geschichte der Serigrafie in Deutschland und einem ersten Überblick über deutsche Serigrafie-Künstler wird im vierten Kapitel der Einsatz der Serigrafie-Technik bei verschiedenen Künstlern aus unterschiedlichen Zeiträumen eingehend untersucht. Besonderes Augenmerk gilt dabei dem Einfluss der Technik auf die Ausdrucksmöglichkeiten und Inhalte der Werke, die Anwendung innerhalb einer und verschiedener Kunstrichtungen sowie die Experimente, die mit der Siebdrucktechnik gemacht wurden. Dazu werden Werke ausgewählter Künstler analysiert. Im Fokus stehen Künstler der Pop Art, des Neuen und des Kritischen Realismus, der Abstrakten und Konkreten Kunst. Ferner werden Künstler, deren Werk durch einen expressiven, bisweilen primitiven Charakter geprägt ist, in die Betrachtung mit einbezogen. Eine weitere Gruppe bilden Künstler, die die Serigrafie in einen Zusammenhang zur Architektur und zum öffentlichen Raum stellen. Die aus der Untersuchung hervorgehenden Ergebnisse dienen insbesondere dazu, die Charakteristika der Technik in ihrer künstlerischen Verwendung herauszustellen und Aspekte einer künstlerisch motivierten Weiterentwicklung aufzuzeigen. Die Entwicklung des druckgraphischen Werkes und der Technik von Gerd Winner werden in Kapitel 5 eingehend untersucht. Auf diese Weise lässt sich eine systematische, nicht rein formale, sondern ästhetische und inhaltliche Darstellung der Serigrafie in Deutschland erstellen. Ein besonderes Augenmerk liegt dabei auf der Frage, wie sich die Technik und deren Neuerungen auf den Inhalt auswirkten.
Politische Steuerung in nationalen Bologna-Prozessen in Deutschland, Österreich und der Schweiz
(2019)
Das Ziel der Dissertation besteht in der Erklärung und Analyse grundlegender Steuerungsmuster zwischen Politik und Universitätssystem in den nationalen Bologna-Prozessen in Deutschland, Österreich und der Schweiz: Wurde die Studienreform primär staatlich verordnet, im Dialog mit den Hochschulen implementiert oder die Ausgestaltung der Reform der Wissenschaft weitgehend überlassen - und welche Instrumente wurden dabei weshalb genutzt? Damit schließt die Arbeit an den aktuellen Forschungsstand zu vertikalen Vermittlungsprozessen (übernational-national) im Bologna-Prozess an: Nationale Hochschulsysteme konvergieren nicht zu einem einheitlichen Modell, sondern nationale Faktoren (z.B. Problemdeutungen und Einflussmöglichkeiten von Bildungspolitik, Universitäten u.a.) führen dazu, dass Bologna jeweils länderspezifisch verstanden und interpretiert wird.
Vor diesem Hintergrund wird im theoretischen Teil zur Anleitung eines systematischen Vergleichs ein analytischer Rahmen entworfen, dessen Elemente sowohl aus der Politikwissenschaft (Instrumenteforschung, Politische Steuerung, Governance etc.) als auch aus der Hochschulforschung stammen. In den anschließenden empirischen Kapiteln zu den drei Ländern werden die Akteurkonstellationen und faktisch zu beobachtenden Instrumentarien beschrieben, analysiert und interpretiert. Die methodische Basis bilden neben der Analyse zahlreicher Dokumente 37 leitfadengestützte Interviews mit Expertinnen und Experten.
Grundsätzlich lassen sich auf Basis der empirischen Teile die folgenden zentralen Ergebnisse der Studie festhalten:
Deutschland: Aufgrund der relativ starken Kompetenzen der Länder und der Einflussschwäche der Universitäten ist für den deutschen Bologna-Prozess ein primär interventionistisches Muster kennzeichnend. Dieses wurde und wird bis heute dadurch verstärkt, dass die Umsetzung von Bologna durch spezifische Problemwahrnehmungen und -lösungen von KMK und HRK in den 90er Jahren geprägt ist (z.B. Modularisierung als Antwort auf unstrukturierte Studiengänge, Akkreditierung als Fortführung der tradierten Input-Steuerung). `Bologna` wurde so mit genuin nationalen Instrumenten verquickt, die z.T. quer zum tradierten Lehrhabitus vieler Hochschullehrerinnen und -lehrer lag und liegt (z.B. Modularisierung oder Kompetenzorientierung). Verstärkend trat hinzu, dass die Reform u.a. aufgrund des Bund/Länder-Konflikts in der Bildungspolitik im Vorfeld der Föderalismusreform I nicht finanziell unterstützt wurde. Plastisch formuliert ist der deutsche Bologna-Prozess regulativ über- und finanziell untersteuert, was auch zu den Studierendenprotesten 2009/2010 beitrug.
Österreich: Der Bologna-Prozess lief in Österreich parallel zu einem umfassenden Neuordnungsprozess, innerhalb dessen die Universitäten in ihrer Autonomie erheblich gestärkt wurden und sich das zuvor zentrale Wissenschaftsministerium in seinen Kompetenzen erheblich limitierte. Dieses hatte die Reform unmittelbar 1999 noch angestoßen, zog sich anschließend jedoch im Rahmen einer `minimalen Steuerung` zurück und übernahm auch keine Reformmehrkosten. Da unterhalb der in die Autonomie entlassenen Universitäten kein nationaler Dialog über die Reform in Gang kommen konnte, fand der Bologna-Prozess vor allem auf der Ebene der jeweils eigenständigen Universitäten `vor Ort` statt. Diese erhebliche regulative und finanzielle Untersteuerung führte 2009/2010 zu massiven Studierendenprotesten, die angesichts der schwachen Position des Ministeriums auch nur unzureichend kanalisiert werden konnten.
Schweiz: In der Schweiz hingegen ist eine austarierte regulative und finanzielle Steuerung zu beobachten. Bund und Kantone übertrugen Anfang der 2000er Jahre wenige, aber wesentliche Kompetenzen auf ein gemeinsames Organ, das seinerseits per Gesetz eng mit der Rektorenkonferenz zusammenarbeiten sollte. Bologna stärkte dieses bis dato auf dem Papier bestehende Muster: Vor dem Hintergrund einer übergreifend geteilten prozessualen Subsidiaritätsnorm sowie weitgehender Präferenzenübereinstimmung zwischen Politik und Universitäten finanzierte der Staat gezielt die Reformmehrkosten sowie strategische Projekte und delegiert die Formulierung, Implementierung und Weiterentwicklung zentraler Vorgaben auf der Basis des Entscheidungsvorbehalts an die Rektorenkonferenz bzw. Universitäten. Probleme werden innerhalb dieses Arrangements z.T. identifiziert und bearbeitet. Die Politik greift nur subsidiär im Ausnahmefall ein. Die Schweiz kommt daher dem Idealtypus der strukturierenden Steuerung sehr nahe.
Die Befunde werden abschließend in einen größeren Bezugsrahmen eingeordnet, um sie über Bologna hinaus für die Analyse des deutschen Hochschulsystems fruchtbar zu machen. Maßstab hierfür sind ausgewählte normative Kriterien zur Güte von Steuerungsmustern. So wird z.B. gezielt die politische Entscheidungskapazität in den beobachteten Mustern betrachtet: Während etwa in Deutschland auf die Studierendenproteste 2009 im Rahmen des interventionistischen Musters mit verbindlichen Instrumenten wie Strukturvorgaben, Akkreditierung und letztlich dem Qualitätspakt Lehre nicht nur symbolisch reagiert werden konnte, stand das Wiener Wissenschaftsministerium den starken Protesten durch den Verzicht auf regulative und finanzielle Ressourcen hilflos gegenüber.
Auf dieser Basis werden abschließend einige grundlegende Anregungen zur Weiterentwicklung des deutschen Hochschulsystems gegeben. Unter anderem wird dafür plädiert, den hochschulpolitischen Reformdiskurs, der sich oftmals nur zwischen den Polen `mehr Staat` und `mehr Wettbewerb` zu bewegen scheint, gezielt um alternative Handlungslogiken und Akteure zu erweitern: Die Ergebnisse der Arbeit legen nahe, Verbände und Organisationen (Rektorenkonferenzen, Fachgesellschaften, Fakultätentage u.a.) politisch zu stärken, um diese Sichtweisen und Expertisen in zukünftigen Reformprozessen (z.B. aktuell Digitalisierung) systematischer als zuvor miteinzubeziehen. Denn eine zu starke Entkopplung von politischen und wissenschaftlichen Rationalitäten führt unweigerlich zu nicht intendierten Effekten, die ihrerseits wieder Handlungsdruck erzeugen (z.B. Proteste).
Ecological assessment approaches based on benthic invertebrates in Euphrates tributaries in Turkey
(2019)
Sustainable water management requires methods for assessing ecological stream quality. Many years of limnological research are needed to provide a basis for developing such methods. However, research of this kind is still lacking in Turkey. Therefore, the aim of this doctoral thesis was to provide basic research in the field of aquatic ecology and to present methods for the assessment of ecological stream quality based on benthic invertebrates. For this purpose, I selected 17 tributaries of the Euphrates with a similar typology/water order and varying levels of pollution or not affected by pollution at all. The characterisation of the natural mountain streams was the first important step in the analysis of ecological quality. Based on community indices, I found that the five selected streams had a very good ecological status. I also compared the different biological indications, collected on two occasions ¬– once in spring (May) and once in autumn (September) – to determine the optimal sampling time. The macroinvertebrate composition differed considerably between the two seasons, with the number of taxa and Shannon index being significantly higher in autumn than in spring. In the final step, I examined the basal resources of the macroinvertebrates in the reference streams with an isotope analysis. I found that FPOM and biofilm were the most relevant basal resources of benthic invertebrates. Subsequently, based on the similarity of their community structures, I divided the 17 streams into three quality classes, supported by four community indices (EPT [%], EPTCBO [%], number of individuals, evenness). In this process, 23 taxa were identified as indicators for the three quality classes. In the next step, I presented two new or adapted indices for the assessment of quality class. Firstly, I adapted the Hindu Kush-Himalaya biotic index to the catchment area of the Euphrates and created a new, ecoregion-specific score list (Euph-Scores) for 93 taxa. The weighted ASPT values, which were renamed the Euphrates Biotic Score (EUPHbios) in this study, showed sharper differentiations of quality classes compared to the other considered ASPT values. Thus, this modified index has proved to be very effective and easy to implement in practical applications. As a second biological index, I suggested the proportion of habitat specialists. To calculate this index, the habitat preferences of the 20 most common benthic invertebrates were identified using the new habitat score. The proportion of habitat specialists differed significantly among the three quality classes with higher values in natural streams than in polluted streams. The methods and results presented in this doctoral thesis can be used in a multi-metric index for a Turkish assessment programme.
Streams are coupled with their riparian area. Emerging insects from streams can be an important prey in the riparian area. Such aquatic subsidies can cause predators to switch prey or increase predator abundances. This can impact the whole terrestrial food web. Stressors associated with agricultural land use can alter insect communities in water and on land, resulting in complex response patterns of terrestrial predators that rely on prey from both systems.
This thesis comprises studies on the impact of aquatic nsects on a terrestrial model ecosystem (Objective 1, hapter 2), the influence of agricultural land use on riparian spiders’ traits and community (Objective 2, Chapter 3), and on the impact of agricultural land use on the contribution of different prey to spider diet (Objective 3, Chapter 4).
In chapter 2, I present a study where we conducted a mesocosm experiment to examine the effects of aquatic subsidies on a simplified terrestrial food web consisting of two types of herbivores (leafhoppers and weevils), plants and predators (spiders). I focused on the prey choice of the spiders by excluding predator immigration and reproduction. In accordance with predator switching, survival of leafhoppers increased in the presence of aquatic subsidies. By contrast, the presence of aquatic subsidies indirectly reduced weevils and herbivory.
In chapter 3, I present the results on the taxonomic and trait response of riparian spider communities to gradients of agricultural stressors and environmental variables, with a particular emphasis on pesticides. To capture spiders with different traits and survival strategies, we used multiple collection methods. Spider community composition was best explained by in-stream pesticide toxicity and shading of the stream bank, a proxy for the quality of the habitat. Species richness and the number of spider individuals, as well as community ballooning ability, were negatively associated with in-stream pesticide toxicity. In contrast, mean body size and shading preference of spider communities responded strongest to shading,
whereas mean niche width (habitat preference for moisture and shading) responded strongest to other environmental variables.
In chapter 4, I describe aquatic-terrestrial predator-prey relations with gradients of agricultural stressors and environmental variables. I sampled spiders, as well as their aquatic and terrestrial prey along streams with an assumed pesticide pollution gradient and determined their stable carbon and nitrogen signals. Potential aquatic prey biomass correlated positively with an increasing aquatic prey contribution of T. montana. The contribution of aquatic prey to the diet of P. amentata showed a positive relationship with increasing toxicity in streams.
Overall, this thesis contributes to the emerging discipline of cross-ecosystem ecology and shows that aquatic-terrestrial linkages and riparian food webs can be influenced by land use related stressors. Future manipulative field studies on aquatic-terrestrial linkages are required that consider the quality of prey organisms, fostering mechanistic understanding of such crossecosystem effects. Knowledge on these linkages is important to improve understanding of consequences of anthropogenic stressors and to prevent further losses of ecosystems and their biodiversity.
Die Nachhaltigkeitsberichterstattung kann als ein zentrales Element einer konsequenten Unternehmensstrategie zur Umsetzung der gesellschaftlichen Verantwortung (Corporate Social Responsibility) angesehen werden. Um die Unternehmen bei dieser Aufgabe zu unterstützen stellt die Global Reporting Initiative (GRI) mit ihren G4 Leitlinien einen Orientierungsrahmen bereit, dessen Anwendung sich allerdings für Klein und Mittelunternehmen sehr komplex gestaltet. Ein branchenspezifisches Sector Supplement für den Weinbau existiert derzeit noch nicht.
Ziel der vorliegenden Arbeit ist es, diese Forschungslücke durch die Entwicklung weinbauspezifischer Nachhaltigkeitsaspekte und Indikatoren zu schließen, um den Betrieben eine selbstständige GRI-konforme Berichterstattung zu ermöglichen.
Der Prozess zur Identifikation wesentlicher Nachhaltigkeitsaspekte und -indikatoren erfolgt mittels Erhebungs- und Auswertungsmethoden der qualitativen Sozialforschung in Form
von Workshops, betrieblichen Vorortanalysen und Experteninterviews.
Parallel dazu erfolgt eine umfassende Analyse der weinbaulichen Wertschöpfungskette in Form einer Internet- und Literaturrecherche. Diese umfasst vorrangig die ökologischen Nachhaltigkeitsaspekte als diejenigen Bestandteile weinbaulicher Tätigkeiten, die sich sowohl positiv als auch negativ auf die Umwelt auswirken können. Anschließend erfolgt die zentrale Priorisierung der identifizieren Handlungsfelder und Nachhaltigkeitsthemen durch die Stakeholder. Zur Visualisierung der bewerteten Handlungsfelder dient das Instrument der Wesentlichkeitsanalyse.
Auf dieser Basis erfolgt die Entwicklung eines Handlungsleitfadens zur Erstellung von Nachhaltigkeitsberichten in der Weinwirtschaft. Hiermit erlangen Weingüter die praktische Kompetenz ein eigenes Nachhaltigkeitsreporting anzugehen.
Im Rahmen der Arbeit wurde auch ein elektronisches Tool entwickelt, das den Betrieben die Möglichkeit eröffnet, betriebliche Umweltaspekte zu erfassen und zu bewerten. Gleichzeitig wird den Anwendern damit die Generierung eines überbetrieblichen Vergleichs der Umweltleistung ermöglicht (Benchmarking).
Eine weitere Forschungsfrage der vorliegenden Arbeit beschäftigt sich mit der Biodiversitätserfassung und -bewertung für Rebland. Hintergrund sind die bisher nur geringen Funde auf der durch das Bundesamt für Naturschutz festgelegten Kennartenlisten bzw. den HNV-Stichprobenflächen (High nature value farmland-Indikator) für Rebland.
Hierzu wurde mittels Geoinformationssystemen das Artenvorkommen in rheinland-pfälzischen Weinanbaugebieten analysiert und 30 Pflanzenarten als Indikatorarten für den Weinbau abgeleitet. Ergänzend wurden weinbergstypische, geschützte Tierarten als „Bonusarten“ identifiziert. Die Indikatorarten werden den Winzern als ein Instrument zur eigenständigen Erfassung der Biodiversität in den Weinbergen dienen und im Rahmen einer Nachhaltigkeitsberichterstattung herangezogen werden können.
Refractory dry-vibratable mixes, which consist of a mineral filling material and an organic or anorganic binder system, are widely used for linings in industrial aggregates, where a very high temperature resistance is required (e.g. steel industry). During lining, all compounds are mixed and hardening is chemically or thermally initiated. The time span required for hardening is of special relevance for the application of refractory dry-vibratable mixes. It should be long enough for adequate processability, but simultaneously avoid too long downtimes. Prediction or regulation of the hardening time, necessary for an ideal processing, is currently limited. One the one hand, this is a result of the lack of an appropriate method for time-dependent determination of the harding process. On the other hand, the mechanisms responsible for this very complex process have not yet been investigated in detail and the effect of influencing factors, like the temperature or the composition of the refractory dry-vibratable mixes, are poorly documented.
To make a contribution to the understanding of the hardening mechanism of refractory dry-vibratable mixes, it was the aim of the present work, to develop an appropriate test method for the time-dependent investigation of this process. This was realized by means of the dynamic-mechanical analysis. In addition, the hardening mechanism was described for a refractory dry-vibratable mix with a binder system, which consists of a waterglass and a phosphate hardener (AlPO4 und BPO4), using supplement gravimetric investigations and determining solubility behavior of the phosphates. By means of X-ray diffraction analysis, nuclear magnetic resonance spectroscopy and scanning electron microscopy, the impact of the hardening mechanism on the crystal and amorphous structure was studied. It could be shown, that according to the two phosphates, the hardening leads to different network structures in respect of their link denseness. These structure characteristics correlate with the speed of the hardening reactions. In addition, the impact on selected properties (thermal linear deformation, temperature-dependent phase development and phase transition) could be deducted.
Gegeben sei eine Basis b>=10 und eine Ziffer a0 aus der Menge {0,..., b − 1}. Wir untersuchen, ob es unendlich viele Primzahlen gibt, die in ihrer b-adischen Zifferndarstellung die Ziffer a0 nicht besitzen. Ferner schätzen wir die Anzahl dieser Primzahlen, die kleiner sind als X = b^k, nach oben und unten ab.
Damit gelingt uns eine Verallgemeinerung von Maynards Beweis für den Fall b = 10 und wir nutzen hierzu auch die in seiner Arbeit verwendeten Werkzeuge. Unter Anderem benötigen wir die Hardy-Littlewoodsche Kreismethode sowie diverse Siebmethoden, um die Minor Arcs zu kontrollieren.
Schließlich sehen wir, dass wir Maynard's Aussage vor allem dann auf beliebige Basen b>= 10 und ausgeschlossene Ziffern a0 aus {0, ..., b − 1} übertragen können, wenn zwei betragsmäßig größte Eigenwerte von Matrizen, die von b und a0 parametrisiert werden, bestimmte Abschätzungen erfüllen. Dass diese Abschätzungen im Fall b>=102 erfüllt sind, beweisen wir im letzten Kapitel. Für die Fälle b = 10 und b = 11 liegt ebenfalls ein Mathematica-Code vor, der die Abschätzungen bestätigt.
Groundwater is essential for the provision of drinking water in many areas around the world. The ecosystem services provided by groundwater-related organisms are crucial for the quality of groundwater-bearing aquifers. Therefore, if remediation of contaminated groundwater is necessary, the remediation method has to be carefully selected to avoid risk-risk trade-offs that might impact these valuable ecosystems. In the present thesis, the ecotoxicity of the in situ remediation agent Carbo-Iron (a composite of zero valent nano-iron and active carbon) was investigated, an estimation of its environmental risk was performed, and the risk and benefit of a groundwater remediation with Carbo-Iron were comprehensively analysed.
At the beginning of the work on the present thesis, a sound assessment of the environmental risks of nanomaterials was impeded by a lack of guidance documents, resulting in many uncertainties on selection of suitable test methods and a low comparability of test results from different studies with similar nanomaterials. The reasons for the low comparability were based on methodological aspects of the testing procedures before and during the toxicity testing. Therefore, decision trees were developed as a tool to systematically decide on ecotoxicity test procedures for nanomaterials. Potential effects of Carbo-Iron on embryonic, juvenile and adult life stages of zebrafish (Danio rerio) and the amphipod Hyalella azteca were investigated in acute and chronic tests. These tests were based on existing OECD and EPA test guidelines (OECD, 1992a, 2013a, 2013b; US EPA, 2000) to facilitate the use of the obtained effect data in the risk assessment. Additionally, the uptake of particles into the test organisms was investigated using microscopic methods. In zebrafish embryos, effects of Carbo-Iron on gene expression were investigated. The obtained ecotoxicity data were complemented by studies with the waterflea Daphnia magna, the algae Scenedesmus vacuolatus, larvae of the insect species Chironomus riparius and nitrifying soil microorganisms.
In the fish embryo test, no passage of Carbo-Iron particles into the perivitelline space or the embryo was observed. In D. rerio and H. azteca, Carbo-Iron was detected in the gut at the end of exposure, but no passage into the surrounding tissue was detected. Carbo-Iron had no significant effect on soil microorganisms and on survival and growth of fish. However, it had significant effects on the growth, feeding rate and reproduction of H. azteca and on survival and reproduction in D. magna. Additionally, the development rate of C. riparius and the cell volume of S. vacuolatus were negatively influenced.
A predicted no effect concentration of 0.1 mg/L was derived from the ecotoxicity studies based on the no-effect level determined in the reproduction test with D. magna and an assessment factor of 10. It was compared to measured and modelled environmental concentrations for Carbo-Iron after application to an aquifer contaminated with chlorohydrocarbons in a field study. Based on these concentrations, risk quotients were derived. Additionally, the overall environmental risk before and after Carbo-Iron application was assessed to verify whether the chances for a risk-risk trade-off by the remediation of the contaminated site could be minimized. With the data used in the present study, a reduced environmental risk was identified after the application of Carbo-Iron. Thus, the benefit of remediation with Carbo-Iron outweighs potential negative effects on the environment.
The dissertation examines the self-concept of Indian religious women in German care institutions. For the analysis, the method of grounded theory was selected from empirical social research. The investigation field interviewed 26 Indian religious women and 5 employers. The theoretical foundations of mission history were the standard of the missionary ministry, the expression of the German and Indian concept of care, the concept of culture in its structural conditionality of dimensions and models with reference to the organization "religious community".
The direct relation to the research question was served by the hierarchical self-concept model according to Shalveson and another model by Bracken, which was used to interpret the empirical results. In the five core categories and their subcategories, the main motive was "being a missionary". Indian religious women refer to themselves as "European missionaries" and want to bring the love of Christ to the sick, the needy and the elderly through their care and nursing work.
In order for the Indian religious women to be able to work even more optimally in their self-concept in Germany, it is advisable to develop a requirement profile, to consider certain framework conditions in advance and to design new models of life.
Sediment transport contributes to the movement of inorganic and organic material in rivers. The construction of a dam interrupts the continuity of this sediment transport through rivers, causing sediments to accumulate within the reservoir. Reservoirs can also act as carbon sinks and methane can be released when organic matter in the sediment is degraded under anoxic conditions. Reservoir sedimentation poses a great threat to the sustainability of reservoirs worldwide, and can emit the potent greenhouse gas methane into the atmosphere. Sediment management measures to rehabilitate silted reservoirs are required to achieve both better water quantity and quality, as well as to mitigate greenhouse gas emissions.
This thesis aims at the improvement of sediment sampling techniques to characterize sediment deposits as a basis for accurate and efficient water jet dredging and to monitor the dredging efficiency by measuring the sediment concentration. To achieve this, we investigated freeze coring as a method to sample (gas-bearing) sediment in situ. The freeze cores from three reservoirs obtained were scanned using a non-destructive X-Ray CT scan technique. This allows the determination of sediment stratification and character-ization of gas bubbles to quantify methane emissions and serve as a basis for the identi-fication of specific (i.e. contaminated) sediment layers to be dredged. The results demon-strate the capability of freeze coring as a method for the characterization of (gas-bearing) sediment and overcomes certain limitations of commonly used gravity cores. Even though the core’s structure showed coring disturbances related to the freezing process, the general core integrity seems to not have been disturbed. For dredging purposes, we analyzed the impact pressure distribution and spray pattern of submerged cavitating wa-ter jets and determined the effects of impinging distances and angles, pump pressures and spray angles. We used an adapted Pressure Measurement Sensing technique to enhance the spatial distribution, which proved to be a comparatively easy-to-use meas-urement method for an improved understanding of the governing factors on the erosional capacity of cavitating water jets. Based on this data, the multiple linear regression model can be used to predict the impact pressure distribution of those water jets to achieve higher dredging accuracy and efficiency. To determine the dredging operational efficien-cy, we developed a semi-continuous automated measurement device to measure the sediment concentration of the slurry. This simple and robust device has lower costs, compared to traditional and surrogate sediment concentration measurement technolo-gies, and can be monitored and controlled remotely under a wide range of concentrations and grain-sizes, unaffected by entrained gas bubbles
Computer modelling of human partial body structures is becoming increasingly important for medical application. This is an interdisciplinary field of research in which new methods can be developed through the cooperation of physics, mathematics, computer visualistics and medicine. These methods can be used to make more precise statements about the mechanical loads of internal force-transmitting structures, such as intervertebral discs, ligaments, joints and muscles, during motion sequences.
At the beginning of this work, the importance of the need for research in computer modeling, specialized in the area of the spine, is presented.
In the following, the basic anatomical structures will be discussed, including intervertebral discs, ligaments, facet joints and musculature.
Algorithms are then developed to create individual lumbar spine models from CT data in a short time and semi-automatically. Methods will be developed to model the presented force transmitting structures of the spine, such as the intervertebral discs, ligaments, facet joints and muscles.
In addition different imaging methods (MRT data, x-ray film, x-ray functional images) will be presented and validate the lumbar spine models.
Finally, the algorithms developed will be used to create a larger number of individual lumbar spine models, which will then be examined for similarities and differences with regard to internal loads as well as for physiologically correct movement sequences. In particular, the relative momentary center of rotation between two adjacent vertebrae is calculated.
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.
In the present dissertation, the structural interaction between potassium waterglass and aluminium metaphosphates (aluminium tetrametaphosphate and aluminium hexametaphosphate) were investigated in terms of the resettlement behaviour of the metaphosphates as hardening agents. The crystalline phase composition was described qualitatively and quantitatively in terms of powder diffraction patterns combined with Rietveld refinement. The amorphous phase content was determined by different spectroscopic methods (e.g. solid-state NMR, ATR-IR, and Raman spectroscopy). The solubility behaviour of the chemical hardening agents was investigated by optical emission spectroscopy and electron absorption spectroscopy. The mechanical properties of the samples were measured by three-point bending tests, resonance damping frequency analysis, and acid test. The structural framework of the chemically hardened waterglasses was explored by scanning electron microscopy method. It could be proven, that the reaction mechanism of the resettlement is strongly dependent on the structure of the aluminium metaphosphate. After the dissolution of the aluminium ions of aluminium tetrametaphosphate through the alkalic environment of the potassium waterglass, a potassium tetrametaphosphate is developed through an ion-exchange reaction with the waterglass` potassium ions. In the hexametaphosphate system, no analogous structure could be proven. Parallel to the ion-exchange reaction an incremental depolymerization of the cyclic metaphosphate structure to the final crystalline product potassium dihydrogen phosphate occurs. The drop in pH value due to the addition of the respective aluminium metaphosphate initiates a polycondensation of the potassium waterglass due to the decreasing stabilization of the waterglass. This process is increased by the depolymerization products of the metaphosphate, that remove further quantities of the alkali ions, which accelerates the polycondensation reaction due to a further decrease in pH value. The dissolved aluminium ions from the aluminium metaphosphate penetrate into the amorphous, hardening silica network and develops an alumosilicate binder matrix. Furthermore, amorphous hydrated aluminium phosphate phases develop in separate domains beside silicate, alumosilicate phases, and the crystalline phase contents e.g. potassium dihydrogenphosphate and the incomplete reacted aluminium metaphosphate. Consequently, the chemically hardened potassium waterglass binder is not necessarily homogenous. Regarding the mechanical and chemical properties, in summary with increasing alkali modulus the mechanical flexural strength, and the young modulus drop, while the chemical resistance towards acid attack, and the porosity of the samples increase. The change in the cyclic structure from aluminium tetrametaphosphate to aluminium hexametaphosphate leads to a drop in the acid resistance, the porosity of the samples, the flexural strength, and the young modulus.
Grapevine growers have struggled with defending their crops against pests and diseases since the domestication of grapevine over 6000 ears ago. Since then, new growing methods paired with a better nderstanding of the ecological processes in the vineyard ecosystem continue to improve quality and quantity of grape harvests. In this thesis I am describing the effects of two recent innovations in viticulture on pest and beneficial arthropods in vineyards; Fungus-resistant grapevine cultivars (PIWIs) and the pruning system semi-minimal pruned hedge (SMPH). The SMPH pruning system allows for a drastic reduction of manual labor in the vineyard, and PIWIs are resistant to two of the most common fungal diseases of grapevine and therefore allow a drastic reduction of fungicide applications compared to conventional varieties. Heavy use of pesticides is linked to a number of problems, including pollution of waterways, negative effects on human health, and biodiversity loss. Here, I studied the effects of fungicide reduction and minimal pruning on arthropods that are beneficial for natural pest suppression in the vineyard ecosystem such as predatory mites, spiders, ants, earwigs, and lacewings. All of these groups either benefitted from the reduction of fungicide sprayings or were not significantly affected. Structural changes in the canopy of SMPH grapevines altered the microclimate in the canopy which in turn influenced some of the arthropods living in it. Overall, my findings suggest that PIWIs and SMPH, both in combination or separately, improve conditions for natural pest control. This adds to other advantages of these innovative management practices such as a reduction in production cost and a smaller impact on the environment.